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【国投成长 121008】焦点指标(2013-08-13)

单位净值: 0.6705 累计净值: 2.0619 基金类型: 契约型开放式
投资风格: 成长型 交易代码: 121008 行情代码:
投资类型: 股票型 申购费率上限: 1.8% 赎回费率上限: 0.5%
基金经理: 基金管理人: 国投瑞银基金管理有限公司 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:

国投成长 [121008] 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(%)
2008-12-020.57171.25340.00621.0964
2008-12-010.56551.23980.01162.0942
2008-11-280.55391.2143-0.0026-0.4672
2008-11-270.55651.22000.00631.1450
2008-11-260.55021.20620.00160.2917
2008-11-250.54861.2027-0.0024-0.4356
2008-11-240.55101.2080-0.0142-2.5124
2008-11-210.56521.2391-0.0027-0.4754
2008-11-200.56791.2450-0.0033-0.5777
2008-11-190.57121.25230.02254.1006
2008-11-180.54871.2029-0.0252-4.3910
2008-11-170.57391.25820.01382.4638
2008-11-140.56011.22790.01352.4698
2008-11-130.54661.19830.01592.9960
2008-11-120.53071.16350.00320.6066
2008-11-110.52751.1565-0.0019-0.3589
2008-11-100.52941.16060.02354.6452
2008-11-070.50591.10910.00320.6366
2008-11-060.50271.1021-0.0085-1.6628
2008-11-050.51121.12070.01262.5271
2008-11-040.49861.0931-0.0039-0.7761
2008-11-030.50251.10170.00060.1195
2008-10-310.50191.1003-0.0054-1.0645
2008-10-300.50731.11220.00571.1364
2008-10-290.50161.0997-0.0077-1.5119
2008-10-280.50931.11660.00801.5959
2008-10-270.50131.0990-0.0216-4.1308
2008-10-240.52291.1464-0.0111-2.0787
2008-10-230.53401.1707-0.0004-0.0749
2008-10-220.53441.1716-0.0071-1.3112
2008-10-210.54151.1872-0.0009-0.1659
2008-10-200.54241.18910.01082.0316
2008-10-170.53161.16540.00030.0565
2008-10-160.53131.1648-0.0174-3.1711
2008-10-150.54871.2029-0.0041-0.7417
2008-10-140.55281.2119-0.0076-1.3562
2008-10-130.56041.22860.00901.6322
2008-10-100.55141.2089-0.0165-2.9054
2008-10-090.56791.2450-0.0058-1.0110
2008-10-080.57371.2577-0.0142-2.4154


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