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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(%)
2009-07-301.24701.24700.02001.6300
2009-07-291.22701.2270-0.0580-4.5136
2009-07-281.28501.28500.00800.6265
2009-07-271.27701.27700.01801.4297
2009-07-241.25901.25900.00200.1591
2009-07-231.25701.25700.00600.4796
2009-07-221.25101.25100.02401.9560
2009-07-211.22701.2270-0.0150-1.2077
2009-07-201.24201.24200.02001.6367
2009-07-171.22201.22200.00700.5761
2009-07-161.21501.21500.00600.4963
2009-07-151.20901.20900.01901.5966
2009-07-141.19001.19000.03803.2986
2009-07-131.15201.1520-0.0180-1.5385
2009-07-101.17001.1700-0.0020-0.1706
2009-07-091.17201.17200.02201.9130
2009-07-081.15001.15000.01201.0545
2009-07-071.13801.1380-0.0170-1.4719
2009-07-061.15501.15500.02001.7621
2009-07-031.13501.13500.01501.3393
2009-07-021.12001.12000.01601.4493
2009-07-011.10401.10400.03603.3708
2009-06-301.06801.0680-0.0070-0.6512
2009-06-291.07501.07500.01701.6068
2009-06-261.05801.05800.01000.9542
2009-06-251.04801.04800.00600.5758
2009-06-241.04201.04200.00700.6763
2009-06-231.03501.03500.00900.8772
2009-06-221.02601.02600.00800.7859
2009-06-191.01801.01800.00500.4936
2009-06-181.01301.01300.01201.1988
2009-06-171.00101.00100.02002.0387
2009-06-160.98100.9810-0.0090-0.9091
2009-06-150.99000.99000.02002.0619
2009-06-120.97000.9700-0.0140-1.4228
2009-06-110.98400.9840-0.0100-1.0060
2009-06-100.99400.99400.00600.6073
2009-06-090.98800.9880-0.0010-0.1011
2009-06-080.98900.98900.00900.9184
2009-06-050.98000.9800-0.0110-1.1100


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