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财通可持续发展100指数基金(000042)单位净值及收益率走势图
基金代码 起始日 终止日 计算收益 定投收益

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财通可持续发展100指数基金(000042)增长率排行
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基金名称 单位净值 累计净值 日增长率
财通可持续发展 1.945 2.875 0.41%
财通纯债分级债券A
财通纯债分级债券B
财通价值动量 3.167 3.638 1.21%
财通多策略稳健增长 1.1184 1.41 0.88%
财通保本 1.2346 1.3546 0.28%
财通可持续发展100指数基金(000042)历史净值列表
截至日期 单位净值(元) 累计净值(元) 增长值(元) 增长率(%)
2020/2/181.35321.842-0.0003-0.02%
2020/2/171.35351.84230.03112.35%
2020/2/141.32241.81120.00740.56%
2020/2/131.3151.8038-0.0050-0.38%
2020/2/121.321.80880.01300.99%
2020/2/111.3071.79580.00910.70%
2020/2/101.29791.78670.01070.83%
2020/2/71.28721.7760.00040.03%
2020/2/61.28681.77560.01981.56%
2020/2/51.2671.75580.01871.50%
2020/2/41.24831.73710.02141.74%
2020/2/31.22691.7157-0.1049-7.88%
2020/1/231.33181.8206-0.0405-2.95%
2020/1/221.37231.86110.00240.18%
2020/1/211.36991.8587-0.0259-1.86%
2020/1/201.39581.88460.01431.04%
2020/1/171.38151.87030.00050.04%
2020/1/161.3811.8698-0.0059-0.43%
2020/1/151.38691.8757-0.0106-0.76%
2020/1/141.39751.8863-0.0011-0.08%
2020/1/131.39861.88740.00750.54%
2020/1/101.39111.8799-0.0012-0.09%
2020/1/91.39231.88110.01541.12%
2020/1/81.37691.8657-0.0170-1.22%
2020/1/71.39391.88270.01010.73%
2020/1/61.38381.8726-0.0048-0.35%
2020/1/31.38861.87740.00050.04%
2020/1/21.38811.87690.01751.28%
2019/12/311.37061.85940.00650.48%
2019/12/301.36411.85290.01551.15%
2019/12/271.34861.8374-0.0019-0.14%
2019/12/261.35051.83930.01080.81%
2019/12/251.33971.8285-0.0029-0.22%
2019/12/241.34261.83140.00860.64%
2019/12/231.3341.8228-0.0175-1.29%
2019/12/201.35151.8403-0.0035-0.26%
2019/12/191.3551.84380.00240.18%
2019/12/181.35261.8414-0.0032-0.24%
2019/12/171.35581.84460.02541.91%
2019/12/161.33941.82820.00900.68%
2019/12/131.33041.81920.02031.55%
2019/12/121.31011.7989-0.0030-0.23%
2019/12/111.31311.80190.00360.27%
2019/12/101.30951.79830.00090.07%
2019/12/91.30861.79740.00310.24%
2019/12/61.30551.79430.00520.40%
2019/12/51.30031.78910.00530.41%
2019/12/41.2951.7838-0.0036-0.28%
2019/12/31.29861.78740.00310.24%
2019/12/21.29551.7843-0.0008-0.06%
2019/11/291.29631.7851-0.0070-0.54%
2019/11/281.30331.7921-0.0040-0.31%
2019/11/271.30731.7961-0.0077-0.59%
2019/11/261.3151.80380.00220.17%
2019/11/251.31281.80160.01641.27%
2019/11/221.29641.7852-0.0050-0.38%
2019/11/211.30141.7902-0.0039-0.30%
2019/11/201.30531.7941-0.0109-0.83%
2019/11/191.31621.8050.01050.80%

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【基金吧48小时排行】

 
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