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【融通动力 161609】焦点指标(2013-08-13)

单位净值: 1.1160 累计净值: 1.6610 基金类型: 契约型开放式
投资风格: 收入型(价值型) 交易代码: 161609 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: 融通基金管理有限公司 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:

融通动力 [161609] 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(%)
2008-04-102.01802.11800.01900.9505
2008-04-091.99902.0990-0.0850-4.0787
2008-04-082.08402.18400.02301.1160
2008-04-072.06102.16100.07203.6199
2008-04-031.98902.08900.03701.8955
2008-04-021.95202.0520-0.0120-0.6110
2008-04-011.96402.0640-0.0750-3.6783
2008-03-312.03902.1390-0.0510-2.4402
2008-03-282.09002.19000.06803.3630
2008-03-272.02202.1220-0.0560-2.6949
2008-03-262.07802.17800.01200.5808
2008-03-252.06602.16600.02801.3739
2008-03-242.03802.1380-0.0870-4.0941
2008-03-212.12502.22500.01000.4728
2008-03-202.11502.21500.06102.9698
2008-03-192.05402.15400.06003.0090
2008-03-181.99402.0940-0.1060-5.0476
2008-03-172.10002.2000-0.1030-4.6754
2008-03-142.20302.3030-0.0280-1.2550
2008-03-132.23102.3310-0.0610-2.6614
2008-03-122.29202.3920-0.0710-3.0047
2008-03-112.36302.4630-0.0050-0.2111
2008-03-102.36802.4680-0.0940-3.8180
2008-03-072.46202.5620-0.0400-1.5987
2008-03-062.50202.60200.01700.6841
2008-03-052.48502.5850-0.0140-0.5602
2008-03-042.49902.5990-0.0600-2.3447
2008-03-032.55902.65900.06702.6886
2008-02-292.49202.59200.03301.3420
2008-02-282.45902.5590-0.0040-0.1624
2008-02-272.46302.56300.04601.9032
2008-02-262.41702.5170-0.0200-0.8207
2008-02-252.43702.5370-0.0670-2.6757
2008-02-222.50402.6040-0.0660-2.5681
2008-02-212.57002.6700-0.0110-0.4262
2008-02-202.58102.6810-0.0450-1.7136
2008-02-192.62602.72600.04001.5468
2008-02-182.58602.68600.03401.3323
2008-02-152.55202.6520-0.0310-1.2002
2008-02-142.58302.68300.01800.7018


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