我的基金账户

用户名: 密码:

【易基策略 110002】焦点指标(2013-08-13)

单位净值: 3.8040元 累计净值: 4.9340 基金类型: 契约型开放式
投资风格: 成长型 交易代码: 110002 行情代码:
投资类型: 混合型 申购费率上限: 1.5% 赎回费率上限: 0.5%
基金经理: 基金管理人: 易方达基金管理有限公司 基金托管人: 中国银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行: 招商银行股份有限公司、北京银行股份有限公司、中国邮政储蓄银行股份有限公司

易基策略 [110002] 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(%)
2005-08-311.10201.20200.00900.8234
2005-08-301.09301.1930-0.0050-0.4554
2005-08-291.09301.1930-0.0090-0.8167
2005-08-261.09801.1980-0.0090-0.8130
2005-08-251.10201.2020-0.0040-0.3617
2005-08-241.10701.2070-0.0010-0.0903
2005-08-231.10601.20600.00900.8204
2005-08-221.10801.20800.01301.1872
2005-08-191.09701.1970-0.0170-1.5260
2005-08-181.09501.1950-0.0140-1.2624
2005-08-171.11401.2140-0.0100-0.8897
2005-08-161.10901.20900.00200.1807
2005-08-151.12401.22400.00100.0890
2005-08-121.10701.20700.00600.5450
2005-08-111.12301.22300.02702.4635
2005-08-101.10101.20100.00100.0909
2005-08-091.09601.1960-0.0100-0.9042
2005-08-081.10001.20000.00900.8249
2005-08-051.10601.20600.01301.1894
2005-08-041.09101.19100.00100.0917
2005-08-031.09301.19300.00900.8303
2005-08-021.09001.19000.00800.7394
2005-08-011.08401.1840-0.0020-0.1842
2005-07-291.08201.1820-0.0070-0.6428
2005-07-281.08601.18600.01101.0233
2005-07-271.08901.18900.02402.2535
2005-07-261.07501.17500.00600.5613
2005-07-251.06501.16500.00500.4717
2005-07-221.06901.16900.01301.2311
2005-07-211.06001.16000.01201.1450
2005-07-201.05601.15600.00800.7634
2005-07-191.04801.1480-0.0040-0.3802
2005-07-181.04801.1480-0.0050-0.4748
2005-07-151.05201.15200.00500.4776
2005-07-141.05301.15300.00200.1903
2005-07-131.04701.14700.01301.2573
2005-07-121.05101.15100.01401.3500
2005-07-111.03401.1340-0.0040-0.3854
2005-07-081.03701.1370-0.0010-0.0963
2005-07-071.03801.1380-0.0150-1.4245


本信息仅供参考,如有错漏请以证监会、交易所、上市公司公告原文为准,读者据此操作产生的盈亏与本公司无关,特此声明。