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【大成优选 150002】焦点指标(2012-07-27)

单位净值: 0.7840 累计净值: 0.7840 基金类型: 契约型封闭式
投资风格: 成长型 交易代码: 150002 行情代码: 150002
投资类型: 股票型 申购费率上限: --% 赎回费率上限: --%
基金经理: 刘明 基金管理人: 大成基金管理有限公司 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:

大成优选 [150002] 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(%)
2011-04-121.09401.1470-0.0010-0.0913
2011-04-111.09501.1480-0.0170-1.5288
2011-04-081.11201.16500.00700.6335
2011-04-071.10501.15800.01501.3761
2011-04-061.09001.1430-0.0090-0.8189
2011-04-011.09901.15200.01401.2903
2011-03-311.08501.1380-0.0120-1.0939
2011-03-301.09701.15000.00100.0912
2011-03-291.09601.1490-0.0220-1.9678
2011-03-281.11801.1710-0.0020-0.1786
2011-03-251.12001.17300.01401.2658
2011-03-241.10601.1590-0.0050-0.4500
2011-03-231.11101.16400.01801.6468
2011-03-221.09301.14600.00200.1833
2011-03-211.09101.1440-0.0070-0.6375
2011-03-181.09801.15100.00500.4575
2011-03-171.09301.1460-0.0210-1.8851
2011-03-161.11401.16700.01401.2727
2011-03-151.10001.1530-0.0150-1.3453
2011-03-141.11501.16800.00600.5410
2011-03-111.10901.1620-0.0100-0.8937
2011-03-101.11901.1720-0.0080-0.7098
2011-03-091.12701.1800-0.0030-0.2655
2011-03-081.13001.1830-0.0040-0.3527
2011-03-071.13401.18700.02001.7953
2011-03-041.11401.16700.01301.1807
2011-03-031.10101.1540-0.0200-1.7841
2011-03-021.12101.17400.00700.6284
2011-03-011.11401.16700.00500.4509
2011-02-281.10901.16200.02502.3063
2011-02-251.08401.1370-0.0030-0.2760
2011-02-241.08701.14000.00800.7414
2011-02-231.07901.13200.00400.3721
2011-02-221.07501.1280-0.0210-1.9161
2011-02-211.09601.14900.03603.3962
2011-02-181.06001.1130-0.0120-1.1194
2011-02-171.07201.1250-0.0020-0.1862
2011-02-161.07401.12700.00700.6560
2011-02-151.06701.1200-0.0030-0.2804
2011-02-141.07001.12300.03203.0829


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