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【银华锐进 150019】焦点指标(2013-08-13)

单位净值: 0.5050 累计净值: 0.5050 基金类型: 契约型开放式
投资风格: 平衡型 交易代码: 150019 行情代码: 150019
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: 银华基金管理有限公司 基金托管人: 中国民生银行股份有限公司
购  买: - 赎  回: -    
代销银行:

银华锐进 [150019] 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(%)
2012-03-220.78000.7800-0.0080-1.0152
2012-03-210.78800.78800.00000.0000
2012-03-200.78800.7880-0.0320-3.9024
2012-03-190.82000.82000.00500.6135
2012-03-160.81500.81500.03204.0868
2012-03-150.78300.7830-0.0100-1.2610
2012-03-140.79300.7930-0.0600-7.0340
2012-03-130.85300.85300.01702.0335
2012-03-120.83600.8360-0.0040-0.4762
2012-03-090.84000.84000.02603.1941
2012-03-080.81400.81400.02202.7778
2012-03-070.79200.7920-0.0110-1.3699
2012-03-060.80300.8030-0.0220-2.6667
2012-03-050.82500.8250-0.0100-1.1976
2012-03-020.83500.83500.04205.2963
2012-03-010.79300.79300.00100.1263
2012-02-290.79200.7920-0.0220-2.7027
2012-02-280.81400.8140-0.0040-0.4890
2012-02-270.81800.81800.00800.9877
2012-02-240.81000.81000.03304.2471
2012-02-230.77700.77700.01001.3038
2012-02-220.76700.76700.03204.3537
2012-02-210.73500.73500.01602.2253
2012-02-200.71900.71900.00100.1393
2012-02-170.71800.7180-0.0020-0.2778
2012-02-160.72000.7200-0.0080-1.0989
2012-02-150.72800.72800.02203.1161
2012-02-140.70600.7060-0.0040-0.5634
2012-02-130.71000.71000.00100.1410
2012-02-100.70900.70900.00600.8535
2012-02-090.70300.70300.00400.5722
2012-02-080.69900.69900.04807.3733
2012-02-070.65100.6510-0.0330-4.8246
2012-02-060.68400.68400.00400.5882
2012-02-030.68000.68000.01201.7964
2012-02-020.66800.66800.03205.0314
2012-02-010.63600.6360-0.0210-3.1963
2012-01-310.65700.65700.00400.6126
2012-01-300.65300.6530-0.0320-4.6715
2012-01-200.68500.68500.02603.9454


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