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诺安先进制造股票基金(001528)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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基金名称 单位净值 累计净值 日增长率
诺安先进制造股票基金(001528)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(%)
2017-5-151.1861.1860.01701.45%
2017-5-121.1691.1690.00200.17%
2017-5-111.1671.1670.00600.52%
2017-5-101.1611.1610.00200.17%
2017-5-91.1591.159-0.0060-0.52%
2017-5-81.1651.165-0.0080-0.68%
2017-5-51.1731.173-0.0100-0.85%
2017-5-41.1831.1830.00400.34%
2017-5-31.1791.179-0.0060-0.51%
2017-5-21.1851.1850.00300.25%
2017-4-281.1821.182-0.0100-0.84%
2017-4-271.1921.192-0.0020-0.17%
2017-4-261.1941.1940.00300.25%
2017-4-251.1911.1910.00300.25%
2017-4-241.1881.188-0.0200-1.66%
2017-4-211.2081.208-0.0100-0.82%
2017-4-201.2181.2180.02502.10%
2017-4-191.1931.193-0.0020-0.17%
2017-4-181.1951.1950.00600.50%
2017-4-171.1891.1890.00100.08%
2017-4-141.1881.188-0.0060-0.50%
2017-4-131.1941.1940.00400.34%
2017-4-121.191.19-0.0040-0.34%
2017-4-111.1941.194-0.0030-0.25%
2017-4-101.1971.197-0.0070-0.58%
2017-4-71.2041.2040.00500.42%
2017-4-61.1991.199-0.0010-0.08%
2017-4-51.21.20.00800.67%
2017-3-311.1921.1920.00600.51%
2017-3-301.1861.186-0.0090-0.75%
2017-3-291.1951.195-0.0010-0.08%
2017-3-281.1961.196-0.0070-0.58%
2017-3-271.2031.203-0.0090-0.74%
2017-3-241.2121.2120.00700.58%
2017-3-231.2051.205-0.0010-0.08%
2017-3-221.2061.2060.00900.75%
2017-3-211.1971.1970.01301.10%
2017-3-201.1841.1840.01000.85%
2017-3-171.1741.174-0.0090-0.76%
2017-3-161.1831.1830.00300.25%
2017-3-151.181.180.00500.43%
2017-3-141.1751.175-0.0040-0.34%
2017-3-131.1791.1790.00900.77%
2017-3-101.171.170.00300.26%
2017-3-91.1671.167-0.0050-0.43%
2017-3-81.1721.172-0.0020-0.17%
2017-3-71.1741.1740.00400.34%
2017-3-61.171.170.00400.34%
2017-3-31.1661.166-0.0050-0.43%
2017-3-21.1711.171-0.0070-0.59%
2017-3-11.1781.1780.00400.34%
2017-2-281.1741.1740.00300.26%
2017-2-271.1711.171-0.0110-0.93%
2017-2-241.1821.182-0.0020-0.17%
2017-2-231.1841.184-0.0020-0.17%
2017-2-221.1861.1860.00600.51%
2017-2-211.181.180.00400.34%
2017-2-201.1761.1760.01201.03%
2017-2-171.1641.164-0.0070-0.60%
2017-2-161.1711.1710.00500.43%

说明:橙色背景栏表示当日分红或拆分,鼠标悬停显示分红金额或拆分比例。
【基金吧48小时排行】

 
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