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本周基金净值汇总 |
》 | ||||
海富通精选基金 | ||||||
日期 |
基金净值 |
累计净值 | ||||
|
1.2038 |
1.4038 | ||||
|
1.1943 |
1.3943 | ||||
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1.1965 |
1.3965 | ||||
|
1.1843 |
1.3843 | ||||
|
1.1746 |
1.3746 | ||||
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海富通收益增长基金 | ||||||
日期 |
基金净值 |
累计净值 |
收益增长线 | |||
|
1.044 |
1.044 |
0.928 | |||
|
1.040 |
1.040 |
0.928 | |||
|
1.041 |
1.041 |
0.928 | |||
|
1.035 |
1.035 |
0.928 | |||
|
1.030 |
1.030 |
0.928 | |||
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海富通货币市场基金 | ||||||
日期 |
万份净收益 |
七日年化收益率 | ||||
|
0.3559 |
1.937% | ||||
|
0.4258 |
1.921% | ||||
|
0.2749 |
1.865% | ||||
|
0.2460 |
1.910% | ||||
|
1.8437 |
1.999% | ||||
|
0.5695 |
1.786% | ||||
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海富通股票基金 | ||||||
日期 |
基金净值 |
累计净值 | ||||
2006-03-31 |
1.170 |
1.195 | ||||
2006-03-30 |
1.153 |
1.178 | ||||
2006-03-29 |
1.154 |
1.179 | ||||
2006-03-28 |
1.147 |
1.172 | ||||
2006-03-27 |
1.132 |
1.157 | ||||
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