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【华夏回报 002001】焦点指标(2013-08-13)

单位净值: 1.4510元 累计净值: 3.6580 基金类型: 契约型开放式
投资风格: 收入型(价值型) 交易代码: 002001 行情代码:
投资类型: 混合型 申购费率上限: 1.8% 赎回费率上限: 0.5%
基金经理: 基金管理人: 华夏基金管理有限公司 基金托管人: 中国银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行: 平安银行股份有限公司1、浙商银行股份有限公司、宁波银行股份有限公司、中信银行股份有限公司、兴业银行股份有限公司、上海银行股份有限公司、中国银行股份有限公司

华夏回报 [002001] 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(%)
2008-12-031.02303.03500.01601.5889
2008-12-021.00703.01900.00200.1990
2008-12-011.00503.01700.00700.7014
2008-11-280.99803.0100-0.0020-0.2000
2008-11-271.00003.01200.00700.7049
2008-11-260.99303.00500.00100.1008
2008-11-250.99203.0040-0.0010-0.1007
2008-11-240.99303.0050-0.0070-0.7000
2008-11-211.00003.0120-0.0030-0.2991
2008-11-201.00303.0150-0.0060-0.5946
2008-11-191.00903.02100.01701.7137
2008-11-180.99203.0040-0.0230-2.2660
2008-11-171.01503.02700.00700.6944
2008-11-141.00803.02000.01301.3065
2008-11-130.99503.00700.01401.4271
2008-11-120.98102.99300.00200.2043
2008-11-110.97902.9910-0.0010-0.1020
2008-11-100.98002.99200.02102.1898
2008-11-070.95902.97100.00300.3138
2008-11-060.95602.9680-0.0080-0.8299
2008-11-050.96402.97600.01001.0482
2008-11-040.95402.9660-0.0050-0.5214
2008-11-030.95902.97100.00000.0000
2008-10-310.95902.9710-0.0040-0.4154
2008-10-300.96302.97500.00700.7322
2008-10-290.95602.9680-0.0060-0.6237
2008-10-280.96202.97400.00700.7330
2008-10-270.95502.9670-0.0200-2.0513
2008-10-240.97502.9870-0.0070-0.7128
2008-10-230.98202.99400.00100.1019
2008-10-220.98102.9930-0.0060-0.6079
2008-10-210.98702.99900.00200.2030
2008-10-200.98502.99700.01001.0256
2008-10-170.97502.98700.00000.0000
2008-10-160.97502.9870-0.0160-1.6145
2008-10-150.99103.0030-0.0060-0.6018
2008-10-140.99703.0090-0.0060-0.5982
2008-10-131.00303.01500.00800.8040
2008-10-100.99503.0070-0.0150-1.4851
2008-10-091.01003.0220-0.0030-0.2962


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