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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(%)
2008-05-091.27974.94370.00200.1565
2008-04-301.27774.94170.03132.5112
2008-04-251.24644.91040.08257.0882
2008-04-181.46394.8279-0.5505-27.3282
2008-04-112.01444.97840.06683.4299
2008-04-031.94764.9116-0.0665-3.3017
2008-03-312.41414.9781-0.0482-1.9575
2008-03-282.46235.0263-0.0269-1.0807
2008-03-212.48925.0532-0.7342-22.7772
2008-03-143.22345.1224-0.2541-7.3070
2008-03-073.47755.3765-0.0168-0.4808
2008-02-293.49435.3933-0.0397-1.1234
2008-02-223.53405.4330-0.0774-2.1432
2008-02-153.61145.5104-0.0348-0.9544
2008-02-053.64625.54520.18375.3054
2008-02-013.46255.3615-0.2707-7.2512
2008-01-253.73325.6322-0.0938-2.4510
2008-01-183.82705.7260-0.1076-2.7347
2008-01-113.93465.83360.13753.6212
2008-01-043.79715.69610.04961.3235
2007-12-313.74755.6465-0.0003-0.0080
2007-12-283.74785.64680.14874.1316
2007-12-213.59915.49810.03841.0784
2007-12-143.56075.45970.00420.1181
2007-12-073.55655.45550.17245.0944
2007-11-303.38415.2831-0.0658-1.9073
2007-11-233.44995.3489-0.0604-1.7207
2007-11-163.51035.4093-0.0341-0.9621
2007-11-093.54445.4434-0.1669-4.4971
2007-11-023.71135.6103-0.0205-0.5493
2007-10-263.73185.6308-0.0478-1.2647
2007-10-193.77965.6786-0.0719-1.8668
2007-10-123.85155.75050.11293.0198
2007-09-303.73865.6376-0.0003-0.0080
2007-09-283.73895.63790.09962.7368
2007-09-213.63935.53830.00310.0853
2007-09-143.63625.53520.11083.1429
2007-09-073.52545.4244-0.2792-7.3385
2007-08-313.80465.45360.01810.4780
2007-08-243.78655.43550.378811.1160


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