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| 代码:260110 名称:景顺长城精选 |
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| 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) | 13,778,226,758.35 | 17,769,241,496.10 | 25,767,611,214.78 | 28,036,135,306.64 | | 期末基金资产净值(元) | 13,749,026,130.25 | 17,671,801,911.12 | 25,621,766,730.72 | 27,296,852,923.69 | | 本期净收益(元) | -9,966,248.47 | 238,128,915.67 | 1,276,639,120.31 | 155,811,874.79 | | 本期可分配净收益(元) | -3,094,425,909.10 | | 1,240,812,589.99 | | | 单位基金资产净值(元) | 0.82 | 1.00 | 1.28 | 1.31 | | 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) | -36.25 | | 28.00 | | | 累计净值增长率(%) | -18.40 | | 28.00 | | | 单位可分配净收益(元) | -0.18 | | 0.06 | |
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