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【基金兴华 500008】焦点指标(2012-12-07)

单位净值: 0.8531 累计净值: 5.1871 基金类型: 契约型封闭式
投资风格: 平衡型 交易代码: 500008 行情代码: 500008
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: 华夏基金管理有限公司 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:

基金兴华 [500008] 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(%)
2000-01-071.52911.55110.11227.9187
1999-12-311.42791.4499-0.0252-1.7342
1999-12-241.41691.4389-0.0379-2.6052
1999-12-171.45311.4751-0.0113-0.7716
1999-12-101.45481.4768-0.0234-1.5830
1999-12-031.46441.4864-0.0281-1.8827
1999-11-261.47821.50020.00040.0271
1999-11-191.49251.51450.05964.1594
1999-11-121.47781.49980.01931.3233
1999-11-051.43291.4549-0.0299-2.0440
1999-10-291.45851.4805-0.0330-2.2125
1999-10-221.46281.4848-0.0368-2.4540
1999-10-151.49151.5135-0.0289-1.9008
1999-10-081.49961.5216-0.0297-1.9421
1999-09-301.52041.5424-0.0162-1.0543
1999-09-241.52931.5513-0.0323-2.0684
1999-09-171.53661.55860.06334.2965
1999-09-101.56161.58360.05753.8229
1999-09-031.47331.4953-0.0320-2.1258
1999-08-271.50411.52610.04202.8726
1999-08-201.50531.5273-0.0265-1.7300
1999-08-131.46211.4841-0.0338-2.2595
1999-08-061.53181.55380.03782.5301
1999-07-301.49591.51790.09506.7814
1999-07-231.49401.51600.08696.1758
1999-07-161.40091.4229-0.0424-2.9377
1999-07-091.40711.4291-0.1354-8.7780
1999-07-021.44331.4653-0.0418-2.8146
1999-06-301.54251.56450.250519.3885
1999-06-251.48511.50710.297925.0927
1999-06-181.29201.31400.158513.9832
1999-06-111.18721.20920.05304.6729
1999-06-041.13351.15550.05885.4713
1999-05-281.13421.15620.10289.9670
1999-05-211.07471.09670.01471.3868
1999-05-141.03141.0534-0.0228-2.1628
1999-05-071.06001.08200.00290.2743
1999-04-301.05421.0762-0.0044-0.4156
1999-04-231.05711.0791-0.0192-1.7839
1999-04-161.05861.0806-0.0409-3.7199


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