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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(%)
2005-08-311.02101.05300.00800.7897
2005-08-301.01301.0450-0.0010-0.0986
2005-08-291.01401.0460-0.0070-0.6856
2005-08-261.02101.0530-0.0030-0.2930
2005-08-251.02401.0560-0.0020-0.1949
2005-08-241.02601.05800.00500.4897
2005-08-231.02101.0530-0.0050-0.4873
2005-08-221.02601.05800.00600.5882
2005-08-191.02001.05200.00000.0000
2005-08-181.02001.0520-0.0210-2.0173
2005-08-171.04101.07300.00700.6770
2005-08-161.03401.0660-0.0070-0.6724
2005-08-151.04101.07300.01501.4620
2005-08-121.02601.0580-0.0090-0.8696
2005-08-111.03501.06700.01601.5702
2005-08-101.01901.05100.00800.7913
2005-08-091.01101.04300.00200.1982
2005-08-081.00901.0410-0.0060-0.5911
2005-08-051.01501.04700.01201.1964
2005-08-041.00301.0350-0.0020-0.1990
2005-08-031.00501.03700.00000.0000
2005-08-021.00501.03700.00600.6006
2005-08-010.99901.03100.00200.2006
2005-07-290.99701.0290-0.0060-0.5982
2005-07-281.00301.0350-0.0020-0.1990
2005-07-271.00501.03700.01101.1066
2005-07-260.99401.02600.01001.0163
2005-07-250.98401.0160-0.0010-0.1015
2005-07-220.98501.01700.01001.0256
2005-07-210.97501.0070-0.0020-0.2047
2005-07-200.97701.00900.00800.8256
2005-07-190.96901.00100.00000.0000
2005-07-180.96901.0010-0.0040-0.4111
2005-07-150.97301.0050-0.0020-0.2051
2005-07-140.97501.00700.00600.6192
2005-07-130.96901.0010-0.0020-0.2060
2005-07-120.97101.00300.01901.9958
2005-07-110.95200.98400.00000.0000
2005-07-080.95200.9840-0.0010-0.1049
2005-07-070.95300.9850-0.0040-0.4180


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