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【长城久泰 200002】焦点指标(2013-08-13)

单位净值: 0.9555 累计净值: 3.8155 基金类型: 契约型开放式
投资风格: 平衡型 交易代码: 200002 行情代码:
投资类型: 股票型 申购费率上限: 1.5% 赎回费率上限: 0.5%
基金经理: 杨建华、刘海 基金管理人: 长城基金管理有限公司 基金托管人: 招商银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行: 平安银行股份有限公司1

长城久泰 [200002] 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(%)
2005-08-290.85480.8548-0.0099-1.1449
2005-08-260.86470.8647-0.0024-0.2768
2005-08-250.86710.8671-0.0021-0.2416
2005-08-240.86920.86920.00570.6601
2005-08-230.86350.8635-0.0064-0.7357
2005-08-220.86990.86990.00790.9165
2005-08-190.86200.86200.00170.1976
2005-08-180.86030.8603-0.0226-2.5597
2005-08-170.88290.88290.00630.7187
2005-08-160.87660.8766-0.0085-0.9603
2005-08-150.88510.88510.01952.2528
2005-08-120.86560.8656-0.0128-1.4572
2005-08-110.87840.87840.01251.4436
2005-08-100.86590.86590.00620.7212
2005-08-090.85970.85970.00400.4675
2005-08-080.85570.85570.00240.2813
2005-08-050.85330.85330.01762.1060
2005-08-040.83570.8357-0.0043-0.5119
2005-08-030.84000.84000.00490.5868
2005-08-020.83510.83510.00951.1507
2005-08-010.82560.82560.00270.3281
2005-07-290.82290.8229-0.0023-0.2787
2005-07-280.82520.8252-0.0027-0.3261
2005-07-270.82790.82790.01591.9581
2005-07-260.81200.81200.01692.1255
2005-07-250.79510.7951-0.0033-0.4133
2005-07-220.79840.79840.01161.4743
2005-07-210.78680.78680.00070.0890
2005-07-200.78610.78610.00640.8208
2005-07-190.77970.77970.00210.2701
2005-07-180.77760.7776-0.0060-0.7657
2005-07-150.78360.7836-0.0067-0.8478
2005-07-140.79030.79030.00330.4193
2005-07-130.78700.7870-0.0046-0.5811
2005-07-120.79160.79160.02443.1804
2005-07-110.76720.7672-0.0042-0.5445
2005-07-080.77140.7714-0.0122-1.5569
2005-07-070.78360.78360.00200.2559
2005-07-060.78160.7816-0.0074-0.9379
2005-07-050.78900.7890-0.0049-0.6172


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