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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(%)
2005-05-111.00401.0360-0.0160-1.5686
2005-05-101.02001.0520-0.0070-0.6816
2005-05-091.02701.0590-0.0200-1.9102
2005-04-291.04701.0790-0.0100-0.9461
2005-04-281.05701.08900.00600.5709
2005-04-271.05101.0830-0.0030-0.2846
2005-04-261.05401.08600.00400.3810
2005-04-251.05001.08200.00800.7678
2005-04-221.04201.07400.00100.0961
2005-04-211.04101.07300.01401.3632
2005-04-201.02701.0590-0.0040-0.3880
2005-04-191.03101.0630-0.0050-0.4826
2005-04-181.03601.0680-0.0060-0.5758
2005-04-151.04201.0740-0.0020-0.1916
2005-04-141.04401.0760-0.0010-0.0957
2005-04-131.04501.07700.01000.9662
2005-04-121.03501.0670-0.0050-0.4808
2005-04-111.04001.0720-0.0200-1.8868
2005-04-081.06001.09200.00900.8563
2005-04-071.05101.0830-0.0020-0.1899
2005-04-061.05301.08500.02001.9361
2005-04-051.03301.06500.00000.0000
2005-04-041.03301.06500.00200.1940
2005-04-011.03101.06300.02502.4851
2005-03-311.00601.03800.00500.4995
2005-03-301.00101.0330-0.0110-1.0870
2005-03-291.01201.0440-0.0020-0.1972
2005-03-281.01401.04600.00900.8955
2005-03-251.00501.03700.00100.0996
2005-03-241.00401.0360-0.0100-0.9862
2005-03-231.01401.0460-0.0090-0.8798
2005-03-221.02301.05500.00800.7882
2005-03-211.01501.04700.00700.6944
2005-03-181.00801.0400-0.0100-0.9823
2005-03-171.01801.0500-0.0020-0.1961
2005-03-161.02001.0520-0.0070-0.6816
2005-03-151.02701.0590-0.0120-1.1550
2005-03-141.03901.07100.01601.5640
2005-03-111.02301.05500.01101.0870
2005-03-101.01201.0440-0.0120-1.1719


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