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【华夏复兴 000031】焦点指标(2013-08-13)

单位净值: 1.3500 累计净值: 1.3500 基金类型: 契约型开放式
投资风格: 成长型 交易代码: 000031 行情代码:
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: 中国农业银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行: 青岛银行股份有限公司

华夏复兴 [000031] 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(%)
2011-09-211.24301.24300.03002.4732
2011-09-201.21301.21300.00600.4971
2011-09-191.20701.2070-0.0240-1.9496
2011-09-161.23101.2310-0.0010-0.0812
2011-09-151.23201.23200.00300.2441
2011-09-141.22901.22900.00800.6552
2011-09-131.22101.2210-0.0130-1.0535
2011-09-091.23401.2340-0.0060-0.4839
2011-09-081.24001.2400-0.0090-0.7206
2011-09-071.24901.24900.02101.7101
2011-09-061.22801.2280-0.0200-1.6026
2011-09-051.24801.2480-0.0290-2.2709
2011-09-021.27701.2770-0.0180-1.3900
2011-09-011.29501.2950-0.0060-0.4612
2011-08-311.30101.3010-0.0010-0.0768
2011-08-301.30201.3020-0.0110-0.8378
2011-08-291.31301.3130-0.0130-0.9804
2011-08-261.32601.3260-0.0040-0.3008
2011-08-251.33001.33000.03002.3077
2011-08-241.30001.30000.00600.4637
2011-08-231.29401.29400.01401.0938
2011-08-221.28001.2800-0.0170-1.3107
2011-08-191.29701.2970-0.0100-0.7651
2011-08-181.30701.3070-0.0230-1.7293
2011-08-171.33001.3300-0.0050-0.3745
2011-08-161.33501.3350-0.0080-0.5957
2011-08-151.34301.34300.01601.2057
2011-08-121.32701.32700.00300.2266
2011-08-111.32401.32400.02101.6117
2011-08-101.30301.30300.01301.0078
2011-08-091.29001.29000.01000.7813
2011-08-081.28001.2800-0.0490-3.6870
2011-08-051.32901.3290-0.0160-1.1896
2011-08-041.34501.34500.00600.4481
2011-08-031.33901.33900.00300.2246
2011-08-021.33601.3360-0.0050-0.3729
2011-08-011.34101.34100.00300.2242
2011-07-291.33801.3380-0.0140-1.0355
2011-07-281.35201.3520-0.0030-0.2214
2011-07-271.35501.35500.01300.9687


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