华宝兴业海外中国(241001)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:2008-5-7 目前交易状态:打开申购 当前规模:2.41亿份 基金经理:Gabriel Gondard、雷勇 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 -5.53% -12.02% -30.11% -38.50% - - - -38.50%
股票型排名 181 179 175 84 - - -
华宝兴业海外中国 同系基金
更多>>
基金名称 单位净值 累计净值 日增长率
华安核心优选 1.0036 1.0036 -0.01%
华宝宝康消费 0.9107 2.8087 -0.09%
华宝宝康灵活 1.0404 2.6304 -0.34%
华宝宝康债券 1.1835 1.5835 0.14%
华宝兴业动力组合 0.5699 3.0799 -0.70%
华宝策略增长 0.4494 3.6561 -0.42%
华宝收益增长 1.8033 1.8033 -0.56%
华宝先进成长 1.4119 1.4119 -0.32%
华宝兴业行业精选 0.6198 0.6198 -0.72%
华宝兴业大盘精选
华宝兴业海外中国基金(241001)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(%)
2008-11-200.6150.615-0.0190-3.00%
2008-11-190.6340.634-0.0040-0.63%
2008-11-180.6380.638-0.0230-3.48%
2008-11-170.6610.661-0.0030-0.45%
2008-11-140.6640.6640.01302.00%
2008-11-130.6510.651-0.0190-2.84%
2008-11-120.670.67-0.0020-0.30%
2008-11-110.6720.672-0.0220-3.17%
2008-11-100.6940.6940.02704.05%
2008-11-70.6670.6670.01201.83%
2008-11-60.6550.655-0.0360-5.21%
2008-11-50.6910.6910.01802.67%
2008-11-40.6730.673-0.0020-0.30%
2008-11-30.6750.6750.01201.81%
2008-10-310.6630.6630.00100.15%
2008-10-300.6620.6620.04106.60%
2008-10-290.6210.6210.00801.31%
2008-10-280.6130.6130.02504.25%
2008-10-270.5880.588-0.0400-6.37%
2008-10-240.6280.628-0.0240-3.68%
2008-10-230.6520.652-0.0130-1.95%
2008-10-220.6650.665-0.0250-3.62%
2008-10-210.690.69-0.0090-1.29%
2008-10-200.6990.6990.02002.95%
2008-10-170.6790.679-0.0140-2.02%
2008-10-160.6930.693-0.0230-3.21%
2008-10-150.7160.716-0.0240-3.24%
2008-10-140.740.740.02102.92%
2008-10-130.7190.7190.03905.74%
2008-10-100.680.68-0.0280-3.95%
2008-10-90.7080.7080.01301.87%
2008-10-80.6950.695-0.0460-6.21%
2008-10-70.7410.7410.00000.00%
2008-10-60.7410.741-0.0470-5.96%
2008-9-260.7880.788-0.0090-1.13%
2008-9-250.7970.7970.00100.13%
2008-9-240.7960.796-0.0010-0.13%
2008-9-230.7970.797-0.0310-3.74%
2008-9-220.8280.8280.00901.10%
2008-9-190.8190.8190.05006.50%
2008-9-180.7690.769-0.0050-0.65%
2008-9-170.7740.774-0.0160-2.03%
2008-9-160.790.79-0.0260-3.19%
2008-9-120.8160.816-0.0010-0.12%
2008-9-110.8170.817-0.0200-2.39%
2008-9-100.8370.837-0.0150-1.76%
2008-9-90.8520.852-0.0110-1.27%
2008-9-80.8630.8630.01702.01%
2008-9-50.8460.846-0.0100-1.17%
2008-9-40.8560.856-0.0090-1.04%
2008-9-30.8650.865-0.0130-1.48%
2008-9-20.8780.878-0.0090-1.01%
2008-9-10.8790.879-0.0080-0.90%
2008-8-290.8870.8870.00600.68%
2008-8-280.8810.881-0.0090-1.01%
2008-8-270.890.890.01101.25%
2008-8-260.8790.879-0.0020-0.23%
2008-8-250.8810.8810.01301.50%
2008-8-220.8680.868-0.0010-0.12%
2008-8-210.8690.869-0.0110-1.25%

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