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【银华优选 519001】焦点指标(2013-08-13)

单位净值: 1.3216 累计净值: 4.4922 基金类型: 契约型开放式
投资风格: 成长型 交易代码: 519001 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: 银华基金管理有限公司 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:

银华优选 [519001] 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(%)
2008-12-040.79422.78730.00981.2494
2008-12-030.78442.75560.03044.0318
2008-12-020.75402.65740.00430.5736
2008-12-010.74972.64350.01381.8753
2008-11-280.73592.5989-0.0076-1.0222
2008-11-270.74352.62340.01652.2696
2008-11-260.72702.57010.00570.7902
2008-11-250.72132.5517-0.0006-0.0831
2008-11-240.72192.5536-0.0243-3.2565
2008-11-210.74622.6322-0.0041-0.5464
2008-11-200.75032.6454-0.0062-0.8196
2008-11-190.75652.66550.04015.5974
2008-11-180.71642.5358-0.0527-6.8522
2008-11-170.76912.70620.01291.7059
2008-11-140.75622.66450.02873.9450
2008-11-130.72752.57170.02653.7803
2008-11-120.70102.48600.00640.9214
2008-11-110.69462.4654-0.0032-0.4586
2008-11-100.69782.47570.04146.3071
2008-11-070.65642.34190.00280.4284
2008-11-060.65362.3328-0.0141-2.1117
2008-11-050.66772.37840.02053.1675
2008-11-040.64722.3121-0.0105-1.5965
2008-11-030.65772.3461-0.0044-0.6646
2008-10-310.66212.3603-0.0109-1.6196
2008-10-300.67302.39550.01271.9234
2008-10-290.66032.3545-0.0118-1.7557
2008-10-280.67212.39260.01732.6420
2008-10-270.65482.3367-0.0398-5.7299
2008-10-240.69462.4654-0.0151-2.1277
2008-10-230.70972.51420.00560.7953
2008-10-220.70412.4961-0.0123-1.7169
2008-10-210.71642.5358-0.0016-0.2228
2008-10-200.71802.54100.01672.3813
2008-10-170.70132.48700.00240.3434
2008-10-160.69892.4793-0.0300-4.1158
2008-10-150.72892.5762-0.0116-1.5665
2008-10-140.74052.6137-0.0166-2.1926
2008-10-130.75712.66740.01582.1314
2008-10-100.74132.6163-0.0317-4.1009


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