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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(%)
2006-12-081.88923.0642-0.0384-1.9921
2006-12-011.92763.10260.11946.6033
2006-11-241.80822.98320.03952.2333
2006-11-171.76872.94370.03672.1189
2006-11-101.73202.90700.00930.5399
2006-11-031.72272.8977-0.0048-0.2779
2006-10-271.72752.9025-0.0082-0.4724
2006-10-201.73572.91070.00230.1327
2006-10-131.73342.9084-0.0126-0.7216
2006-09-301.74602.9210-0.0001-0.0057
2006-09-291.74612.92110.03622.1171
2006-09-221.70992.88490.06704.0782
2006-09-151.64292.81790.01320.8100
2006-09-081.62972.8047-0.0033-0.2021
2006-09-011.63302.80800.03882.4338
2006-08-251.59422.76920.04733.0577
2006-08-181.54692.7219-0.0046-0.2965
2006-08-111.55152.72650.01941.2662
2006-08-041.53212.7071-0.0875-5.4026
2006-07-281.61962.7946-0.0119-0.7294
2006-07-211.63152.8065-0.0186-1.1272
2006-07-141.65012.8251-0.0561-3.2880
2006-07-071.70622.88120.04572.7522
2006-06-301.66052.83550.06263.9176
2006-06-231.59792.77290.01310.8266
2006-06-161.58482.75980.05613.6698
2006-06-091.52872.7037-0.1042-6.3813
2006-06-021.63292.80790.08995.8263
2006-05-261.54302.7180-0.0457-2.8766
2006-05-191.58872.76370.03332.1409
2006-05-121.55542.73040.173812.5796
2006-04-281.38162.55660.08366.4407
2006-04-211.29802.47300.05404.3408
2006-04-141.24402.4190-0.0190-1.5044
2006-04-071.26302.43800.06595.5050
2006-03-311.19712.37210.03643.1360
2006-03-241.16072.33570.03212.8442
2006-03-171.12862.30360.03573.2665
2006-03-101.09292.2679-0.0186-1.6734
2006-03-031.11152.28650.01040.9445


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