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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
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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(%)
2011-09-090.96444.6134-0.0322-3.2310
2011-09-020.99664.6456-0.0251-2.4567
2011-08-261.02174.67070.00480.4720
2011-08-191.01694.6659-0.0305-2.9120
2011-08-121.04744.69640.00560.5375
2011-08-051.04184.6908-0.0171-1.6149
2011-07-291.05894.7079-0.0072-0.6754
2011-07-221.06614.7151-0.0139-1.2870
2011-07-151.08004.72900.01371.2848
2011-07-081.06634.71530.01991.9018
2011-07-011.04644.69540.00490.4705
2011-06-301.04154.69050.02072.0278
2011-06-241.02084.66980.04664.7834
2011-06-170.97424.6232-0.0053-0.5411
2011-06-100.97954.6285-0.0114-1.1505
2011-06-030.99094.63990.02872.9827
2011-05-270.96224.6112-0.0370-3.7030
2011-05-200.99924.6482-0.0096-0.9516
2011-05-131.00884.65780.00290.2883
2011-05-061.00594.6549-0.0104-1.0233
2011-04-291.01634.6653-0.0340-3.2372
2011-04-221.05034.69930.01061.0195
2011-04-151.03974.6887-0.0148-1.4035
2011-04-081.05454.70350.01161.1123
2011-04-011.04294.6919-0.0254-2.3776
2011-03-251.24034.71730.00520.4210
2011-03-181.23514.7121-0.0120-0.9622
2011-03-111.24714.72410.00400.3218
2011-03-041.24314.72010.01311.0650
2011-02-251.23004.7070-0.0039-0.3161
2011-02-181.23394.71090.01681.3803
2011-02-111.21714.69410.02111.7642
2011-02-011.19604.67300.01160.9794
2011-01-281.18444.66140.00780.6629
2011-01-211.17664.6536-0.0465-3.8018
2011-01-141.22314.7001-0.0562-4.3930
2011-01-071.27934.7563-0.0203-1.5620
2010-12-311.29964.77660.01511.1756
2010-12-241.28454.7615-0.0524-3.9195
2010-12-171.33694.81390.03042.3268


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