|
单位净值:
-- |
|
| 报告期 | 基金份额(万份) | 基金资产净值 (万元) |
基金资产总值 (万元) |
||||
|---|---|---|---|---|---|---|---|
| 期初份额 | 期间申购 | 期间赎回 | 期末份额 | 变动率 | |||
| 2012-03-31 | 22,830.2428 | 87.7176 | 5,717.8430 | 17,200.1173 | -24.66% | 13,966.7117 | 14,541.9755 |
| 2011-12-31 | 26,349.6818 | 77.5534 | 3,596.9924 | 22,830.2428 | -13.36% | 19,306.8142 | 19,649.2860 |
| 2011-09-30 | 33,406.2323 | 83.4388 | 7,139.9893 | 26,349.6818 | -21.12% | 23,567.2010 | 23,715.7221 |
| 2011-06-30 | 34,204.6928 | 127.2821 | 925.7425 | 33,406.2323 | -2.33% | 32,776.2579 | 32,936.3304 |
| 2011-03-31 | 73,981.0195 | 253.7217 | 40,030.0483 | 34,204.6928 | -53.77% | 35,322.1201 | 35,868.3944 |
| 2010-12-31 | 20,595.4009 | 196,206.2301 | 142,820.6115 | 73,981.0195 | 259.21% | 76,848.4775 | 77,731.7090 |
| 2010-09-30 | 25,701.1843 | 2,368.4675 | 7,474.2509 | 20,595.4009 | -19.87% | 29,165.8633 | 30,055.9191 |
| 2010-06-30 | 26,949.2229 | 2,799.8112 | 4,047.8498 | 25,701.1843 | -4.63% | 31,988.4941 | 32,228.5937 |
| 2010-03-31 | 18,128.2743 | 10,820.1418 | 1,999.1932 | 26,949.2229 | 48.66% | 43,833.7054 | 44,047.9216 |
| 2009-12-31 | 18,390.1662 | 203.6503 | 465.5421 | 18,128.2743 | -1.42% | 32,844.5766 | 33,337.7613 |
| 2009-09-30 | 15,198.9652 | 3,931.8843 | 740.6833 | 18,390.1662 | 21.00% | 30,822.7102 | 31,350.4368 |
| 2009-06-30 | 14,333.9936 | 3,208.0815 | 2,343.1099 | 15,198.9652 | 6.03% | 24,844.6140 | 25,104.4466 |
| 2009-03-31 | 14,586.4779 | 119.9808 | 372.4652 | 14,333.9936 | -1.73% | 22,594.5779 | 23,167.0813 |
| 2008-12-31 | 14,802.4636 | 109.5727 | 325.5584 | 14,586.4779 | -1.46% | 19,397.2946 | 20,072.0339 |
| 2008-09-30 | 15,102.0115 | 99.8365 | 399.3844 | 14,802.4636 | -1.98% | 20,561.4754 | 20,888.4719 |
| 2008-06-30 | 12,743.6842 | 2,789.7488 | 431.4215 | 15,102.0115 | 18.51% | 24,305.0751 | 24,599.9165 |
| 2008-03-31 | 13,529.9416 | 118.8136 | 905.0710 | 12,743.6842 | -5.81% | 30,971.1941 | 31,159.1620 |
| 2007-12-31 | 14,300.9721 | 185.1325 | 956.1630 | 13,529.9416 | -5.39% | 41,557.4153 | 42,440.9352 |
| 2007-09-30 | 15,908.8771 | 422.3634 | 2,030.2685 | 14,300.9721 | -10.11% | 46,315.2103 | 46,547.9708 |
| 2007-06-30 | 18,514.6840 | 1,029.5812 | 3,635.3881 | 15,908.8771 | -14.07% | 39,417.4068 | 40,043.0110 |
| 2007-03-31 | 23,148.1957 | 380.3688 | 5,013.8804 | 18,514.6840 | -20.02% | 37,418.1228 | 38,857.4997 |
| 2006-09-30 | 56,779.5177 | 164.8268 | 13,178.0073 | 43,766.3372 | -22.92% | 57,526.5316 | 62,389.1807 |
| 2006-03-31 | 115,091.9162 | 308.2505 | 37,952.2501 | 77,447.9167 | -32.71% | 83,726.4823 | 90,711.9174 |
| 2005-09-30 | 145,980.2677 | 224.0069 | 18,201.8772 | 128,002.3974 | -12.32% | 122,654.5193 | 125,036.1533 |
| 2005-03-31 | 168,487.0267 | 420.1592 | 16,412.3852 | 152,494.8007 | -9.49% | 142,864.2491 | 150,267.9303 |
| 2004-09-30 | 201,472.1673 | 19,460.2223 | 36,077.3257 | 184,855.0639 | -8.25% | 186,770.5547 | 187,650.4582 |
| 2004-03-31 | 263,238.0779 | -- | -- | 211,928.4512 | -19.49% | 234,019.3890 | -- |
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