华夏债券A/B(001001)单位净值及收益率走势图   基金主页  最新估值  发表评论
基金查询:
基金代码 起始日 终止日

该基金成立日期:2002-10-23 目前交易状态:打开申购 当前规模:41.02亿份 基金经理:韩会永 查看更多资料 我要自己计算收益 点击进入网上交易
项目 最近一周 最近一月 最近一季 最近六月 最近一年 今年以来 最近两年 成立以来
增长率 0.79% 1.59% 7.31% 8.30% 11.46% 9.49% 30.71% 57.29%
债券型排名 34 40 7 9 2 2 9
华夏债券A/B 同系基金
更多>>
基金名称 单位净值 累计净值 日增长率
华夏成长 0.948 2.629 1.94%
华夏大盘精选 4.712 4.992 2.84%
华夏优势增长 1.455 1.575 2.97%
华夏复兴 0.623 0.623 2.64%
华夏全球精选
华夏债券C 1.14 1.47 0.18%
华夏希望债券A 1.093 1.093 0.18%
华夏希望债券C 1.091 1.091 0.18%
华夏回报 1.023 3.035 1.59%
华夏红利 1.938 2.771 2.49%
华夏回报二号 0.824 2.112 1.73%
华夏策略精选
华夏中小板 1.395 1.395 3.79%
华夏蓝筹核心 0.816 2.614 2.38%
华夏行业精选 0.576 2.887 3.04%
华夏50 ETF 1.484 1.9 4.58%
华夏平稳增长 1.116 1.821 3.53%
华夏债券A/B基金(001001)历史净值列表
截至日期 单位净值(元) 累计净值(元) 增长值(元) 增长率(%)
2008-12-31.1521.4820.00300.26%
2008-12-21.1491.4790.00200.17%
2008-12-11.1471.4770.00000.00%
2008-11-281.1471.477-0.0020-0.17%
2008-11-271.1491.4790.00600.52%
2008-11-261.1431.4730.00200.18%
2008-11-251.1411.471-0.0020-0.17%
2008-11-241.1431.473-0.0010-0.09%
2008-11-211.1441.4740.00100.09%
2008-11-201.1431.4730.00100.09%
2008-11-191.1421.472-0.0050-0.44%
2008-11-181.1471.4770.00000.00%
2008-11-171.1471.477-0.0020-0.17%
2008-11-141.1491.479-0.0040-0.35%
2008-11-131.1531.4830.00500.44%
2008-11-121.1481.4780.00400.35%
2008-11-111.1441.4740.00100.09%
2008-11-101.1431.4730.00400.35%
2008-11-71.1391.4690.00100.09%
2008-11-61.1381.4680.00300.26%
2008-11-51.1351.4650.00000.00%
2008-11-41.1351.4650.00100.09%
2008-11-31.1341.4640.00000.00%
2008-10-311.1341.4640.00000.00%
2008-10-301.1341.4640.00200.18%
2008-10-291.1321.4620.00300.27%
2008-10-281.1291.4590.00200.18%
2008-10-271.1271.4570.00000.00%
2008-10-241.1271.4570.00000.00%
2008-10-231.1271.4570.00000.00%
2008-10-221.1271.4570.00000.00%
2008-10-211.1271.4570.00000.00%
2008-10-201.1271.4570.00000.00%
2008-10-171.1271.457-0.0010-0.09%
2008-10-161.1281.4580.00200.18%
2008-10-151.1261.4560.00200.18%
2008-10-141.1241.454-0.0010-0.09%
2008-10-131.1251.455-0.0010-0.09%
2008-10-101.1261.4560.00200.18%
2008-10-91.1241.4540.00900.81%
2008-10-81.1151.4450.01000.90%
2008-10-71.1051.4350.01000.90%
2008-10-61.1151.4250.00200.18%
2008-9-261.1131.423-0.0010-0.09%
2008-9-251.1141.4240.00200.18%
2008-9-241.1121.4220.00200.18%
2008-9-231.111.420.00100.09%
2008-9-221.1091.4190.00000.00%
2008-9-191.1091.419-0.0010-0.09%
2008-9-181.111.42-0.0010-0.09%
2008-9-171.1111.4210.00400.36%
2008-9-161.1071.4170.00600.54%
2008-9-121.1011.4110.00300.27%
2008-9-111.0981.4080.00100.09%
2008-9-101.0971.4070.00100.09%
2008-9-91.0961.4060.00100.09%
2008-9-81.0951.4050.00000.00%
2008-9-51.0951.4050.00100.09%
2008-9-41.0941.4040.00100.09%
2008-9-31.0931.4030.00000.00%

说明:橙色背景栏表示当日分红或拆分,鼠标悬停显示分红金额
【基金吧48小时排行】

 
Copyright © 2008 U8基金网