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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(%)
2003-04-250.99121.8942-0.0479-4.6098
2003-04-181.03911.94210.01971.9325
2003-04-111.01941.92240.02882.9073
2003-04-040.99061.89360.00840.8552
2003-03-310.98221.88520.00770.7901
2003-03-280.97451.87750.01581.6481
2003-03-210.95871.86170.00500.5243
2003-03-140.95371.8567-0.0082-0.8525
2003-03-070.96191.86490.00160.1666
2003-02-280.96031.86330.01371.4473
2003-02-210.94661.8496-0.0102-1.0661
2003-02-140.95681.8598-0.0030-0.3126
2003-01-290.95981.86280.02252.4005
2003-01-240.93731.8403-0.0045-0.4778
2003-01-170.94181.84480.04314.7958
2003-01-100.89871.80170.03864.4879
2003-01-030.86011.7631-0.0234-2.6486
2002-12-310.88351.7865-0.0096-1.0749
2002-12-270.89311.7961-0.0243-2.6488
2002-12-200.91741.82040.01421.5722
2002-12-130.90321.8062-0.0113-1.2356
2002-12-060.91451.8175-0.0140-1.5078
2002-11-290.92851.83150.01651.8092
2002-11-220.91201.8150-0.0333-3.5227
2002-11-150.94531.8483-0.0327-3.3436
2002-11-080.97801.88100.01591.6526
2002-11-010.96211.8651-0.0083-0.8553
2002-10-250.97041.87340.00350.3620
2002-10-180.96691.8699-0.0064-0.6576
2002-10-110.97331.8763-0.0180-1.8158
2002-09-300.99131.8943-0.0001-0.0101
2002-09-270.99141.8944-0.0075-0.7508
2002-09-200.99891.9019-0.0047-0.4683
2002-09-131.00361.9066-0.0070-0.6927
2002-09-061.01061.9136-0.0112-1.0961
2002-08-301.02181.9248-0.0069-0.6707
2002-08-231.02871.93170.01671.6502
2002-08-161.01201.9150-0.0030-0.2956
2002-08-091.01501.9180-0.0045-0.4414
2002-08-021.01951.9225-0.0014-0.1371


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