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【富国天成 100029】焦点指标(2013-08-13)

单位净值: 1.3055 累计净值: 1.5765 基金类型: 契约型开放式
投资风格: 收入型(价值型) 交易代码: 100029 行情代码:
投资类型: 混合型 申购费率上限: 1.8% 赎回费率上限: 0.6%
基金经理: 于江勇 基金管理人: 富国基金管理有限公司 基金托管人: 中国农业银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行: 中信银行股份有限公司

富国天成 [100029] 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(%)
2008-10-090.81570.8157-0.0049-0.5971
2008-10-080.82060.8206-0.0113-1.3583
2008-10-070.83190.8319-0.0022-0.2638
2008-10-060.83410.8341-0.0216-2.5242
2008-09-260.85570.85570.00810.9556
2008-09-250.84760.84760.01581.8995
2008-09-240.83180.83180.00210.2531
2008-09-230.82970.8297-0.0213-2.5029
2008-09-220.85100.85100.01802.1609
2008-09-190.83300.83300.03995.0309
2008-09-180.79310.7931-0.0131-1.6249
2008-09-170.80620.8062-0.0079-0.9704
2008-09-160.81410.8141-0.0110-1.3332
2008-09-120.82510.82510.00270.3283
2008-09-110.82240.8224-0.0115-1.3791
2008-09-100.83390.83390.00160.1922
2008-09-090.83230.83230.00190.2288
2008-09-080.83040.8304-0.0131-1.5531
2008-09-050.84350.8435-0.0089-1.0441
2008-09-040.85240.85240.00290.3414
2008-09-030.84950.8495-0.0116-1.3471
2008-09-020.86110.8611-0.0083-0.9547
2008-09-010.86940.8694-0.0187-2.1056
2008-08-290.88810.88810.01311.4971
2008-08-280.87500.87500.00130.1488
2008-08-270.87370.8737-0.0081-0.9186
2008-08-260.88180.8818-0.0151-1.6836
2008-08-250.89690.8969-0.0009-0.1002
2008-08-220.89780.8978-0.0099-1.0907
2008-08-210.90770.9077-0.0169-1.8278
2008-08-200.92460.92460.03123.4923
2008-08-190.89340.89340.00270.3031
2008-08-180.89070.8907-0.0249-2.7195
2008-08-150.91560.9156-0.0001-0.0109
2008-08-140.91570.91570.00300.3287
2008-08-130.91270.91270.00470.5176
2008-08-120.90800.90800.00300.3315
2008-08-110.90500.9050-0.0166-1.8012
2008-08-080.92160.9216-0.0159-1.6960
2008-08-070.93750.9375-0.0047-0.4988


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