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【华宝动力 240004】焦点指标(2013-08-13)

单位净值: 0.8161 累计净值: 3.3261 基金类型: 契约型开放式
投资风格: 成长型 交易代码: 240004 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: 基金管理人: 华宝兴业基金管理有限公司 基金托管人: 中国银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行:

华宝动力 [240004] 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(%)
2008-08-060.73003.24000.00020.0274
2008-08-050.72983.2398-0.0138-1.8558
2008-08-040.74363.2536-0.0138-1.8220
2008-08-010.75743.26740.00861.1485
2008-07-310.74883.2588-0.0173-2.2582
2008-07-300.76613.2761-0.0033-0.4289
2008-07-290.76943.2794-0.0090-1.1562
2008-07-280.77843.28840.00660.8551
2008-07-250.77183.2818-0.0030-0.3872
2008-07-240.77483.28480.01572.0682
2008-07-230.75913.2691-0.0056-0.7323
2008-07-220.76473.2747-0.0003-0.0392
2008-07-210.76503.27500.01802.4096
2008-07-180.74703.25700.01932.6522
2008-07-170.72773.2377-0.0049-0.6689
2008-07-160.73263.2426-0.0214-2.8382
2008-07-150.75403.2640-0.0216-2.7849
2008-07-140.77563.28560.00560.7273
2008-07-110.77003.2800-0.0045-0.5810
2008-07-100.77453.2845-0.0060-0.7687
2008-07-090.78053.29050.02172.8598
2008-07-080.75883.26880.00400.5299
2008-07-070.75483.26480.02843.9097
2008-07-040.72643.2364-0.0010-0.1375
2008-07-030.72743.23740.01482.0769
2008-07-020.71263.22260.00630.8920
2008-07-010.70633.2163-0.0162-2.2422
2008-06-300.72253.2325-0.0013-0.1796
2008-06-270.72383.2338-0.0318-4.2086
2008-06-260.75563.26560.00330.4387
2008-06-250.75233.26230.02373.2528
2008-06-240.72863.23860.01241.7314
2008-06-230.71623.2262-0.0131-1.7962
2008-06-200.72933.23930.00801.1091
2008-06-190.72133.2313-0.0475-6.1785
2008-06-180.76883.27880.02974.0184
2008-06-170.73913.2491-0.0268-3.4992
2008-06-160.76593.2759-0.0026-0.3383
2008-06-130.76853.2785-0.0193-2.4499
2008-06-120.78783.2978-0.0100-1.2534


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