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
博时精选基金详情
博时精选基金(050004)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 1.3827 2.8877 -0.21%
2010-2-5 1.3856 2.8906 -1.42%
2010-2-4 1.4056 2.9106 -0.46%
2010-2-3 1.4121 2.9171 1.53%
2010-2-2 1.3908 2.8958 -0.27%
2010-2-1 1.3945 2.8995 -1.16%
2010-1-29 1.4108 2.9158 0.42%
2010-1-28 1.4049 2.9099 0.31%
2010-1-27 1.4006 2.9056 -1.44%
2010-1-26 1.4210 2.9260 -1.50%
2010-1-25 1.4427 2.9477 -0.72%
2010-1-22 1.4532 2.9582 -0.91%
2010-1-21 1.4665 2.9715 0.42%
2010-1-20 1.4604 2.9654 -2.62%
2010-1-19 1.5819 3.0069 0.06%
2010-1-18 1.5810 3.0060 0.32%
2010-1-15 1.5759 3.0009 0.21%
2010-1-14 1.5726 2.9976 1.01%
2010-1-13 1.5568 2.9818 -3.24%
2010-1-12 1.6090 3.0340 0.93%
2010-1-11 1.5942 3.0192 -0.09%
2010-1-8 1.5957 3.0207 0.19%
2010-1-7 1.5926 3.0176 -1.89%
2010-1-6 1.6233 3.0483 -0.83%
2010-1-5 1.6369 3.0619 0.38%
2010-1-4 1.6307 3.0557 -1.20%
2009-12-31 1.6505 3.0755 0.52%
2009-12-30 1.6420 3.0670 1.15%
2009-12-29 1.6234 3.0484 0.81%
2009-12-28 1.6104 3.0354 1.27%
2009-12-25 1.5902 3.0152 -0.47%
2009-12-24 1.5977 3.0227 3.22%
2009-12-23 1.5478 2.9728 1.00%
2009-12-22 1.5324 2.9574 -2.47%
2009-12-21 1.5712 2.9962 -0.17%
2009-12-18 1.5739 2.9989 -1.82%
2009-12-17 1.6031 3.0281 -2.03%
2009-12-16 1.6364 3.0614 -0.69%
2009-12-15 1.6478 3.0728 -0.53%
2009-12-14 1.6566 3.0816 0.98%
2009-12-11 1.6405 3.0655 -0.13%
2009-12-10 1.6427 3.0677 0.69%
2009-12-9 1.6314 3.0564 -1.62%
2009-12-8 1.6582 3.0832 -1.03%
2009-12-7 1.6754 3.1004 0.65%
2009-12-4 1.6645 3.0895 1.46%
2009-12-3 1.6405 3.0655 -0.39%
2009-12-2 1.6470 3.0720 0.82%
2009-12-1 1.6336 3.0586 1.10%
2009-11-30 1.6158 3.0408 3.66%
2009-11-27 1.5588 2.9838 -2.76%
2009-11-26 1.6031 3.0281 -3.58%
2009-11-25 1.6627 3.0877 2.30%
2009-11-24 1.6253 3.0503 -2.61%
2009-11-23 1.6688 3.0938 0.78%
2009-11-20 1.6559 3.0809 -0.27%
2009-11-19 1.6604 3.0854 0.26%
2009-11-18 1.6561 3.0811 0.13%
2009-11-17 1.6540 3.0790 0.05%
2009-11-16 1.6532 3.0782 3.05%
2009-11-13 1.6043 3.0293 0.28%
2009-11-12 1.5998 3.0248 0.23%
2009-11-11 1.5962 3.0212 -0.21%
2009-11-10 1.5996 3.0246 0.45%
2009-11-9 1.5925 3.0175 0.16%
2009-11-6 1.5900 3.0150 0.50%
2009-11-5 1.5821 3.0071 -0.04%
2009-11-4 1.5828 3.0078 0.44%
2009-11-3 1.5759 3.0009 0.95%
2009-11-2 1.5611 2.9861 3.64%
2009-10-30 1.5063 2.9313 0.82%
2009-10-29 1.4940 2.9190 -1.92%
2009-10-28 1.5233 2.9483 0.28%
2009-10-27 1.5191 2.9441 -2.72%
2009-10-26 1.5616 2.9866 -0.17%
2009-10-23 1.5642 2.9892 1.58%
2009-10-22 1.5398 2.9648 -0.77%
2009-10-21 1.5517 2.9767 -0.47%
2009-10-20 1.5590 2.9840 1.27%
2009-10-19 1.5395 2.9645 2.42%
2009-10-16 1.5031 2.9281 0.01%
2009-10-15 1.5030 2.9280 0.43%
2009-10-14 1.4966 2.9216 0.50%
2009-10-13 1.4891 2.9141 1.02%
2009-10-12 1.4741 2.8991 -0.16%
2009-10-9 1.4764 2.9014 4.28%
2009-9-30 1.4158 2.8408 0.54%
2009-9-29 1.4082 2.8332 0.36%
2009-9-28 1.4032 2.8282 -2.25%
2009-9-25 1.4355 2.8605 -0.71%
2009-9-24 1.4457 2.8707 1.13%
2009-9-23 1.4296 2.8546 -1.78%
2009-9-22 1.4555 2.8805 -1.85%
2009-9-21 1.4829 2.9079 0.69%
2009-9-18 1.4727 2.8977 -3.12%
2009-9-17 1.5202 2.9452 1.47%
2009-9-16 1.4982 2.9232 -1.49%
2009-9-15 1.5208 2.9458 -0.02%
2009-9-14 1.5211 2.9461 1.25%


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