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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(%)
2009-09-241.07641.0764-0.0036-0.3333
2009-09-231.08001.0800-0.0161-1.4688
2009-09-221.09611.0961-0.0172-1.5450
2009-09-211.11331.11330.01411.2828
2009-09-181.09921.0992-0.0383-3.3670
2009-09-171.13751.13750.01641.4628
2009-09-161.12111.1211-0.0040-0.3555
2009-09-151.12511.12510.00130.1157
2009-09-141.12381.12380.01901.7198
2009-09-111.10481.10480.01731.5908
2009-09-101.08751.0875-0.0050-0.4577
2009-09-091.09251.09250.00370.3398
2009-09-081.08881.08880.02202.0622
2009-09-071.06681.06680.01251.1856
2009-09-041.05431.05430.00470.4478
2009-09-031.04961.04960.02942.8818
2009-09-021.02021.02020.00100.0981
2009-09-011.01921.0192-0.0030-0.2935
2009-08-311.02221.0222-0.0418-3.9286
2009-08-281.06401.0640-0.0149-1.3810
2009-08-271.07891.0789-0.0041-0.3786
2009-08-261.08301.08300.01321.2339
2009-08-251.06981.0698-0.0254-2.3192
2009-08-241.09521.09520.00800.7358
2009-08-211.08721.08720.01181.0973
2009-08-201.07541.07540.02001.8950
2009-08-191.05541.0554-0.0271-2.5035
2009-08-181.08251.08250.00640.5947
2009-08-171.07611.0761-0.0524-4.6433
2009-08-141.12851.1285-0.0279-2.4127
2009-08-131.15641.15640.00290.2514
2009-08-121.15351.1535-0.0374-3.1405
2009-08-111.19091.19090.00380.3201
2009-08-101.18711.1871-0.0001-0.0084
2009-08-071.18721.1872-0.0257-2.1189
2009-08-061.21291.2129-0.0222-1.7974
2009-08-051.23511.2351-0.0185-1.4757
2009-08-041.25361.2536-0.0040-0.3181
2009-08-031.25761.25760.01741.4030
2009-07-311.24021.24020.02812.3183


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