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【基金兴华 500008】焦点指标(2012-12-07)

单位净值: 0.8531 累计净值: 5.1871 基金类型: 契约型封闭式
投资风格: 平衡型 交易代码: 500008 行情代码: 500008
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: 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: - 赎  回: -    
代销银行:

基金兴华 [500008] 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(%)
2001-08-031.15011.9631-0.0334-2.8221
2001-07-271.18351.9965-0.0221-1.8331
2001-07-201.20562.0186-0.0132-1.0830
2001-07-131.21882.03180.00000.0000
2001-07-091.21882.0318-0.0017-0.1393
2001-07-061.22052.0335-0.0122-0.9897
2001-06-301.23272.04570.00000.0000
2001-06-291.23272.04570.00800.6532
2001-06-221.22472.03770.00770.6327
2001-06-151.21702.0300-0.0062-0.5069
2001-06-081.22322.0362-0.0030-0.2447
2001-06-011.22622.03920.01040.8554
2001-05-251.21582.02880.00050.0411
2001-05-181.21532.02830.01861.5543
2001-05-111.19672.00970.01401.1837
2001-04-271.18271.9957-0.0185-1.5401
2001-04-201.20122.01420.00760.6367
2001-04-131.19362.00660.02672.2881
2001-04-061.16691.97990.394050.9768
2001-03-311.15791.9709-0.3711-24.2708
2001-03-301.54301.97100.03822.5385
2001-03-231.52901.95700.02071.3724
2001-03-161.50481.93280.01160.7769
2001-03-091.50831.93630.02851.9259
2001-03-021.49321.92120.01961.3301
2001-02-231.47981.9078-0.0099-0.6646
2001-02-161.47361.9016-0.0695-4.5039
2001-02-091.48971.9177-0.0593-3.8283
2001-01-191.54311.9711-0.0168-1.0770
2001-01-121.54901.97700.02321.5205
2001-01-051.55991.98790.03392.2215
2000-12-311.52581.95380.00770.5072
2000-12-291.52601.95400.02351.5641
2000-12-221.51811.94610.03212.1602
2000-12-151.50251.93050.00780.5218
2000-12-081.48601.9140-0.0158-1.0521
2000-12-011.49471.9227-0.0233-1.5349
2000-11-241.50181.9298-0.0116-0.7665
2000-11-171.51801.94600.05163.5188
2000-11-101.51341.94140.04823.2897


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