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【景顺平衡 260103】焦点指标(2013-08-13)

单位净值: 0.6999 累计净值: 2.9899 基金类型: 契约型开放式
投资风格: 平衡型 交易代码: 260103 行情代码:
投资类型: 混合型 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: 景顺长城基金管理有限公司 基金托管人: 中国银行股份有限公司
购  买: 开放 赎  回: 开放    
代销银行:

景顺平衡 [260103] 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(%)
2009-11-270.76963.0596-0.0093-1.1940
2009-11-260.77893.0689-0.0241-3.0012
2009-11-250.80303.09300.01491.8906
2009-11-240.78813.0781-0.0184-2.2815
2009-11-230.80653.09650.00710.8882
2009-11-200.79943.0894-0.0008-0.1000
2009-11-190.80023.09020.00040.0500
2009-11-180.79983.0898-0.0005-0.0625
2009-11-170.80033.09030.00100.1251
2009-11-160.79933.08930.01351.7180
2009-11-130.78583.07580.00420.5374
2009-11-120.78163.07160.00270.3466
2009-11-110.77893.06890.00010.0128
2009-11-100.77883.06880.00360.4644
2009-11-090.77523.0652-0.0004-0.0516
2009-11-060.77563.0656-0.0004-0.0515
2009-11-050.77603.06600.00130.1678
2009-11-040.77473.06470.00140.1810
2009-11-030.77333.06330.00600.7820
2009-11-020.76733.05730.01742.3203
2009-10-300.74993.03990.00580.7795
2009-10-290.74413.0341-0.0085-1.1294
2009-10-280.75263.04260.00190.2531
2009-10-270.75073.0407-0.0101-1.3275
2009-10-260.76083.05080.00100.1316
2009-10-230.75983.04980.00841.1179
2009-10-220.75143.0414-0.0039-0.5164
2009-10-210.75533.0453-0.0038-0.5006
2009-10-200.75913.04910.00630.8369
2009-10-190.75283.04280.01011.3599
2009-10-160.74273.03270.00030.0404
2009-10-150.74243.03240.00130.1754
2009-10-140.74113.03110.00220.2977
2009-10-130.73893.02890.00500.6813
2009-10-120.73393.02390.00040.0545
2009-10-090.73353.02350.01922.6879
2009-09-300.71433.00430.00400.5631
2009-09-290.71033.00030.00050.0704
2009-09-280.70982.9998-0.0095-1.3207
2009-09-250.71933.0093-0.0003-0.0417


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