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
华夏红利基金详情
华夏红利基金(002011)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(%)
2010-2-9 --- --- ---
2010-2-8 3.1880 4.0210 -0.34%
2010-2-5 3.1990 4.0320 -1.60%
2010-2-4 3.2510 4.0840 0.09%
2010-2-3 3.2480 4.0810 1.47%
2010-2-2 3.2010 4.0340 -0.34%
2010-2-1 3.2120 4.0450 -0.86%
2010-1-29 3.2400 4.0730 0.50%
2010-1-28 3.2240 4.0570 0.56%
2010-1-27 3.2060 4.0390 -0.84%
2010-1-26 3.2330 4.0660 -2.30%
2010-1-25 3.3090 4.1420 -1.08%
2010-1-22 3.3450 4.1780 -1.30%
2010-1-21 3.3890 4.2220 0.39%
2010-1-20 3.3760 4.2090 -2.79%
2010-1-19 3.4730 4.3060 -0.06%
2010-1-18 3.4750 4.3080 0.70%
2010-1-15 3.4510 4.2840 0.41%
2010-1-14 3.4370 4.2700 1.54%
2010-1-13 3.3850 4.2180 -2.05%
2010-1-12 3.4560 4.2890 1.59%
2010-1-11 3.4020 4.2350 0.24%
2010-1-8 3.3940 4.2270 0.50%
2010-1-7 3.3770 4.2100 -1.63%
2010-1-6 3.4330 4.2660 -0.61%
2010-1-5 3.4540 4.2870 0.94%
2010-1-4 3.4220 4.2550 -0.67%
2009-12-31 3.4450 4.2780 0.41%
2009-12-30 3.4310 4.2640 0.65%
2009-12-29 3.4090 4.2420 0.44%
2009-12-28 3.3940 4.2270 1.56%
2009-12-25 3.3420 4.1750 -0.09%
2009-12-24 3.3450 4.1780 2.95%
2009-12-23 3.2490 4.0820 1.40%
2009-12-22 3.2040 4.0370 -2.29%
2009-12-21 3.2790 4.1120 0.24%
2009-12-18 3.2710 4.1040 -2.45%
2009-12-17 3.3530 4.1860 -2.44%
2009-12-16 3.4370 4.2700 -0.49%
2009-12-15 3.4540 4.2870 -0.52%
2009-12-14 3.4720 4.3050 0.35%
2009-12-11 3.4600 4.2930 0.00
2009-12-10 3.4600 4.2930 0.44%
2009-12-9 3.4450 4.2780 -1.63%
2009-12-8 3.5020 4.3350 -0.77%
2009-12-7 3.5290 4.3620 1.18%
2009-12-4 3.4880 4.3210 0.03%
2009-12-3 3.4870 4.3200 0.23%
2009-12-2 3.4790 4.3120 0.96%
2009-12-1 3.4460 4.2790 1.71%
2009-11-30 3.3880 4.2210 3.83%
2009-11-27 3.2630 4.0960 -2.28%
2009-11-26 3.3390 4.1720 -3.78%
2009-11-25 3.4700 4.3030 2.54%
2009-11-24 3.3840 4.2170 -3.26%
2009-11-23 3.4980 4.3310 0.95%
2009-11-20 3.4650 4.2980 0.23%
2009-11-19 3.4570 4.2900 0.55%
2009-11-18 3.4380 4.2710 0.15%
2009-11-17 3.4330 4.2660 0.15%
2009-11-16 3.4280 4.2610 2.42%
2009-11-13 3.3470 4.1800 0.51%
2009-11-12 3.3300 4.1630 0.00
2009-11-11 3.3300 4.1630 0.03%
2009-11-10 3.3290 4.1620 0.33%
2009-11-9 3.3180 4.1510 0.21%
2009-11-6 3.3110 4.1440 0.64%
2009-11-5 3.2900 4.1230 0.49%
2009-11-4 3.2740 4.1070 0.49%
2009-11-3 3.2580 4.0910 1.37%
2009-11-2 3.2140 4.0470 3.05%
2009-10-30 3.1190 3.9520 0.97%
2009-10-29 3.0890 3.9220 -1.78%
2009-10-28 3.1450 3.9780 0.32%
2009-10-27 3.1350 3.9680 -2.25%
2009-10-26 3.2070 4.0400 0.00
2009-10-23 3.2070 4.0400 1.49%
2009-10-22 3.1600 3.9930 -0.35%
2009-10-21 3.1710 4.0040 -0.03%
2009-10-20 3.1720 4.0050 0.92%
2009-10-19 3.1430 3.9760 2.05%
2009-10-16 3.0800 3.9130 0.20%
2009-10-15 3.0740 3.9070 0.33%
2009-10-14 3.0640 3.8970 0.62%
2009-10-13 3.0450 3.8780 1.20%
2009-10-12 3.0090 3.8420 -0.13%
2009-10-9 3.0130 3.8460 3.90%
2009-9-30 2.9000 3.7330 0.62%
2009-9-29 2.8820 3.7150 -0.21%
2009-9-28 2.8880 3.7210 -2.04%
2009-9-25 2.9480 3.7810 -0.61%
2009-9-24 2.9660 3.7990 0.54%
2009-9-23 2.9500 3.7830 -2.06%
2009-9-22 3.0120 3.8450 -1.83%
2009-9-21 3.0680 3.9010 0.52%
2009-9-18 3.0520 3.8850 -2.80%
2009-9-17 3.1400 3.9730 1.45%
2009-9-16 3.0950 3.9280 -1.05%
2009-9-15 3.1280 3.9610 0.29%
2009-9-14 3.1190 3.9520 1.36%


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