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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(%)
2005-11-011.00301.1220-0.0030-0.2982
2005-10-311.00601.12500.00400.3992
2005-10-281.00201.1210-0.0040-0.3976
2005-10-271.00601.12500.00400.3992
2005-10-261.00201.1210-0.0140-1.3780
2005-10-251.01601.1350-0.0130-1.2634
2005-10-241.02901.14800.00700.6849
2005-10-211.02201.14100.00200.1961
2005-10-201.02001.13900.00000.0000
2005-10-191.02001.1390-0.0060-0.5848
2005-10-181.02601.14500.00100.0976
2005-10-171.02501.14400.00200.1955
2005-10-141.02301.1420-0.0110-1.0638
2005-10-131.03401.1530-0.0050-0.4812
2005-10-121.03901.15800.00800.7759
2005-10-111.03101.15000.00800.7820
2005-10-101.02301.1420-0.0050-0.4864
2005-09-301.02801.14700.00400.3906
2005-09-291.02401.14300.00800.7874
2005-09-281.01601.13500.00200.1972
2005-09-271.01401.1330-0.0010-0.0985
2005-09-261.01501.13400.00300.2964
2005-09-231.01201.13100.00000.0000
2005-09-221.01201.1310-0.0090-0.8815
2005-09-211.02101.1400-0.0090-0.8738
2005-09-201.03001.1490-0.0060-0.5792
2005-09-191.03601.1550-0.0010-0.0964
2005-09-161.03701.1560-0.0030-0.2885
2005-09-151.04001.15900.00000.0000
2005-09-141.04001.15900.00100.0962
2005-09-131.03901.15800.01201.1685
2005-09-121.02701.14600.00200.1951
2005-09-091.02501.1440-0.0030-0.2918
2005-09-081.02801.14700.00400.3906
2005-09-071.02401.14300.00900.8867
2005-09-061.01501.1340-0.0090-0.8789
2005-09-051.02401.14300.00000.0000
2005-09-021.02401.14300.00400.3922
2005-09-011.02001.13900.01000.9901
2005-08-311.01001.12900.01001.0000


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