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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(%)
2008-08-060.99633.44060.00150.1508
2008-08-050.99483.4358-0.0168-1.6607
2008-08-041.01163.4901-0.0133-1.2977
2008-08-011.02493.53310.00540.5297
2008-07-311.01953.5156-0.0180-1.7349
2008-07-301.03753.5738-0.0034-0.3266
2008-07-291.04093.5848-0.0096-0.9139
2008-07-281.05053.61580.00450.4302
2008-07-251.04603.6013-0.0061-0.5798
2008-07-241.05213.62100.01931.8687
2008-07-231.03283.5586-0.0055-0.5297
2008-07-221.03833.5764-0.0032-0.3072
2008-07-211.04153.58670.02262.2181
2008-07-181.01893.51370.01441.4335
2008-07-171.00453.4671-0.0005-0.0498
2008-07-161.00503.4688-0.0180-1.7595
2008-07-151.02303.5269-0.0285-2.7104
2008-07-141.05153.61910.00430.4106
2008-07-111.04723.6052-0.0076-0.7205
2008-07-101.05483.6297-0.0018-0.1704
2008-07-091.05663.63560.02061.9884
2008-07-081.03603.56900.00090.0869
2008-07-071.03513.56610.03193.1798
2008-07-041.00323.4629-0.0014-0.1394
2008-07-031.00463.46750.01681.7007
2008-07-020.98783.41320.00020.0203
2008-07-010.98763.4125-0.0211-2.0918
2008-06-301.00873.4807-0.0046-0.4540
2008-06-271.01333.4956-0.0292-2.8010
2008-06-261.04253.59000.00150.1441
2008-06-251.04103.58510.02692.6526
2008-06-241.01413.49820.01231.2278
2008-06-231.00183.4584-0.0194-1.8997
2008-06-201.02123.52110.01591.5816
2008-06-191.00533.4697-0.0434-4.1385
2008-06-181.04873.61000.02582.5222
2008-06-171.02293.5266-0.0157-1.5117
2008-06-161.03863.5774-0.0030-0.2880
2008-06-131.04163.5871-0.0136-1.2889
2008-06-121.05523.6310-0.0122-1.1430


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