我的基金账户

用户名: 密码:

【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
购  买: - 赎  回: -    
代销银行:

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(%)
2001-11-160.94351.4685-0.0051-0.5376
2001-11-090.91571.4407-0.0194-2.0746
2001-11-020.94861.47360.06217.0051
2001-10-260.93511.46010.00620.6675
2001-10-190.88651.4115-0.0932-9.5131
2001-10-120.92891.4539-0.0509-5.1949
2001-09-300.97971.5047-0.0263-2.6143
2001-09-280.97981.5048-0.0344-3.3918
2001-09-211.00601.53100.00600.6000
2001-09-141.01421.5392-0.2268-18.2756
2001-09-071.00001.5250-0.0371-3.5773
2001-08-311.24101.5400-0.0216-1.7108
2001-08-241.26311.5621-0.0156-1.2200
2001-08-171.26261.5616-0.0184-1.4364
2001-08-101.27871.5777-0.0559-4.1885
2001-08-031.28101.5800-0.1015-7.3418
2001-07-271.33461.6336-0.0421-3.0580
2001-07-201.38251.68150.00580.4213
2001-07-131.37671.6757-0.0060-0.4339
2001-07-091.37671.6757-0.0200-1.4319
2001-07-061.38271.6817-0.0141-1.0095
2001-06-301.39671.69570.00820.5906
2001-06-291.39681.6958-0.0037-0.2642
2001-06-221.38851.6875-0.0224-1.5876
2001-06-151.40051.6995-0.0158-1.1156
2001-06-081.41091.70990.00960.6851
2001-06-011.41631.71530.01411.0056
2001-05-251.40131.70030.03152.2996
2001-05-181.40221.70120.04583.3766
2001-05-111.36981.6688-0.0046-0.3347
2001-04-271.35641.65540.00060.0443
2001-04-201.37441.67340.03832.8666
2001-04-131.35581.65480.01821.3606
2001-04-061.33611.6351-0.1215-8.3356
2001-03-301.33761.6366-0.0964-6.7225
2001-03-231.45761.60960.05583.9806
2001-03-161.43401.58600.06164.4885
2001-03-091.40181.55380.05894.3860
2001-03-021.37241.52440.03152.3492
2001-02-231.34291.4949-0.0060-0.4448


本信息仅供参考,如有错漏请以证监会、交易所、上市公司公告原文为准,读者据此操作产生的盈亏与本公司无关,特此声明。