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
基金科汇基金详情
基金科汇基金(184712)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(%)
2008-11-28 1.0090 4.6200 -1.27%
2008-11-21 1.0220 4.6330 0.59%
2008-11-14 1.0160 4.6280 1.60%
2008-11-7 1.0000 4.6110 -3.10%
2008-10-31 1.0320 4.6100 -0.48%
2008-10-24 1.0370 4.6150 -0.19%
2008-10-17 1.0390 4.6170 0.10%
2008-10-10 1.0380 4.6160 -6.44%
2008-9-26 1.1095 4.6270 0.73%
2008-9-19 1.1015 4.6190 -3.66%
2008-9-12 1.1434 4.6609 -5.03%
2008-9-5 1.2040 4.7215 -6.90%
2008-8-29 1.2933 4.8108 0.16%
2008-8-22 1.2912 4.8087 -1.12%
2008-8-15 1.3058 4.8233 -1.28%
2008-8-8 1.3227 4.8402 -7.77%
2008-8-1 1.4341 4.9516 -2.27%
2008-7-25 1.4674 4.9849 4.96%
2008-7-18 1.3980 4.9155 -4.25%
2008-7-11 1.4601 4.9776 7.12%
2008-7-4 1.3631 4.8806 -0.18%
2008-6-27 1.3655 4.8830 -0.70%
2008-6-20 1.3751 4.8926 -3.69%
2008-6-13 1.4278 4.9453 -11.99%
2008-6-6 1.6224 5.1399 -2.08%
2008-5-30 1.6569 5.1744 -1.10%
2008-5-23 1.6753 5.9280 -6.33%
2008-5-16 1.7886 5.3061 1.86%
2008-5-9 1.7560 5.2735 -2.82%
2008-4-30 1.8069 5.3244 3.45%
2008-4-25 1.7467 5.2642 -36.72%
2008-4-18 2.7601 5.0176 -10.30%
2008-4-11 3.0771 5.3346 2.39%
2008-4-3 3.0053 5.2628 -4.60%
2008-3-28 4.1987 5.4562 -1.27%
2008-3-21 4.2529 5.5104 0.56%
2008-3-14 4.2291 5.4866 -7.73%
2008-3-7 4.5838 5.8413 -2.20%
2008-2-29 4.6872 5.9447 -1.07%
2008-2-22 4.7379 5.9954 -0.51%
2008-2-15 4.7626 6.0201 -1.46%
2008-2-5 4.8333 6.0908 4.98%
2008-2-1 4.6040 5.8615 -5.04%
2008-1-25 4.8484 6.1059 -3.09%
2008-1-18 5.0033 6.2608 -2.41%
2008-1-11 5.1271 6.3846 3.23%
2008-1-4 4.9664 6.2239 1.47%
2007-12-28 4.8942 6.1517 5.22%
2007-12-21 4.6513 5.9088 3.00%
2007-12-14 --- --- ---
2007-12-7 4.4846 5.7421 6.37%
2007-11-30 4.2157 5.4732 -2.04%


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

 网络实名:东方财富网    通用网址:东方财富网    建议及投诉热线:021-51703036
 
[沪ICP证:沪B2-20070217] 版权所有: 东方财富网