|
|
|
|
|
 |
|
|
| 代码:500038名称:基金通乾 |
|
 |
|
|
|
|
| 数据日期 | 2008-06-30 | 2008-03-31 | 2007-12-31 | 2007-09-30 | | 期末基金资产总值(元) | 2,753,510,872.13 | 5,617,600,492.41 | 6,833,025,858.34 | 6,858,241,445.80 | | 期末基金资产净值(元) | 2,744,686,330.22 | 5,399,286,079.89 | 6,505,957,034.37 | 6,554,750,596.94 | | 本期净收益(元) | 637,359,741.99 | 419,538,945.40 | 2,868,832,229.23 | 855,391,948.55 | | 本期可分配净收益(元) | 744,686,330.22 | | 2,284,260,931.80 | | | 单位基金资产净值(元) | 1.37 | 2.70 | 3.25 | 3.28 | | 单位基金净收益(元) | | | | | | 基金资产净值收益率(元) | | | | | | 本期基金可分配收益率(元) | | | | | | 本期基金净值增长率(元) | -31.08 | | 122.86 | | | 累计净值增长率(%) | 204.89 | | 342.38 | | | 单位可分配净收益(元) | 0.37 | | 1.14 | |
|
|