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【建信优势 150003】焦点指标(2012-12-10)

单位净值: 0.8460 累计净值: 0.8460 基金类型: 契约型封闭式
投资风格: 成长型 交易代码: 150003 行情代码: 150003
投资类型: 股票型 申购费率上限: --% 赎回费率上限: --%
基金经理: 基金管理人: 建信基金管理有限责任公司 基金托管人: 交通银行股份有限公司
购  买: 暂停 赎  回: 暂停    
代销银行:

建信优势 [150003] 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(%)
2011-10-210.83600.8360-0.0030-0.3576
2011-10-200.83900.8390-0.0130-1.5258
2011-10-190.85200.8520-0.0050-0.5834
2011-10-180.85700.8570-0.0150-1.7202
2011-10-170.87200.87200.00600.6928
2011-10-140.86600.8660-0.0010-0.1153
2011-10-130.86700.86700.00500.5800
2011-10-120.86200.86200.01702.0118
2011-10-110.84500.8450-0.0020-0.2361
2011-10-100.84700.8470-0.0060-0.7034
2011-09-300.85300.85300.00000.0000
2011-09-290.85300.8530-0.0050-0.5828
2011-09-280.85800.8580-0.0060-0.6944
2011-09-270.86400.86400.00400.4651
2011-09-260.86000.8600-0.0140-1.6018
2011-09-230.87400.8740-0.0050-0.5688
2011-09-220.87900.8790-0.0160-1.7877
2011-09-210.89500.89500.01301.4739
2011-09-200.88200.88200.00100.1135
2011-09-190.88100.8810-0.0090-1.0112
2011-09-160.89000.89000.00100.1125
2011-09-150.88900.88900.00000.0000
2011-09-140.88900.88900.00300.3386
2011-09-130.88600.8860-0.0060-0.6726
2011-09-090.89200.8920-0.0050-0.5574
2011-09-080.89700.8970-0.0050-0.5543
2011-09-070.90200.90200.01201.3483
2011-09-060.89000.8900-0.0050-0.5587
2011-09-050.89500.8950-0.0120-1.3230
2011-09-020.90700.9070-0.0050-0.5482
2011-09-010.91200.9120-0.0030-0.3279
2011-08-310.91500.9150-0.0020-0.2181
2011-08-300.91700.9170-0.0030-0.3261
2011-08-290.92000.9200-0.0080-0.8621
2011-08-260.92800.9280-0.0010-0.1076
2011-08-250.92900.92900.01401.5301
2011-08-240.91500.9150-0.0030-0.3268
2011-08-230.91800.91800.00700.7684
2011-08-220.91100.9110-0.0100-1.0858
2011-08-190.92100.9210-0.0040-0.4324


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