|
|
|
|
|
 |
|
|
| 代码:002021 名称:华回报二 |
|
 |
|
|
|
|
| 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) | 8,066,186,080.45 | 9,687,969,767.22 | 11,478,941,290.56 | 11,109,673,058.55 | | 期末基金资产净值(元) | 8,006,604,010.10 | 9,573,002,302.05 | 11,371,459,779.17 | 10,430,761,438.00 | | 本期净收益(元) | -379,182,677.16 | 315,506,903.28 | 6,125,994,354.55 | 1,464,271,058.31 | | 本期可分配净收益(元) | -773,862,972.44 | | 282,090,931.41 | | | 单位基金资产净值(元) | 0.91 | 1.01 | 1.24 | 1.43 | | 单位基金净收益(元) | | | | | | 基金资产净值收益率(元) | -24.15 | | | | | 本期基金可分配收益率(元) | | | | | | 本期基金净值增长率(元) | | | 113.61 | | | 累计净值增长率(%) | | | 197.35 | | | 单位可分配净收益(元) | -0.09 | | 0.03 | |
|
|