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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(%)
2005-07-060.95700.9890-0.0120-1.2384
2005-07-050.96901.0010-0.0020-0.2060
2005-07-040.97101.00300.00500.5176
2005-07-010.96600.9980-0.0150-1.5291
2005-06-300.98101.0130-0.0060-0.6079
2005-06-290.98701.0190-0.0030-0.3030
2005-06-280.99001.0220-0.0100-1.0000
2005-06-271.00001.03200.01001.0101
2005-06-240.99001.02200.00300.3040
2005-06-230.98701.0190-0.0040-0.4036
2005-06-220.99101.02300.00900.9165
2005-06-210.98201.0140-0.0040-0.4057
2005-06-200.98601.01800.02402.4948
2005-06-170.96200.9940-0.0020-0.2075
2005-06-160.96400.99600.01201.2605
2005-06-150.95200.9840-0.0040-0.4184
2005-06-140.95600.9880-0.0040-0.4167
2005-06-130.96000.9920-0.0060-0.6211
2005-06-100.96600.9980-0.0130-1.3279
2005-06-090.97901.0110-0.0030-0.3055
2005-06-080.98201.01400.05405.8190
2005-06-070.92800.9600-0.0050-0.5359
2005-06-060.93300.96500.02702.9801
2005-06-030.90600.93800.00500.5549
2005-06-020.90100.9330-0.0290-3.1183
2005-06-010.93000.9620-0.0100-1.0638
2005-05-310.94000.97200.00400.4274
2005-05-300.93600.96800.00300.3215
2005-05-270.93300.9650-0.0130-1.3742
2005-05-260.94600.9780-0.0130-1.3556
2005-05-250.95900.99100.00000.0000
2005-05-240.95900.9910-0.0050-0.5187
2005-05-230.96400.9960-0.0120-1.2295
2005-05-200.97601.00800.00300.3083
2005-05-190.97301.00500.00000.0000
2005-05-180.97301.0050-0.0080-0.8155
2005-05-170.98101.01300.00300.3067
2005-05-160.97801.0100-0.0060-0.6098
2005-05-130.98401.0160-0.0040-0.4049
2005-05-120.98801.0200-0.0160-1.5936


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