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
华夏策略基金详情
华夏策略基金(002031)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 1.8730 1.8730 -0.64%
2010-2-5 1.8850 1.8850 -1.77%
2010-2-4 1.9190 1.9190 0.47%
2010-2-3 1.9100 1.9100 1.54%
2010-2-2 1.8810 1.8810 -0.21%
2010-2-1 1.8850 1.8850 -0.11%
2010-1-29 1.8870 1.8870 0.53%
2010-1-28 1.8770 1.8770 0.43%
2010-1-27 1.8690 1.8690 -1.01%
2010-1-26 1.8880 1.8880 -2.23%
2010-1-25 1.9310 1.9310 -1.38%
2010-1-22 1.9580 1.9580 -0.41%
2010-1-21 1.9660 1.9660 0.51%
2010-1-20 1.9560 1.9560 -1.01%
2010-1-19 1.9760 1.9760 0.10%
2010-1-18 1.9740 1.9740 1.28%
2010-1-15 1.9490 1.9490 1.09%
2010-1-14 1.9280 1.9280 1.53%
2010-1-13 1.8990 1.8990 -1.86%
2010-1-12 1.9350 1.9350 1.04%
2010-1-11 1.9150 1.9150 0.37%
2010-1-8 1.9080 1.9080 1.06%
2010-1-7 1.8880 1.8880 -1.31%
2010-1-6 1.9130 1.9130 -0.78%
2010-1-5 1.9280 1.9280 1.05%
2010-1-4 1.9080 1.9080 0.32%
2009-12-31 1.9020 1.9020 0.58%
2009-12-30 1.8910 1.8910 0.64%
2009-12-29 1.8790 1.8790 0.21%
2009-12-28 1.8750 1.8750 1.02%
2009-12-25 1.8560 1.8560 0.54%
2009-12-24 1.8460 1.8460 1.99%
2009-12-23 1.8100 1.8100 0.72%
2009-12-22 1.7970 1.7970 -2.12%
2009-12-21 1.8360 1.8360 0.22%
2009-12-18 1.8320 1.8320 -2.14%
2009-12-17 1.8720 1.8720 -1.68%
2009-12-16 1.9040 1.9040 -0.37%
2009-12-15 1.9110 1.9110 -0.26%
2009-12-14 1.9160 1.9160 0.42%
2009-12-11 1.9080 1.9080 -0.10%
2009-12-10 1.9100 1.9100 0.21%
2009-12-9 1.9060 1.9060 -1.29%
2009-12-8 1.9310 1.9310 -0.77%
2009-12-7 1.9460 1.9460 0.78%
2009-12-4 1.9310 1.9310 -0.36%
2009-12-3 1.9380 1.9380 0.05%
2009-12-2 1.9370 1.9370 1.20%
2009-12-1 1.9140 1.9140 1.65%
2009-11-30 1.8830 1.8830 2.90%
2009-11-27 1.8300 1.8300 -1.67%
2009-11-26 1.8610 1.8610 -2.92%
2009-11-25 1.9170 1.9170 2.40%
2009-11-24 1.8720 1.8720 -2.80%
2009-11-23 1.9260 1.9260 0.78%
2009-11-20 1.9110 1.9110 0.31%
2009-11-19 1.9050 1.9050 1.01%
2009-11-18 1.8860 1.8860 1.07%
2009-11-17 1.8660 1.8660 0.05%
2009-11-16 1.8650 1.8650 1.75%
2009-11-13 1.8330 1.8330 1.16%
2009-11-12 1.8120 1.8120 0.28%
2009-11-11 1.8070 1.8070 -0.11%
2009-11-10 1.8090 1.8090 0.67%
2009-11-9 1.7970 1.7970 0.28%
2009-11-6 1.7920 1.7920 0.73%
2009-11-5 1.7790 1.7790 0.51%
2009-11-4 1.7700 1.7700 0.11%
2009-11-3 1.7680 1.7680 1.09%
2009-11-2 1.7490 1.7490 2.40%
2009-10-30 1.7080 1.7080 1.18%
2009-10-29 1.6880 1.6880 -1.34%
2009-10-28 1.7110 1.7110 0.59%
2009-10-27 1.7010 1.7010 -2.74%
2009-10-26 1.7490 1.7490 0.40%
2009-10-23 1.7420 1.7420 1.04%
2009-10-22 1.7240 1.7240 -0.29%
2009-10-21 1.7290 1.7290 0.35%
2009-10-20 1.7230 1.7230 0.58%
2009-10-19 1.7130 1.7130 1.90%
2009-10-16 1.6810 1.6810 0.60%
2009-10-15 1.6710 1.6710 0.18%
2009-10-14 1.6680 1.6680 0.97%
2009-10-13 1.6520 1.6520 1.91%
2009-10-12 1.6210 1.6210 0.00
2009-10-9 1.6210 1.6210 3.91%
2009-9-30 1.5600 1.5600 0.84%
2009-9-29 1.5470 1.5470 -0.96%
2009-9-28 1.5620 1.5620 -2.07%
2009-9-25 1.5950 1.5950 -0.62%
2009-9-24 1.6050 1.6050 0.06%
2009-9-23 1.6040 1.6040 -2.31%
2009-9-22 1.6420 1.6420 -1.68%
2009-9-21 1.6700 1.6700 1.03%
2009-9-18 1.6530 1.6530 -2.30%
2009-9-17 1.6920 1.6920 1.56%
2009-9-16 1.6660 1.6660 -0.24%
2009-9-15 1.6700 1.6700 0.30%
2009-9-14 1.6650 1.6650 2.46%


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