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  广发聚丰7260
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  嘉实海外中国5341
  华夏全球精选4986
  上投摩根亚太优势4417
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  博时价值增长4183
基金经理(推荐)
基金仓位测算
 鹏华丰收(160612) 数据日期:2008-10-10
  
最新净值:1.049
累计净值:1.049
日 涨 幅:0.10%
基金公司:鹏华基金基金类型:契约型开放式投资类型:债券型
成立日期:2008-05-28基金经理:阳先伟 投资风格:收益型
最新份额:21.04亿份持有人数:未公布申购状态:可以申购
历史净值走势图
您可以查看最近一个阶段每日的基金净值。
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日期单位净值累计净值日涨幅
2008-10-101.04901.04900.1%
2008-10-091.04801.04800.87%
2008-10-081.03901.03900.58%
2008-10-071.03301.03300.58%
2008-10-061.02701.02700%
2008-09-261.02701.0270-0.1%
2008-09-251.02801.02800.1%
2008-09-241.02701.02700.1%
2008-09-231.02601.02600.2%
2008-09-221.02401.02400%
2008-09-191.02401.02400%
2008-09-181.02401.0240-0.1%
2008-09-171.02501.02500.39%
2008-09-161.02101.02100.39%
2008-09-121.01701.01700.1%
2008-09-111.01601.01600.1%
2008-09-101.01501.01500.1%
2008-09-091.01401.01400%
2008-09-081.01401.01400%
2008-09-051.01401.01400%
2008-09-041.01401.01400.1%
2008-09-031.01301.01300%
2008-09-021.01301.01300%
2008-09-011.01301.01300.1%
2008-08-291.01201.01200.1%
2008-08-281.01101.01100.1%
2008-08-271.01001.01000%
2008-08-261.01001.01000%
2008-08-251.01001.01000.1%
2008-08-221.00901.0090-0.1%
2008-08-211.01001.01000.1%
2008-08-201.00901.00900%
2008-08-191.00901.00900.1%
2008-08-181.00801.00800.1%
2008-08-151.00701.00700%
2008-08-141.00701.00700%
2008-08-131.00701.00700.1%
2008-08-121.00601.00600%
2008-08-111.00601.00600%
2008-08-081.00601.00600%
2008-08-071.00601.00600%
2008-08-061.00601.00600.1%
2008-08-051.00501.00500%
2008-08-041.00501.00500%
2008-08-011.00501.00500%
2008-07-311.00501.00500%
2008-07-301.00501.00500%
2008-07-291.00501.00500%
2008-07-281.00501.00500%
2008-07-251.00501.00500%