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【基金泰和 500002】焦点指标(2013-08-09)

单位净值: 1.2685 累计净值: 4.9175 基金类型: 契约型封闭式
投资风格: 平衡型 交易代码: 500002 行情代码: 500002
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: 嘉实基金管理有限公司 基金托管人: 中国建设银行股份有限公司
购  买: - 赎  回: -    
代销银行:

基金泰和 [500002] 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(%)
2013-08-091.26854.91750.02522.0269
2013-08-021.24334.89230.00610.4930
2013-07-261.23724.88620.03442.8600
2013-07-191.20284.8518-0.0139-1.1424
2013-07-121.21674.86570.02301.9268
2013-07-051.19374.84270.04573.9808
2013-06-301.14804.79700.00000.0000
2013-06-281.14804.79700.00270.2357
2013-06-211.14534.7943-0.0087-0.7539
2013-06-141.15404.80300.00030.0260
2013-06-071.15374.8027-0.0257-2.1791
2013-05-311.17944.8284-0.0212-1.7658
2013-05-241.20064.84960.02652.2570
2013-05-171.17414.82310.00840.7206
2013-05-101.16574.81470.02181.9058
2013-05-031.14394.79290.03373.0355
2012-12-070.93584.58480.01902.0724
2012-11-300.91684.5658-0.0060-0.6502
2012-11-230.92284.5718-0.0088-0.9446
2012-11-160.93164.5806-0.0158-1.6677
2012-11-090.94744.5964-0.0289-2.9602
2012-11-020.97634.62530.02472.5956
2012-10-260.95164.6006-0.0299-3.0464
2012-10-190.98154.63050.01711.7731
2012-10-120.96444.61340.00930.9737
2012-09-280.95514.60410.02782.9980
2012-09-210.92734.5763-0.0276-2.8904
2012-09-140.95494.6039-0.0124-1.2819
2012-09-070.96734.61630.04144.4713
2012-08-310.92594.5749-0.0329-3.4314
2012-08-240.95884.6078-0.0059-0.6116
2012-08-170.96474.6137-0.0270-2.7226
2012-08-100.99174.64070.02452.5331
2012-08-030.96724.61620.01441.5113
2012-07-270.95284.6018-0.0040-0.4181
2012-07-200.95684.6058-0.0431-4.3104
2012-07-130.99994.64890.00840.8472
2012-07-060.99154.64050.01591.6298
2012-06-300.97564.62460.00000.0000
2012-06-290.97564.62460.00890.9207


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