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【华富策略精选 410006】焦点指标(2013-08-13)

单位净值: 0.8409 累计净值: 1.0009 基金类型: 契约型开放式
投资风格: 平衡型 交易代码: 410006 行情代码:
投资类型: 混合型 申购费率上限: --% 赎回费率上限: --%
基金经理: 基金管理人: 华富基金管理有限公司 基金托管人: 中国建设银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行:

华富策略精选 [410006] 历史净值

截止日期单位净值(元)累计净值(元)增长值(元)增长率(%)
2011-03-291.06821.2282-0.0203-1.8650
2011-03-281.08851.2485-0.0046-0.4208
2011-03-251.09311.25310.01040.9606
2011-03-241.08271.24270.00040.0370
2011-03-231.08231.24230.01241.1590
2011-03-221.06991.22990.00150.1404
2011-03-211.06841.2284-0.0075-0.6971
2011-03-181.07591.23590.00630.5890
2011-03-171.06961.2296-0.0167-1.5373
2011-03-161.08631.24630.01141.0606
2011-03-151.07491.2349-0.0055-0.5091
2011-03-141.08041.24040.00170.1576
2011-03-111.07871.2387-0.0055-0.5073
2011-03-101.08421.2442-0.0136-1.2388
2011-03-091.09781.2578-0.0017-0.1546
2011-03-081.09951.25950.00400.3651
2011-03-071.09551.25550.02101.9544
2011-03-041.07451.23450.01151.0818
2011-03-031.06301.2230-0.0223-2.0547
2011-03-021.08531.2453-0.0037-0.3398
2011-03-011.08901.2490-0.0008-0.0734
2011-02-281.08981.24980.00930.8607
2011-02-251.08051.2405-0.0040-0.3688
2011-02-241.08451.2445-0.0046-0.4224
2011-02-231.08911.24910.00190.1748
2011-02-221.08721.2472-0.0255-2.2917
2011-02-211.11271.27270.02692.4774
2011-02-181.08581.2458-0.0159-1.4432
2011-02-171.10171.26170.01000.9160
2011-02-161.09171.25170.01521.4120
2011-02-151.07651.23650.00770.7204
2011-02-141.06881.22880.01311.2409
2011-02-111.05571.21570.00350.3326
2011-02-101.05221.21220.00270.2573
2011-02-091.04951.2095-0.0064-0.6061
2011-02-011.05591.2159-0.0048-0.4525
2011-01-311.06071.22070.03012.9206
2011-01-281.03061.19060.00590.5758
2011-01-271.02471.18470.01151.1350
2011-01-261.01321.17320.02012.0240


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