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【国泰精选 020003】焦点指标(2013-08-13)

单位净值: 0.4900 累计净值: 3.5740 基金类型: 契约型开放式
投资风格: 成长型 交易代码: 020003 行情代码:
投资类型: 混合型 申购费率上限: 1.2% 赎回费率上限: 0.2%
基金经理: 基金管理人: 国泰基金管理有限公司 基金托管人: 上海浦东发展银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行:

国泰精选 [020003] 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(%)
2005-12-281.01801.05000.00100.0983
2005-12-271.01701.04900.00100.0984
2005-12-261.01601.04800.00400.3953
2005-12-231.01201.04400.00900.8973
2005-12-221.00301.03500.00800.8040
2005-12-210.99501.0270-0.0020-0.2006
2005-12-200.99701.02900.00100.1004
2005-12-190.99601.0280-0.0020-0.2004
2005-12-160.99801.03000.00700.7064
2005-12-150.99101.02300.00100.1010
2005-12-140.99001.02200.00600.6098
2005-12-130.98401.01600.00000.0000
2005-12-120.98401.0160-0.0020-0.2028
2005-12-090.98601.01800.01201.2320
2005-12-080.97401.0060-0.0010-0.1026
2005-12-070.97501.00700.00500.5155
2005-12-060.97001.00200.00100.1032
2005-12-050.96901.0010-0.0130-1.3238
2005-12-020.98201.01400.00100.1019
2005-12-010.98101.0130-0.0010-0.1018
2005-11-300.98201.01400.00100.1019
2005-11-290.98101.0130-0.0090-0.9091
2005-11-280.99001.0220-0.0040-0.4024
2005-11-250.99401.02600.00100.1007
2005-11-240.99301.02500.00000.0000
2005-11-230.99301.02500.00500.5061
2005-11-220.98801.0200-0.0050-0.5035
2005-11-210.99301.02500.00200.2018
2005-11-180.99101.02300.01201.2257
2005-11-170.97901.0110-0.0030-0.3055
2005-11-160.98201.0140-0.0010-0.1017
2005-11-150.98301.0150-0.0090-0.9073
2005-11-140.99201.0240-0.0050-0.5015
2005-11-110.99701.02900.00000.0000
2005-11-100.99701.0290-0.0080-0.7960
2005-11-091.00501.03700.00300.2994
2005-11-081.00201.03400.00400.4008
2005-11-070.99801.0300-0.0020-0.2000
2005-11-041.00001.03200.00100.1001
2005-11-030.99901.0310-0.0090-0.8929


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