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【南方策略 202019】焦点指标(2013-08-13)

单位净值: 0.6470 累计净值: 0.6670 基金类型: 契约型开放式
投资风格: 成长型 交易代码: 202019 行情代码:
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: 南方基金管理有限公司 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:

南方策略 [202019] 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(%)
2012-11-150.59600.6160-0.0080-1.3245
2012-11-140.60400.62400.00200.3322
2012-11-130.60200.6220-0.0100-1.6340
2012-11-120.61200.63200.00100.1637
2012-11-090.61100.6310-0.0020-0.3263
2012-11-080.61300.6330-0.0110-1.7628
2012-11-070.62400.6440-0.0020-0.3195
2012-11-060.62600.6460-0.0040-0.6349
2012-11-050.63000.6500-0.0030-0.4739
2012-11-020.63300.65300.00200.3170
2012-11-010.63100.65100.01101.7742
2012-10-310.62000.64000.00400.6494
2012-10-300.61600.6360-0.0010-0.1621
2012-10-290.61700.6370-0.0010-0.1618
2012-10-260.61800.6380-0.0110-1.7488
2012-10-250.62900.6490-0.0050-0.7886
2012-10-240.63400.6540-0.0020-0.3145
2012-10-230.63600.6560-0.0090-1.3953
2012-10-220.64500.66500.00200.3110
2012-10-190.64300.66300.00000.0000
2012-10-180.64300.66300.01001.5798
2012-10-170.63300.65300.00000.0000
2012-10-160.63300.65300.00300.4762
2012-10-150.63000.6500-0.0010-0.1585
2012-10-120.63100.6510-0.0010-0.1582
2012-10-110.63200.6520-0.0060-0.9404
2012-10-100.63800.65800.00300.4724
2012-10-090.63500.65500.01402.2544
2012-10-080.62100.6410-0.0050-0.7987
2012-09-280.62600.64600.01001.6234
2012-09-270.61600.63600.01502.4958
2012-09-260.60100.6210-0.0110-1.7974
2012-09-250.61200.6320-0.0010-0.1631
2012-09-240.61300.63300.00600.9885
2012-09-210.60700.6270-0.0010-0.1645
2012-09-200.60800.6280-0.0150-2.4077
2012-09-190.62300.64300.00400.6462
2012-09-180.61900.6390-0.0040-0.6421
2012-09-170.62300.6430-0.0180-2.8081
2012-09-140.64100.66100.00300.4702


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