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【华夏复兴 000031】焦点指标(2013-08-13)

单位净值: 1.3500 累计净值: 1.3500 基金类型: 契约型开放式
投资风格: 成长型 交易代码: 000031 行情代码:
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: 中国农业银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行: 青岛银行股份有限公司

华夏复兴 [000031] 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(%)
2010-07-291.27001.2700-0.0010-0.0787
2010-07-281.27101.27100.02502.0064
2010-07-271.24601.24600.00500.4029
2010-07-261.24101.24100.01301.0586
2010-07-231.22801.22800.00400.3268
2010-07-221.22401.22400.01401.1570
2010-07-211.21001.21000.00800.6656
2010-07-201.20201.20200.03102.6473
2010-07-191.17101.17100.02302.0035
2010-07-161.14801.14800.00100.0872
2010-07-151.14701.1470-0.0250-2.1331
2010-07-141.17201.17200.00000.0000
2010-07-131.17201.1720-0.0110-0.9298
2010-07-121.18301.18300.00100.0846
2010-07-091.18201.18200.03202.7826
2010-07-081.15001.15000.00000.0000
2010-07-071.15001.15000.02001.7699
2010-07-061.13001.13000.02602.3551
2010-07-051.10401.1040-0.0040-0.3610
2010-07-021.10801.1080-0.0230-2.0336
2010-07-011.13101.1310-0.0220-1.9081
2010-06-301.15301.1530-0.0050-0.4318
2010-06-291.15801.1580-0.0640-5.2373
2010-06-281.22201.2220-0.0160-1.2924
2010-06-251.23801.2380-0.0180-1.4331
2010-06-241.25601.25600.00100.0797
2010-06-231.25501.2550-0.0090-0.7120
2010-06-221.26401.26400.00700.5569
2010-06-211.25701.25700.02602.1121
2010-06-181.23101.2310-0.0520-4.0530
2010-06-171.28301.2830-0.0290-2.2104
2010-06-111.31201.3120-0.0070-0.5307
2010-06-101.31901.31900.01401.0728
2010-06-091.30501.30500.01801.3986
2010-06-081.28701.28700.01601.2589
2010-06-071.27101.27100.00800.6334
2010-06-041.26301.2630-0.0040-0.3157
2010-06-031.26701.2670-0.0050-0.3931
2010-06-021.27201.27200.01200.9524
2010-06-011.26001.2600-0.0170-1.3312


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