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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(%)
2007-10-181.65285.5628-0.0494-2.9021
2007-10-171.70225.7225-0.0205-1.1900
2007-10-161.72275.78880.02261.3293
2007-10-151.70015.71570.00160.0942
2007-10-121.69855.7106-0.0070-0.4104
2007-10-111.70555.73320.02501.4877
2007-10-101.68055.65240.01050.6287
2007-10-091.67005.6184-0.0016-0.0957
2007-10-081.67165.62360.02841.7283
2007-09-301.64325.5318-0.0002-0.0122
2007-09-281.64345.53240.04342.7125
2007-09-271.60005.39210.01991.2594
2007-09-261.58015.3278-0.0215-1.3424
2007-09-251.60165.3973-0.0030-0.1870
2007-09-241.60465.40700.00840.5262
2007-09-211.59625.3799-0.0102-0.6350
2007-09-201.60645.41280.01911.2033
2007-09-191.58735.3511-0.0075-0.4703
2007-09-181.59485.3753-0.0294-1.8101
2007-09-171.62425.47040.02241.3984
2007-09-141.60185.39800.01510.9517
2007-09-131.58675.34920.04432.8721
2007-09-121.54245.20590.01681.1012
2007-09-111.52565.1516-0.0425-2.7103
2007-09-101.56815.28900.01490.9593
2007-09-071.55325.2409-0.0286-1.8081
2007-09-061.58185.33330.01260.8030
2007-09-051.56925.2926-0.0058-0.3683
2007-09-041.57505.3113-0.0172-1.0803
2007-09-031.59225.36690.03372.1623
2007-08-311.55855.25800.02201.4318
2007-08-301.53655.18690.01020.6683
2007-08-291.52635.1539-0.0244-1.5735
2007-08-281.55075.2328-0.0025-0.1610
2007-08-271.55325.24090.00530.3424
2007-08-241.54795.22370.01951.2758
2007-08-231.52845.16070.03552.3779
2007-08-221.49295.04590.02871.9601
2007-08-211.46424.95320.02531.7583
2007-08-201.43894.87140.07155.2289


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