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【基金裕阳 500006】焦点指标(2013-07-12)

单位净值: 0.8884 累计净值: 4.5664 基金类型: 契约型封闭式
投资风格: 收入型(价值型) 交易代码: 500006 行情代码: 500006
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: 博时基金管理有限公司 基金托管人: 中国农业银行股份有限公司
购  买: - 赎  回: -    
代销银行:

基金裕阳 [500006] 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(%)
2005-08-050.99061.98260.01851.9031
2005-07-290.97211.96410.02782.9440
2005-07-220.94431.93630.01631.7565
2005-07-150.92801.92000.01221.3322
2005-07-080.91581.9078-0.0127-1.3678
2005-07-010.92851.9205-0.0080-0.8542
2005-06-300.93651.9285-0.0020-0.2131
2005-06-240.93851.93050.00710.7623
2005-06-170.93141.9234-0.0083-0.8833
2005-06-100.93971.93170.05826.6024
2005-06-030.88151.8735-0.0335-3.6612
2005-05-270.91501.9070-0.0269-2.8559
2005-05-200.94191.9339-0.0022-0.2330
2005-05-130.94411.9361-0.0489-4.9245
2005-04-290.99301.98500.00600.6079
2005-04-220.98701.9790-0.0117-1.1715
2005-04-150.99871.9907-0.0108-1.0698
2005-04-081.00952.0015-0.0291-2.8018
2005-04-011.03861.98160.01981.9435
2005-03-311.01881.9618-0.0178-1.7172
2005-03-251.03661.9796-0.0073-0.6993
2005-03-181.04391.9869-0.0269-2.5121
2005-03-111.07082.0138-0.0012-0.1119
2005-03-041.07202.0150-0.0139-1.2800
2005-02-251.08592.02890.03132.9679
2005-02-181.05461.99760.00150.1424
2005-02-041.05311.99610.02962.8920
2005-01-281.02351.96650.00490.4811
2005-01-211.01861.9616-0.0255-2.4423
2005-01-141.04411.98710.00810.7819
2005-01-071.03601.9790-0.0139-1.3239
2004-12-311.04991.9929-0.0018-0.1712
2004-12-241.05171.9947-0.0090-0.8485
2004-12-171.06072.0037-0.0109-1.0172
2004-12-101.07162.0146-0.0053-0.4922
2004-12-031.07692.0199-0.0185-1.6889
2004-11-261.09542.0384-0.0067-0.6079
2004-11-191.10212.04510.01471.3518
2004-11-121.08742.03040.02612.4592
2004-11-051.06132.0043-0.0115-1.0720


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