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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(%)
2009-09-241.08401.08400.00200.1848
2009-09-231.08201.0820-0.0250-2.2584
2009-09-221.10701.1070-0.0190-1.6874
2009-09-211.12601.12600.00200.1779
2009-09-181.12401.1240-0.0330-2.8522
2009-09-171.15701.15700.01801.5803
2009-09-161.13901.1390-0.0100-0.8703
2009-09-151.14901.14900.00500.4371
2009-09-141.14401.14400.01601.4184
2009-09-111.12801.12800.01801.6216
2009-09-101.11001.1100-0.0100-0.8929
2009-09-091.12001.12000.01000.9009
2009-09-081.11001.11000.02101.9284
2009-09-071.08901.08900.01101.0204
2009-09-041.07801.07800.00800.7477
2009-09-031.07001.07000.05004.9020
2009-09-021.02001.02000.01301.2910
2009-09-011.00701.00700.00100.0994
2009-08-311.00601.0060-0.0740-6.8519
2009-08-281.08001.0800-0.0430-3.8290
2009-08-271.12301.1230-0.0060-0.5314
2009-08-261.12901.12900.01701.5288
2009-08-251.11201.1120-0.0310-2.7122
2009-08-241.14301.14300.01201.0610
2009-08-211.13101.13100.02902.6316
2009-08-201.10201.10200.04304.0604
2009-08-191.05901.0590-0.0500-4.5086
2009-08-181.10901.10900.01401.2785
2009-08-171.09501.0950-0.0720-6.1697
2009-08-141.16701.1670-0.0240-2.0151
2009-08-131.19101.19100.00900.7614
2009-08-121.18201.1820-0.0410-3.3524
2009-08-111.22301.22300.00200.1638
2009-08-101.22101.2210-0.0030-0.2451
2009-08-071.22401.2240-0.0340-2.7027
2009-08-061.25801.2580-0.0360-2.7821
2009-08-051.29401.2940-0.0230-1.7464
2009-08-041.31701.31700.00500.3811
2009-08-031.31201.31200.02802.1807
2009-07-311.28401.28400.03702.9671


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