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【信诚四季 550001】焦点指标(2013-08-13)

单位净值: 0.8532元 累计净值: 2.0652 基金类型: 契约型开放式
投资风格: 平衡型 交易代码: 550001 行情代码:
投资类型: 混合型 申购费率上限: 1.8% 赎回费率上限: 0.5%
基金经理: 基金管理人: 信诚基金管理有限公司 基金托管人: 中国农业银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行:

信诚四季 [550001] 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(%)
2011-01-250.98182.1928-0.0023-0.2337
2011-01-240.98412.1951-0.0115-1.1551
2011-01-210.99562.20660.00040.0402
2011-01-200.99522.2062-0.0271-2.6509
2011-01-191.02232.23330.02062.0565
2011-01-181.00172.21270.00370.3707
2011-01-170.99802.2090-0.0278-2.7101
2011-01-141.02582.2368-0.0213-2.0342
2011-01-131.04712.25810.00270.2585
2011-01-121.04442.2554-0.0039-0.3720
2011-01-111.04832.2593-0.0025-0.2379
2011-01-101.05082.2618-0.0280-2.5955
2011-01-071.07882.2898-0.0085-0.7818
2011-01-061.08732.2983-0.0109-0.9925
2011-01-051.09822.3092-0.0068-0.6154
2011-01-041.10502.31600.01771.6279
2010-12-311.13732.29830.02091.8721
2010-12-301.11642.27740.01000.9038
2010-12-291.10642.26740.01761.6165
2010-12-281.08882.2498-0.0169-1.5284
2010-12-271.10572.2667-0.0209-1.8551
2010-12-241.12662.2876-0.0129-1.1321
2010-12-231.13952.3005-0.0198-1.7079
2010-12-221.15932.3203-0.0091-0.7788
2010-12-211.16842.32940.01581.3708
2010-12-201.15262.3136-0.0195-1.6637
2010-12-171.17212.3331-0.0025-0.2128
2010-12-161.17462.3356-0.0032-0.2717
2010-12-151.17782.3388-0.0045-0.3806
2010-12-141.18232.34330.00610.5186
2010-12-131.17622.33720.03242.8327
2010-12-101.14382.30480.01911.6982
2010-12-091.12472.2857-0.0112-0.9860
2010-12-081.13592.2969-0.0015-0.1319
2010-12-071.13742.29840.02101.8810
2010-12-061.11642.2774-0.0108-0.9581
2010-12-031.12722.2882-0.0121-1.0621
2010-12-021.13932.30030.00070.0615
2010-12-011.13862.2996-0.0039-0.3414
2010-11-301.14252.3035-0.0173-1.4916


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