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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(%)
2011-11-230.82700.8270-0.0120-1.4303
2011-11-220.83900.8390-0.0020-0.2378
2011-11-210.84100.84100.00200.2384
2011-11-180.83900.8390-0.0530-5.9417
2011-11-170.89200.8920-0.0020-0.2237
2011-11-160.89400.8940-0.0500-5.2966
2011-11-150.94400.9440-0.0040-0.4219
2011-11-140.94800.94800.03904.2904
2011-11-110.90900.9090-0.0040-0.4381
2011-11-100.91300.9130-0.0320-3.3862
2011-11-090.94500.94500.02202.3835
2011-11-080.92300.9230-0.0080-0.8593
2011-11-070.93100.9310-0.0210-2.2059
2011-11-040.95200.95200.01401.4925
2011-11-030.93800.93800.01001.0776
2011-11-020.92800.92800.02602.8825
2011-11-010.90200.9020-0.0020-0.2212
2011-10-310.90400.9040-0.0110-1.2022
2011-10-280.91500.91500.04405.0517
2011-10-270.87100.87100.00000.0000
2011-10-260.87100.87100.02002.3502
2011-10-250.85100.85100.04605.7143
2011-10-240.80500.80500.04305.6430
2011-10-210.76200.7620-0.0220-2.8061
2011-10-200.78400.7840-0.0500-5.9952
2011-10-190.83400.8340-0.0180-2.1127
2011-10-180.85200.8520-0.0550-6.0639
2011-10-170.90700.90700.00800.8899
2011-10-140.89900.8990-0.0080-0.8820
2011-10-130.90700.90700.01401.5677
2011-10-120.89300.89300.05907.0743
2011-10-110.83400.8340-0.0160-1.8824
2011-10-100.85000.8500-0.0210-2.4110
2011-09-300.87100.8710-0.0020-0.2291
2011-09-290.87300.8730-0.0250-2.7840
2011-09-280.89800.8980-0.0180-1.9651
2011-09-270.91600.91600.01802.0045
2011-09-260.89800.8980-0.0340-3.6481
2011-09-230.93200.9320-0.0210-2.2036
2011-09-220.95300.9530-0.0600-5.9230


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