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【基金泰和 500002】焦点指标(2013-08-09)

单位净值: 1.2685 累计净值: 4.9175 基金类型: 契约型封闭式
投资风格: 平衡型 交易代码: 500002 行情代码: 500002
投资类型: 股票型 申购费率上限: --% 赎回费率上限: --%
基金经理: 基金管理人: 嘉实基金管理有限公司 基金托管人: 中国建设银行股份有限公司
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基金泰和 [500002] 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(%)
2003-05-230.98901.51400.03033.1605
2003-05-160.97951.50450.05175.5723
2003-04-300.95871.4837-0.0217-2.2134
2003-04-250.92781.4528-0.0403-4.1628
2003-04-180.98041.50540.04134.3978
2003-04-110.96811.49310.03603.8622
2003-04-040.93911.46410.00941.0111
2003-03-310.93211.45710.01311.4255
2003-03-280.92971.45470.01231.3407
2003-03-210.91901.4440-0.0091-0.9805
2003-03-140.91741.4424-0.0132-1.4184
2003-03-070.92811.45310.00470.5090
2003-02-280.93061.4556-0.0015-0.1609
2003-02-210.92341.4484-0.0087-0.9334
2003-02-140.93211.45710.01751.9134
2003-01-290.93211.45710.00830.8985
2003-01-240.91461.43960.02693.0303
2003-01-170.92381.44880.06627.7192
2003-01-100.88771.41270.01001.1393
2003-01-030.85761.3826-0.0312-3.5104
2002-12-310.87771.4027-0.0286-3.1557
2002-12-270.88881.4138-0.0046-0.5149
2002-12-200.90631.43130.00320.3543
2002-12-130.89341.4184-0.0195-2.1360
2002-12-060.90311.4281-0.0011-0.1217
2002-11-290.91291.4379-0.0165-1.7753
2002-11-220.90421.4292-0.0452-4.7609
2002-11-150.92941.4544-0.0084-0.8957
2002-11-080.94941.47440.00130.1371
2002-11-010.93781.4628-0.0037-0.3930
2002-10-250.94811.47310.00190.2008
2002-10-180.94151.4665-0.0208-2.1615
2002-10-110.94621.4712-0.0162-1.6833
2002-09-300.96231.4873-0.0040-0.4140
2002-09-270.96241.4874-0.0071-0.7323
2002-09-200.96631.4913-0.0081-0.8313
2002-09-130.96951.4945-0.0180-1.8228
2002-09-060.97441.4994-0.0158-1.5956
2002-08-300.98751.51250.01351.3860
2002-08-230.99021.51520.01431.4653


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