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【华夏大盘 000011】焦点指标(2013-08-13)

单位净值: 8.8200 累计净值: 12.5000 基金类型: 契约型开放式
投资风格: 平衡型 交易代码: 000011 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: 华夏基金管理有限公司 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: 宁波银行股份有限公司、平安银行股份有限公司1、浙商银行股份有限公司、青岛银行股份有限公司、交通银行股份有限公司、中国建设银行股份有限公司

华夏大盘 [000011] 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(%)
2006-10-311.84702.02700.02601.4278
2006-10-301.82102.00100.00300.1650
2006-10-271.81801.9980-0.0320-1.7297
2006-10-261.85002.03000.00000.0000
2006-10-251.85002.0300-0.0060-0.3233
2006-10-241.85602.03600.03601.9780
2006-10-231.82002.0000-0.0360-1.9397
2006-10-201.85602.03600.00400.2160
2006-10-191.85202.03200.00600.3250
2006-10-181.84602.02600.02501.3729
2006-10-171.82102.00100.01800.9983
2006-10-161.80301.9830-0.0050-0.2765
2006-10-131.80801.98800.00600.3330
2006-10-121.80201.9820-0.0200-1.0977
2006-10-111.82202.00200.00000.0000
2006-10-101.82202.00200.00800.4410
2006-10-091.81401.99400.03401.9101
2006-09-301.78001.96000.00000.0000
2006-09-291.78001.96000.01500.8499
2006-09-281.76501.94500.01200.6845
2006-09-271.75301.93300.01400.8051
2006-09-261.73901.91900.00500.2884
2006-09-251.73401.9140-0.0040-0.2301
2006-09-221.73801.9180-0.0150-0.8557
2006-09-211.75301.93300.00400.2287
2006-09-201.74901.92900.00000.0000
2006-09-191.74901.92900.00700.4018
2006-09-181.74201.92200.02801.6336
2006-09-151.71401.89400.02701.6005
2006-09-141.68701.86700.00400.2377
2006-09-131.68301.8630-0.0080-0.4731
2006-09-121.69101.87100.00600.3561
2006-09-111.68501.86500.00200.1188
2006-09-081.68301.8630-0.0010-0.0594
2006-09-071.68401.8640-0.0300-1.7503
2006-09-061.71401.89400.02001.1806
2006-09-051.69401.87400.01200.7134
2006-09-041.68201.86200.02501.5088
2006-09-011.65701.8370-0.0210-1.2515
2006-08-311.67801.85800.01801.0843


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