设为首页 加入收藏
基金档案主页
基金数据
基金资讯
实用功能
主力数据
基金吧
查询基金净值
华夏成长基金详情
华夏成长基金(000001)历史净值

基金代码 起始日 终止日

截至日期 单位净值(元) 累计净值(元) 增长率(%)
2009-11-6 1.5460 3.2270 0.72%
2009-11-5 1.5350 3.2160 0.39%
2009-11-4 1.5290 3.2100 0.00
2009-11-3 1.5290 3.2100 0.99%
2009-11-2 1.5140 3.1950 3.06%
2009-10-30 1.4690 3.1500 0.89%
2009-10-29 1.4560 3.1370 -1.62%
2009-10-28 1.4800 3.1610 0.48%
2009-10-27 1.4730 3.1540 -2.13%
2009-10-26 1.5050 3.1860 0.13%
2009-10-23 1.5030 3.1840 1.35%
2009-10-22 1.4830 3.1640 -0.34%
2009-10-21 1.4880 3.1690 -0.40%
2009-10-20 1.4940 3.1750 1.08%
2009-10-19 1.4780 3.1590 2.35%
2009-10-16 1.4440 3.1250 -0.07%
2009-10-15 1.4450 3.1260 0.28%
2009-10-14 1.4410 3.1220 0.63%
2009-10-13 1.4320 3.1130 1.34%
2009-10-12 1.4130 3.0940 0.28%
2009-10-9 1.4090 3.0900 3.60%
2009-9-30 1.3600 3.0410 0.67%
2009-9-29 1.3510 3.0320 0.60%
2009-9-28 1.3430 3.0240 -1.90%
2009-9-25 1.3690 3.0500 -0.65%
2009-9-24 1.3780 3.0590 0.58%
2009-9-23 1.3700 3.0510 -2.14%
2009-9-22 1.4000 3.0810 -1.48%
2009-9-21 1.4210 3.1020 0.85%
2009-9-18 1.4090 3.0900 -2.42%
2009-9-17 1.4440 3.1250 1.19%
2009-9-16 1.4270 3.1080 -1.25%
2009-9-15 1.4450 3.1260 0.07%
2009-9-14 1.4440 3.1250 1.40%
2009-9-11 1.4240 3.1050 1.93%
2009-9-10 1.3970 3.0780 -0.71%
2009-9-9 1.4070 3.0880 0.72%
2009-9-8 1.3970 3.0780 2.12%
2009-9-7 1.3680 3.0490 0.37%
2009-9-4 1.3630 3.0440 1.04%
2009-9-3 1.3490 3.0300 4.33%
2009-9-2 1.2930 2.9740 1.41%
2009-9-1 1.2750 2.9560 0.24%
2009-8-31 1.2720 2.9530 -6.13%
2009-8-28 1.3550 3.0360 -3.01%
2009-8-27 1.3970 3.0780 -0.78%
2009-8-26 1.4080 3.0890 1.81%
2009-8-25 1.3830 3.0640 -2.88%
2009-8-24 1.4240 3.1050 ---
2009-8-21 1.4090 3.0900 1.59%
2009-8-20 1.3870 3.0680 3.43%
2009-8-19 1.3410 3.0220 -4.49%
2009-8-18 1.4040 3.0850 1.01%
2009-8-17 1.3900 3.0710 -5.76%
2009-8-14 1.4750 3.1560 -1.60%
2009-8-13 1.4990 3.1800 1.28%
2009-8-12 1.4800 3.1610 -3.20%
2009-8-11 1.5290 3.2100 0.20%
2009-8-10 1.5260 3.2070 0.00
2009-8-7 1.5260 3.2070 -3.17%
2009-8-6 1.5760 3.2570 -1.50%
2009-8-5 1.6000 3.2810 -0.99%
2009-8-4 1.6160 3.2970 0.12%
2009-8-3 1.6140 3.2950 0.75%
2009-7-31 1.6020 3.2830 2.43%
2009-7-30 1.5640 3.2450 1.36%
2009-7-29 1.5430 3.2240 -3.92%
2009-7-28 1.6060 3.2870 -0.31%
2009-7-27 1.6110 3.2920 1.26%
2009-7-24 1.5910 3.2720 0.25%
2009-7-23 1.5870 3.2680 1.28%
2009-7-22 1.5670 3.2480 1.03%
2009-7-21 1.5510 3.2320 -1.40%
2009-7-20 1.5730 3.2540 1.09%
2009-7-17 1.5560 3.2370 0.52%
2009-7-16 1.5480 3.2290 0.39%
2009-7-15 1.5420 3.2230 0.85%
2009-7-14 1.5290 3.2100 2.27%
2009-7-13 1.4950 3.1760 -1.19%
2009-7-10 1.5130 3.1940 0.20%
2009-7-9 1.5100 3.1910 0.94%
2009-7-8 1.4960 3.1770 1.08%
2009-7-7 1.4800 3.1610 -1.60%
2009-7-6 1.5040 3.1850 -0.07%
2009-7-3 1.5050 3.1860 2.24%
2009-7-2 1.4720 3.1530 0.96%
2009-7-1 1.4580 3.1390 2.75%
2009-6-30 1.4190 3.1000 -0.07%
2009-6-29 1.4200 3.1010 1.50%
2009-6-26 1.3990 3.0800 0.79%
2009-6-25 1.3880 3.0690 0.14%
2009-6-24 1.3860 3.0670 0.73%
2009-6-23 1.3760 3.0570 -0.07%
2009-6-22 1.3770 3.0580 -0.07%
2009-6-19 1.3780 3.0590 0.44%
2009-6-18 1.3720 3.0530 1.11%
2009-6-17 1.3570 3.0380 1.80%
2009-6-16 1.3330 3.0140 -0.15%
2009-6-15 1.3350 3.0160 1.83%
2009-6-12 1.3110 2.9920 -1.65%


将天天基金网设为上网首页吗?      将天天基金网添加到收藏夹吗?

免责声明    关于我们    征稿启事    广告服务    联系我们    友情链接    服务条款    法律声明    意见与建议

 [沪ICP证:沪B2-20070217] 版权所有: 天天基金网   建议及投诉热线:021-54509980