融通债券(161603)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:2003-9-30 目前交易状态:打开申购 当前规模:5.51亿份 基金经理:乔羽夫 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 -0.17% 0.94% 3.58% 3.77% 5.98% 6.34% 17.79% 46.21%
债券型排名 20 50 43 34 17 12 18
融通债券 同系基金
更多>>
基金名称 单位净值 累计净值 日增长率
融通新蓝筹 0.5929 2.8879 -0.27%
融通深证100 0.786 1.956 0.13%
融通蓝筹 0.951 2.081 -0.63%
融通行业 0.581 2.521 0.35%
融通巨潮 0.635 2.149 -0.31%
融通动力先锋 1.007 1.407 -1.08%
融通领先成长 0.655 1.764 -0.46%
融通债券基金(161603)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(%)
2008-11-211.1851.410.00200.17%
2008-11-201.1831.4080.00100.08%
2008-11-191.1821.407-0.0030-0.25%
2008-11-181.1851.410.00000.00%
2008-11-171.1851.41-0.0020-0.17%
2008-11-141.1871.412-0.0040-0.34%
2008-11-131.1911.4160.00400.34%
2008-11-121.1871.4120.00300.25%
2008-11-111.1841.4090.00200.17%
2008-11-101.1821.4070.00300.25%
2008-11-71.1791.4040.00200.17%
2008-11-61.1771.4020.00200.17%
2008-11-51.1751.40.00100.09%
2008-11-41.1741.399-0.0010-0.09%
2008-11-31.1751.40.00000.00%
2008-10-311.1751.40.00300.26%
2008-10-301.1721.3970.00000.00%
2008-10-291.1721.3970.00300.26%
2008-10-281.1691.394-0.0010-0.09%
2008-10-271.171.395-0.0030-0.26%
2008-10-241.1731.3980.00000.00%
2008-10-231.1731.398-0.0010-0.09%
2008-10-221.1741.3990.00000.00%
2008-10-211.1741.3990.00100.09%
2008-10-201.1731.398-0.0020-0.17%
2008-10-171.1751.4-0.0010-0.09%
2008-10-161.1761.4010.00000.00%
2008-10-151.1761.4010.00000.00%
2008-10-141.1761.4010.00300.26%
2008-10-131.1731.3980.00000.00%
2008-10-101.1731.3980.00200.17%
2008-10-91.1711.3960.00200.17%
2008-10-81.1691.3940.00400.34%
2008-10-71.1651.390.00200.17%
2008-10-61.1631.3880.00100.09%
2008-9-261.1621.3870.00000.00%
2008-9-251.1621.3870.00200.17%
2008-9-241.161.3850.00000.00%
2008-9-231.161.3850.00000.00%
2008-9-221.161.385-0.0010-0.09%
2008-9-191.1611.3860.00000.00%
2008-9-181.1611.3860.00000.00%
2008-9-171.1611.3860.00100.09%
2008-9-161.161.3850.00600.52%
2008-9-121.1541.3790.00200.17%
2008-9-111.1521.377-0.0010-0.09%
2008-9-101.1531.3780.00200.17%
2008-9-91.1511.3760.00100.09%
2008-9-81.151.3750.00000.00%
2008-9-51.151.3750.00000.00%
2008-9-41.151.3750.00100.09%
2008-9-31.1491.3740.00100.09%
2008-9-21.1481.3730.00000.00%
2008-9-11.1481.3730.00200.17%
2008-8-291.1461.3710.00200.17%
2008-8-281.1441.3690.00000.00%
2008-8-271.1441.3690.00000.00%
2008-8-261.1441.3690.00000.00%
2008-8-251.1441.3690.00000.00%
2008-8-221.1441.3690.00000.00%
2008-8-211.1441.3690.00100.09%

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