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【博时信用C 050111】焦点指标(2013-08-13)

单位净值: 1.0900 累计净值: 1.1500 基金类型: 契约型开放式
投资风格: 未公布 交易代码: 050111 行情代码:
投资类型: 债券型 申购费率上限: --% 赎回费率上限: --%
基金经理: 过钧 基金管理人: 博时基金管理有限公司 基金托管人: 中国工商银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行:

博时信用C [050111] 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(%)
2013-08-131.09001.15000.00700.6464
2013-08-121.08301.14300.01701.5947
2013-08-091.06601.1260-0.0010-0.0937
2013-08-081.06701.1270-0.0010-0.0936
2013-08-071.06801.1280-0.0070-0.6512
2013-08-061.07501.13500.01301.2241
2013-08-051.06201.12200.01101.0466
2013-08-021.05101.11100.00100.0952
2013-08-011.05001.11000.01601.5474
2013-07-311.03401.09400.00500.4859
2013-07-301.02901.08900.00000.0000
2013-07-291.02901.0890-0.0120-1.1527
2013-07-261.04101.10100.00100.0962
2013-07-251.04001.1000-0.0030-0.2876
2013-07-241.04301.1030-0.0060-0.5720
2013-07-231.04901.10900.01000.9625
2013-07-221.03901.0990-0.0010-0.0962
2013-07-191.04001.1000-0.0100-0.9524
2013-07-181.05001.1100-0.0140-1.3158
2013-07-171.06401.1240-0.0110-1.0233
2013-07-161.07501.1350-0.0060-0.5550
2013-07-151.08101.14100.00200.1854
2013-07-121.07901.1390-0.0090-0.8272
2013-07-111.08801.14800.01601.4925
2013-07-101.07201.13200.01101.0368
2013-07-091.06101.12100.00000.0000
2013-07-081.06101.1210-0.0150-1.3941
2013-07-051.07601.13600.00600.5607
2013-07-041.07001.13000.00400.3752
2013-07-031.06601.1260-0.0080-0.7449
2013-07-021.07401.13400.00300.2801
2013-07-011.07101.13100.01901.8061
2013-06-301.05201.11200.00000.0000
2013-06-281.05201.11200.01000.9597
2013-06-271.04201.10200.00100.0961
2013-06-261.04101.10100.00500.4826
2013-06-251.03601.09600.02001.9685
2013-06-241.01601.0760-0.0410-3.8789
2013-06-211.05701.11700.00600.5709
2013-06-201.05101.1110-0.0520-4.7144


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