設(shè)為首頁 加入收藏
南財(cái)基金網(wǎng)盤中估值基金情報(bào)南財(cái)基金網(wǎng)我的基金基金檔案基金計(jì)算器
南財(cái)基金盤中估值基金情報(bào)我的基金基金檔案基金計(jì)算器
基金數(shù)據(jù)
基金資訊
實(shí)用功能
主力數(shù)據(jù)
基金天元基金詳情
基金天元(184698)基金凈值
截至日期 單位凈值(元) 累計(jì)凈值(元) 增長(zhǎng)率(%)
2011-12-23 0.8335 4.0555 -1.42%
2011-12-16 0.8455 4.0675 -2.55%
2011-12-9 0.8676 4.0896 -2.02%
2011-12-2 0.8855 4.1075 0.02%
2011-11-25 0.8853 4.1073 -0.55%
2011-11-18 0.8902 4.1122 -2.03%
2011-11-11 0.9086 4.1306 -1.28%
2011-11-4 0.9204 4.1424 1.68%
2011-10-28 0.9052 4.1272 4.23%
2011-10-21 0.8685 4.0905 -3.59%
2011-10-14 0.9008 4.1228 1.22%
2011-9-30 0.8899 4.1119 -2.48%
2011-9-23 0.9125 4.1345 -1.42%
2011-9-16 0.9256 4.1476 -0.18%
2011-9-9 0.9273 4.1493 -1.18%
2011-9-2 0.9384 4.1604 -2.55%
2011-8-26 0.9630 4.1850 1.58%
2011-8-19 0.9480 4.1700 -1.76%
2011-8-12 0.9650 4.1870 -0.57%
2011-8-5 0.9705 4.1925 -1.42%
2011-7-29 0.9845 4.2065 -1.74%
2011-7-22 1.0019 4.2239 -1.54%
2011-7-15 1.0176 4.2396 0.38%
2011-7-8 1.0137 4.2357 1.88%
2011-7-1 0.9950 4.2170 0.83%
2011-6-24 0.9868 4.2088 3.07%
2011-6-17 0.9574 4.1794 -1.07%
2011-6-10 0.9678 4.1898 -0.54%
2011-6-3 0.9731 4.1951 0.72%
2011-5-27 0.9661 4.1881 -4.37%
2011-5-20 1.0102 4.2322 0.11%
2011-5-13 1.0091 4.2311 0.40%
2011-5-6 1.0051 4.2271 -1.36%
2011-4-29 1.0190 4.2410 -2.85%
2011-4-22 1.0489 4.2709 -1.22%
2011-4-15 1.0619 4.2839 -0.03%
2011-4-8 1.0622 4.2842 1.41%
2011-4-1 1.0474 4.2694 -1.25%
2011-3-25 1.0607 4.2827 1.59%
2011-3-18 1.0441 4.2661 -1.23%
2011-3-11 1.0571 4.2791 -0.06%
2011-3-4 1.0577 4.2797 1.52%
2011-2-25 1.0419 4.2639 -0.53%
2011-2-18 1.0475 4.2695 1.13%
2011-2-11 1.0358 4.2578 1.03%
2011-2-1 1.0252 4.2472 -6.40%
2011-1-28 1.0953 4.2363 1.29%
2011-1-21 1.0813 4.2223 -3.13%
2011-1-14 1.1162 4.2572 -2.80%
2011-1-7 1.1484 4.2894 0.75%
2010-12-31 1.1399 4.2809 0.44%
2010-12-24 1.1349 4.2759 -2.62%
2010-12-17 1.1654 4.3064 2.62%
2010-12-10 1.1357 4.2767 -0.08%
2010-12-3 1.1366 4.2776 -1.23%
2010-11-26 1.1507 4.2917 1.95%
2010-11-19 1.1287 4.2697 -1.62%
2010-11-12 1.1473 4.2883 -3.57%
2010-11-5 1.1898 4.3308 2.97%
2010-10-29 1.1555 4.2965 0.56%
2010-10-22 1.1491 4.2901 2.36%
2010-10-15 1.1226 4.2636 1.19%
2010-10-8 1.1094 4.2504 1.85%
2010-9-30 1.0892 4.2302 2.13%
2010-9-21 1.0665 4.2075 0.17%
2010-9-17 1.0647 4.2057 -1.57%
2010-9-10 1.0817 4.2227 -0.19%
2010-9-3 1.0838 4.2248 2.92%
2010-8-27 1.0531 4.1941 -0.10%
2010-8-20 1.0542 4.1952 0.84%
2010-8-13 1.0454 4.1864 -0.45%
2010-8-6 1.0501 4.1911 1.58%
2010-7-30 1.0338 4.1748 1.99%
2010-7-23 1.0136 4.1546 4.78%
2010-7-16 0.9674 4.1084 -0.40%
2010-7-9 0.9713 4.1123 4.19%
2010-7-2 0.9322 4.0732 -5.53%
2010-6-25 0.9868 4.1278 0.87%
2010-6-18 0.9783 4.1193 -2.83%
2010-6-11 1.0068 4.1478 1.19%
2010-6-4 0.9950 4.1360 -2.32%
2010-5-28 1.0186 4.1596 0.24%
2010-5-21 1.0162 4.1572 0.00
2010-5-14 1.0162 4.1572 -0.47%
2010-5-7 1.0210 4.1620 -3.67%
2010-4-30 1.0599 4.2009 -3.74%
2010-4-23 1.1011 4.2421 -2.51%
2010-4-16 1.1295 4.2705 -21.46%
2010-4-9 1.4381 4.2741 -0.21%
2010-4-2 1.4411 4.2771 3.01%
2010-3-26 1.3990 4.2350 0.03%
2010-3-19 1.3986 4.2346 0.46%
2010-3-12 1.3922 3.1673 0.00
2010-3-5 1.3922 4.2282 -0.90%
2010-2-26 1.4049 4.2409 1.19%
2010-2-12 1.3884 4.2244 2.18%
2010-2-5 1.3588 4.1948 -1.28%
2010-1-29 1.3764 4.2124 -3.24%
2010-1-22 1.4225 4.2585 -3.00%
2010-1-15 1.4665 4.3025 0.57%



將南財(cái)基金網(wǎng)設(shè)為上網(wǎng)首頁嗎?      將南財(cái)基金網(wǎng)添加到收藏夾嗎?

免責(zé)聲明    關(guān)于我們    征稿啟事    廣告服務(wù)    聯(lián)系我們    南財(cái)基金網(wǎng)

[閩ICP備07057190] 版權(quán)所有: 南方財(cái)富網(wǎng)@南財(cái)基金