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【华夏收入 288002】焦点指标(2013-08-13)

单位净值: 2.4910 累计净值: 3.8910 基金类型: 契约型开放式
投资风格: 平衡型 交易代码: 288002 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: 华夏基金管理有限公司 基金托管人: 中国建设银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行:

华夏收入 [288002] 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(%)
2011-11-232.34503.7450-0.0080-0.3400
2011-11-222.35303.75300.00600.2556
2011-11-212.34703.7470-0.0020-0.0851
2011-11-182.34903.7490-0.0360-1.5094
2011-11-172.38503.7850-0.0010-0.0419
2011-11-162.38603.7860-0.0500-2.0525
2011-11-152.43603.83600.00200.0822
2011-11-142.43403.83400.04101.7133
2011-11-112.39303.79300.00100.0418
2011-11-102.39203.7920-0.0220-0.9114
2011-11-092.41403.81400.02801.1735
2011-11-082.38603.7860-0.0170-0.7074
2011-11-072.40303.8030-0.0220-0.9072
2011-11-042.42503.82500.01000.4141
2011-11-032.41503.81500.00300.1244
2011-11-022.41203.81200.04301.8151
2011-11-012.36903.76900.00600.2539
2011-10-312.36303.76300.00300.1271
2011-10-282.36003.76000.03101.3310
2011-10-272.32903.72900.00700.3015
2011-10-262.32203.72200.02200.9565
2011-10-252.30003.70000.04401.9504
2011-10-242.25603.65600.04201.8970
2011-10-212.21403.6140-0.0130-0.5837
2011-10-202.22703.6270-0.0480-2.1099
2011-10-192.27503.6750-0.0200-0.8715
2011-10-182.29503.6950-0.0410-1.7551
2011-10-172.33603.73600.01000.4299
2011-10-142.32603.7260-0.0060-0.2573
2011-10-132.33203.73200.01800.7779
2011-10-122.31403.71400.06102.7075
2011-10-112.25303.6530-0.0180-0.7926
2011-10-102.27103.6710-0.0180-0.7864
2011-09-302.28903.6890-0.0010-0.0437
2011-09-292.29003.6900-0.0280-1.2079
2011-09-282.31803.7180-0.0160-0.6855
2011-09-272.33403.73400.02300.9952
2011-09-262.31103.7110-0.0330-1.4078
2011-09-232.34403.7440-0.0130-0.5515
2011-09-222.35703.7570-0.0540-2.2397


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