博实精选基金净值查询(博时主题基金净值)
什么是单位净值?买基金为什么要参考单位净值?
基金单位净值是什么
基金单位净值即每份基金单位的净资产价值,是当前的基金总净资产除以基金总份额。
基金累计净值
基金累计净值=单位净值+历史分红值,如果某支基金成立以来从未分过红,那么它的累计净值就等于单位净值。 温馨提示 基金单位净值即每份基金单位的净资产价值,是当前的基金总净资产除以基金总份额。
买基金为什么要参考单位净值。
跟股票类似,价位越高,同样的能够买到的份额就会更少,波动大的话影响也会更大。
不过买基金的话,看中的更多的是基金公司,基金管理人,基金的过往业绩。
净值只是一个辅助的购买方向。
基金净值公布具体时间
银行系统一般于下一个交易日早上九点公布上一交易日的基金净值;基金公司一般为交易日当天的19:00-21:00左右公布。
基金的单位净值
基金的单位净值,就是每份基金单位的净资产价值,通俗的讲,就是当前每一份额值多少钱。就好比每股的价格一样。
为什么要设置净值这个概念呢?基金的申购(买入)和赎回(卖出),遵循“金额买入,份额赎回”的规定。也就是说,买入时会将买入金额,扣除手续费(申购费等)后按照申请日的净值,折合成相应的基金份额。所以,你持有的是基金份额。卖出时,扣除相应的手续费(赎回费等),将手中的基金份额,按当时净值转换金额,到用户手中。
为什么要强调“当前”,这就涉及到基金的分红。我们大致可以认为,基金累计净值=单位净值+基金分红。如果基金从成立开始,没有分红的话,那么单位净值就是累计净值。
买基金时为什么要参考单位净值
单位净值是我们在买卖基金时,计算的数值标准。我们可以根据单位净值,计算自己买入时的手续费、买入最终的基金份额等。单位净值的涨跌,就是基金赚钱与亏损,所以这个概念是买基金参考的重要指标。
基金发行时,单位净值是1(元)。我们看到单位净值和累计净值的概念,就会大致理解,累计净值更具参考意义。因为单位净值没有考虑到基金分红的情形。所以,我们第一看到单位净值是0.6的基金,很可能累计净值是2.3,因为基金分红。
基金净值的误区
有的人喜欢“捡便宜”的买,觉得净值低的基金,可能觉得之后反弹起来的可能性更大。其实,这种想法是不适合基金投资的。净值高的基金,很可能就是长期处于盈利状态,积累净值很高;相反,一些净值低的基金,很有可能是常年亏损的基金。这一点跟股市是不同的。所以,买基金就是要买长期赚钱的基金。
如何根据净值挑选指数基金?
我自己学习和定投基金2年多的时间,分享一点点个人想法。
首先,指数基金的挑选并不是以净值作为标准的哦。
简单的举例来说一下净值的意思。
基金A刚开始的时候是1元,基金份额1亿份,,基金规模就是1亿元。基金经理将这1亿元拿去投资,一年赚了钱比如3200万,扣除管理费乱七八糟费用之后(比如200万),这只基金规模就是1.3亿元,假设基金规模不变。那么此时基金净值就是1.3元。
基金净值会受是否分红等因素的影响。
接着上面的例子。如果这只基金1年后实行现金分红,每1份基金,分红0.3元,那么此时的基金净值就又回到了1元,基金规模回到了1亿元。
所以可以看出来,无法利用基金的净值来判断这是否是一只好基金。
当然上面只是举例,实际操作中,设计非常复杂的计算方法和扣除项。
净值跟基金的好坏没有任何关系,这么选纯属扯淡……
12月10 日基金净值表
12月10日基金净值更新日期:12月7日
代码名称最新净值上期净值最新净值增长率近一周净值增长率近一月净值增长率累计净值累计分红最新份额(亿)
000001NV.OF华夏成长净值2.0452.0270.894.5-4.443.2261.18161.5457
000011NV.OF华夏大盘精选净值6.7166.6271.345.650.076.8960.188.2684
000021NV.OF华夏优势增长净值2.4462.4240.915.25-3.052.5660.1291.6291
000031NV.OF华夏复兴净值0.990.981.025.21-1.880.99049.9911
000041NV.OF华夏全球精选净值0.9320.877.137.13-8.630.9320300.5564
001001NV.OF华夏债券AB净值1.1121.113-0.090.36-0.271.3620.2543.8711
001003NV.OF华夏债券C净值1.1051.106-0.090.27-0.361.3550.2510.1886
002001NV.OF华夏回报净值1.3521.3420.753.84-1.893.3231.971168.754
002011NV.OF华夏红利净值3.0122.9850.95.24-3.033.8450.83387.8217
002021NV.OF华夏回报2号净值1.181.1690.944.33-1.862.4271.24772.7903
020001NV.OF国泰金鹰增长净值3.4193.3870.945.13-4.234.1820.7633.6006
020002NV.OF国泰金龙债券净值1.0651.06500.280.371.2280.1637.6107
020003NV.OF国泰金龙行业精选净值3.2673.2341.024.71-4.054.0990.8321.8937
020005NV.OF国泰金马稳健回报净值1.0111.0020.93.9-4.354.1633.119106.0574
020006NV.OF国泰金象保本增值净值1.4311.4280.210.57-0.281.4310.441.9986
020008NV.OF国泰金鹿保本增值净值1.5941.590.251.4-1.241.6190.0259.1382
020009NV.OF国泰金鹏蓝筹价值净值1.2881.2770.865.05-5.442.1730.88538.6777
020010NV.OF国泰金牛创新成长净值1.2161.2050.914.56-4.11.2660.0581.0883
020011NV.OF国泰沪深300净值000004.4543.5270
040001NV.OF华安创新净值0.9830.9810.213.26-2.094.4543.5279.1249
040002NV.OF华安MSCI中国A股净值4.2624.2011.456.18-4.634.6320.3710.6404
040004NV.OF华安宝利配置净值1.0951.0890.553.89-0.543.3352.2429.9092
040005NV.OF华安宏利净值2.9282.89721.065.54-3.713.3180.3952.9924
040006NV.OF华安国际配置净值1.0231.0160.69001.02301.8104
040007NV.OF华安中小盘成长净值1.46971.44781.516.02-3.422.78461.7749144.3842
040008NV.OF华安策略优选净值1.0221.01510.684.46-4.812.55832.6563243.7349
050001NV.OF博时价值增长净值1.0080.99814.13-3.363.512.502409.9358
050002NV.OF博时裕富净值1.3541.3371.276.11-6.493.3341.98192.2833
050004NV.OF博时精选净值2.12762.1041.125.19-4.253.51761.39120.9471
050006NV.OF博时稳定价值债券B净值1.0531.0520.090.380.191.0910.03814.3767
050007NV.OF博时平衡配置净值1.2571.2470.84.14-5.562.3181.06146.2127
050008NV.OF博时第三产业成长净值1.4941.4810.885.43-3.683.3052.051154.3808
050009NV.OF博时新兴成长净值1.0741.0611.225.09-3.944.0293.4023294.7625
050106NV.OF博时稳定价值债券A净值1.0541.0530.090.470.181.0920.0380.4585
050201NV.OF博时价值增长2号净值0.9760.9670.934.83-5.242.4311.45568.9229
070001NV.OF嘉实成长收益净值1.77821.76370.823.72-1.793.32821.5535.506
070002NV.OF嘉实增长净值4.4254.3930.733.95-1.864.7660.3416.8834
070003NV.OF嘉实稳健净值1.331.3190.834.56-4.113.4561.7369302.1839
070005NV.OF嘉实债券净值1.2591.2560.230.48-2.631.6090.3532.9815
070006NV.OF嘉实服务增值行业净值4.2244.1940.714.01-2.094.3440.1229.8796
070007NV.OF嘉实浦安保本净值11.0010.10.10.161.8970.8972.3635
070009NV.OF嘉实超短债净值1.00281.00240.040.110.241.04630.04353.0955
070010NV.OF嘉实主题精选净值1.7191.7090.594.43-2.332.8841.16583.1135
070011NV.OF嘉实策略增长净值1.6671.6520.915.04-2.41.6670127.1473
070012NV.OF嘉实海外中国股票净值0.9090.8546.446.44-8.370.9090297.5033
070099NV.OF嘉实优质企业净值000002.9691.8440
080001NV.OF长盛成长价值净值1.1251.1170.714.17-3.62.9691.84419.3219
090001NV.OF大成价值增长净值0.97080.961215.43-1.233.63082.6617.4458
090002NV.OF大成债券AB净值1.06641.0666-0.020.640.141.29590.229521.5133
090003NV.OF大成蓝筹稳健净值1.10881.09870.925.24-3.163.67882.57183.4507
090004NV.OF大成精选增值净值1.91941.89251.425.54-3.623.31991.400540.6571
090006NV.OF大成财富管理2020净值0.9790.970.935.16-2.592.8011.82266.3478
092002NV.OF大成债券C净值1.05631.0566-0.030.620.071.28580.229521.5133
100016NV.OF富国天源平衡净值1.23841.22571.044.58-5.032.4991.260614.8974
100018NV.OF富国天利增长债券净值1.28291.28060.181.16-0.351.71290.4317.457
100020NV.OF富国天益价值净值1.05031.03981.015.16-1.124.06163.011318.2165
100022NV.OF富国天瑞强势地区精选净值2.04692.01261.715.82-3.253.21691.177.7829
100026NV.OF富国天合稳健优选净值0.99330.98370.975.64-2.952.37281.379556.506
110001NV.OF易方达平稳增长净值1.9571.940.885.16-2.733.0671.1144.9782
110002NV.OF易方达策略成长净值5.1115.0690.836.88-4.045.7410.6328.2866
110003NV.OF易方达上证50净值1.42581.4091.196.16-3.953.27581.85173.4911
110005NV.OF易方达积极成长净值1.67571.66080.95.8-3.614.7371.8812124.7659
110007NV.OF易方达月月收益A净值1.00841.0080.040.10.421.040.03162.8524
110008NV.OF易方达月月收益B净值1.00861.00820.040.110.451.04020.02830.0999
110009NV.OF易方达价值精选净值2.9982.97060.926.16-3.433.1780.1852.7314
110010NV.OF易方达价值成长净值1.52291.50361.295.76-3.091.55290.03255.6301
112002NV.OF易方达策略成长2号净值1.8491.8340.826.45-4.153.3441.49541.7316
121001NV.OF国投瑞银融华债券净值1.43741.42740.72.52-2.892.28940.8524.5693
121002NV.OF国投瑞银景气行业净值0.95180.9421.044.08-4.422.92081.96954.433
121003NV.OF国投瑞银核心企业净值1.26851.25511.076.21-5.552.70851.44156.4999
121005NV.OF国投瑞银创新动力净值1.49421.479415.63-4.542.72730.840644.6447
121007NV.OF国投瑞银瑞福优先净值1.0541.0510.291.44-0.851.054029.9984
150001NV.SZ国投瑞银瑞福进取净值1.2661.2412.0110.57-9.121.266030.005
150002NV.SZ大成优选净值1.1921.1791.17.68-4.331.192046.7431
150103NV.OF银河银泰理财分红净值1.06581.05491.044.74-4.933.60582.5446.3536
151001NV.OF银河稳健净值1.41671.40320.964.95-2.833.22171.80516.9767
151002NV.OF银河收益净值1.61091.60120.612.05-0.371.91090.33.7866
159901NV.OF易方达深证100ETF净值5.044.971.416.76-7.35.160.1210.6317
159902NV.OF华夏中小板ETF净值2.5812.5690.475.87-0.042.581011.482
160105NV.OF南方积极配置净值1.97511.9570.935.65-3.943.03011.05544.0375
160106NV.OF南方高增长净值2.79932.77490.884.65-4.993.70330.90446.4063
160311NV.OF华夏蓝筹核心净值1.3311.3190.914.88-3.23.8152.043269.5585
160314NV.OF华夏行业精选净值3.6813.6411.14.54-0.924.4680.7875
160505NV.OF博时主题行业净值2.9922.9571.184.11-0.963.9130.92164.0489
160602NV.OF鹏华普天债券A净值1.0911.09100.190.371.220.1291.2807
160603NV.OF鹏华普天收益净值1.0241.0170.695.13-3.853.472.44628.7567
160605NV.OF鹏华中国50净值2.0942.0740.976.24-4.253.6241.5339.31
160607NV.OF鹏华价值优势净值1.0151.0041.15.84-1.463.1142.071134.753
160608NV.OF鹏华普天债券B净值1.0791.0780.090.180.371.2080.1291.6393
160610NV.OF鹏华动力增长净值1.9921.9711.076.41-10.591.992072.7711
160611NV.OF鹏华优质治理净值1.371.3541.185.71-4.861.370158.1272
160706NV.OF嘉实沪深300净值1.2591.2431.295.98-5.483.1271.868265.7051
160805NV.OF长盛同智优势成长净值1.83491.81231.255.47-6.362.74511.602752.9451
160910NV.OF大成创新成长净值1.2631.2481.25.69-3.812.4741.969219.2944
161005NV.OF富国天惠精选成长净值1.89321.8750.975.58-3.183.09321.223.8906
161601NV.OF融通新蓝筹净值1.05081.04510.554.05-2.323.34582.295279.4033
161603NV.OF融通债券净值1.1681.169-0.090-0.341.3430.1752.4121
161604NV.OF融通深证100净值1.8211.7971.336.49-6.712.9911.1768.3123
161605NV.OF融通蓝筹成长净值1.871.8520.975.59-5.631.1341.8806
161606NV.OF融通行业景气净值1.3471.3360.825.23-3.443.2871.946.1191
161607NV.OF融通巨潮100净值1.7341.7121.286.18-5.813.1641.4329.3893
161609NV.OF融通动力先锋净值2.6752.6391.366.15-5.182.7750.135.5389
161610NV.OF融通领先成长净值1.4521.4410.776.45-4.033.7391.924860.6051
161706NV.OF招商优质成长净值1.75581.731.496.61-4.483.66611.910374.0757
161902NV.OF万家增强收益净值1.00341.00310.030.29-0.21.43940.43575.8987
161903NV.OF万家公用事业净值1.67211.639324.49-3.452.40210.731.0406
162006NV.OF长城久富核心成长净值1.64441.62641.114.4-2.733.52521.880855.6008
162102NV.OF金鹰中小盘精选净值1.48141.47240.613.17-9.092.10140.620.4907
162201NV.OF泰达荷银成长净值1.97181.96770.212.32-1.363.05181.085.8915
162202NV.OF泰达荷银周期净值1.83161.82470.384.33-4.643.30661.4756.3977
162203NV.OF泰达荷银稳定净值1.59341.57910.914.13-3.313.09341.55.5038
162204NV.OF泰达荷银行业精选净值5.32455.28090.835.51-5.295.39450.0712.6566
162205NV.OF泰达荷银风险预算净值1.69841.68860.583.82-2.182.17340.4751.4979
162207NV.OF泰达荷银效率优选净值0.96970.96240.764.18-3.042.33231.405289.7424
162208NV.OF泰达荷银首选企业净值1.94491.93070.734.97-5.541.99490.0522.1494
162209NV.OF泰达荷银市值优选净值1.02171.01071.095.36-4.031.02170118.687
162605NV.OF景顺长城鼎益净值1.5551.5391.046.29-3.543.5451.99110.7062
162607NV.OF景顺长城资源垄断净值1.131.1161.257.01-3.913.0911.961153.261
162703NV.OF广发小盘成长净值2.83562.79791.355.9-3.443.99561.1649.709
163302NV.OF巨田资源优选净值2.06782.04131.35.7-4.433.30281.23510.6396
163402NV.OF兴业趋势投资净值1.28981.27820.915.3-1.735.77053.2239159.6282
163503NV.OF天治核心成长净值0.89720.88681.176.13-5.362.76071.96128.4215
163801NV.OF中银国际中国精选净值2.04352.01661.335.15-3.293.21351.1713.4838
163803NV.OF中银国际持续增长净值1.04731.03870.833.24-1.763.09381.8652152.4451
163804NV.OF中银国际收益净值1.00140.98941.215.09-2.162.18141.1871.5334
166001NV.OF中欧新趋势净值1.72031.69681.384.96-3.261.7203037.2196
180001NV.OF银华优势企业净值1.33451.32350.833.9-6.022.95451.6284.4218
180002NV.OF银华保本增值净值1.20821.20490.281.17-1.351.20820.228413.4139
180003NV.OF银华道琼斯88精选净值1.31341.30080.975.77-5.313.11341.8155.3113
180010NV.OF银华优质增长净值2.21182.19130.945.27-5.373.41181.264.552
180012NV.OF银华富裕主题净值1.19441.18221.035.36-6.772.12940.935122.8829
184688NV.SZ基金开元净值2.98432.84544.884.880.255.24332.25920
184689NV.SZ基金普惠净值3.69423.51345.155.15-3.064.73821.04420
184690NV.SZ基金同益净值2.78392.96683.953.951.714.78792.00420
184691NV.SZ基金景宏净值3.34363.1874.914.912.344.63361.2920
184692NV.SZ基金裕隆净值3.65273.48134.924.920.324.81171.15930
184693NV.SZ基金普丰净值3.00612.86474.944.94-0.213.76210.75630
184698NV.SZ基金天元净值3.12132.97115.065.060.244.77631.65530
184699NV.SZ基金同盛净值2.78572.65444.954.950.843.74820.962530
184700NV.SZ基金鸿飞净值3.29413.11935.65.6-0.493.62410.335
184701NV.SZ基金景福净值2.98442.83095.425.42-0.863.60840.62430
184703NV.SZ基金金盛净值2.74492.63154.314.310.364.52071.77585
184705NV.SZ基金裕泽净值3.4053.25234.74.7-2.174.4451.045
184706NV.SZ基金天华净值2.50152.39664.384.38-1.653.00150.525
184712NV.SZ基金科汇净值4.48464.21576.386.382.775.74211.25758
184713NV.SZ基金科翔净值4.85654.58745.875.872.295.74650.898
184719NV.SZ基金融鑫净值3.42163.26644.754.751.124.20440.78288
184721NV.SZ基金丰和净值2.82442.71344.094.09-2.464.00241.17830
184722NV.SZ基金久嘉净值4.03613.8385.165.16-0.674.67610.6420
184728NV.SZ基金鸿阳净值2.37112.25974.934.930.822.95260.581520
200001NV.OF长城久恒净值1.6351.6250.613.22-1.572.7451.115.1203
200002NV.OF长城久泰中标300净值1.84541.82031.386.2-6.594.70542.865.5838
200006NV.OF长城消费增值净值1.05961.05340.594.22-2.432.49961.4443.5424
200007NV.OF长城安心回报净值1.00050.99090.974.5-3.292.56241.561298.175
200008NV.OF长城品牌优选净值1.13771.13010.673.4-2.711.13770244.2692
202001NV.OF南方稳健成长净值1.68391.66840.935.4-2.863.42891.745117.3452
202002NV.OF南方稳健成长2号净值1.41921.40730.855.45-3.573.01621.1253174.7346
202003NV.OF南方绩优成长净值2.89692.87770.675.25-5.462.89690112.1698
202005NV.OF南方成份精选净值1.39451.38430.744.94-4.371.39452.4862258.1184
202007NV.OF南方隆元产业主题净值1.0061.0040.22.03-3.041.0063.0512111.8977
202101NV.OF南方宝元债券净值1.23051.22920.111.52-1.12.40051.1723.1272
202102NV.OF南方多利增强净值1.0651.06370.120.850.141.09310.028110.4451
202202NV.OF南方避险增值净值2.64342.61621.043.79-23.13740.49424.3492
202801NV.OF南方全球精选净值0.9570.9115.055.05-6.540.9570299.9815
206001NV.OF鹏华行业成长净值3.71513.6830.875.33-2.553.86510.152.5564
210001NV.OF金鹰成份股优选净值1.03171.01791.354.95-6.652.69481.64649.1537
213001NV.OF宝盈鸿利收益净值1.32131.3051.256.7-5.972.96131.6413.4334
213002NV.OF宝盈泛沿海区域增长净值0.9510.93671.536.45-4.52.84541.783628.4774
213003NV.OF宝盈策略增长净值1.54871.52361.656.97-6.811.74870.249.9933
217001NV.OF招商安泰股票净值1.0281.02210.584.67-6.293.6422.6145.1455
217002NV.OF招商安泰平衡净值2.10322.09470.413.13-5.062.71820.6151.5228
217003NV.OF招商安泰债券A净值1.11521.11450.060.20.011.35170.23651.8329
217005NV.OF招商先锋净值0.99990.98841.165.01-3.692.94991.9595.8941
217008NV.OF招商安本增利债券净值1.19651.19360.241.44-0.681.24150.04540.4378
217009NV.OF招商核心价值净值1.6491.63131.096.01-4.681.6490102.4997
217203NV.OF招商安泰债券B净值1.1081.10730.070.19-0.011.34450.23650.9609
233001NV.OF巨田基础行业净值2.40262.36661.523.32-3.412.66260.260.9283
240001NV.OF华宝兴业宝康消费品净值1.52491.51410.714.78-5.823.28261.757731.1225
240002NV.OF华宝兴业宝康灵活配置净值1.85211.83620.874.14-4.253.39211.5425.3271
240003NV.OF华宝兴业宝康债券净值1.26881.26750.10.680.231.53880.2749.5845
240004NV.OF华宝兴业动力组合净值2.46332.44250.856.19-5.653.54331.0820.2319
240005NV.OF华宝兴业多策略增长净值2.11722.09571.035.4-6.294.23722.1214.9474
240008NV.OF华宝兴业收益增长净值3.67333.6380.975.48-4.113.6733021.7679
240009NV.OF华宝兴业先进成长净值2.67542.6510.923.98-2.992.6754029.6422
240010NV.OF华宝兴业行业精选净值1.25671.24111.264.97-3.491.25670231.8091
253010NV.OF国联安德盛安心成长净值1.8721.8640.432.3-1.992.1420.270.5355
255010NV.OF国联安德盛稳健净值2.9732.9431.025.35-4.313.0930.121.4301
257010NV.OF国联安德盛小盘精选净值1.0651.0541.045.45-4.233.1952.1349.8408
257020NV.OF国联安德盛精选净值1.2261.2081.496.98-5.113.1891.84230.4889
257030NV.OF国联安德盛优势净值1.6631.6470.976.4-6.11.663021.9328
260101NV.OF景顺长城优选股票净值1.63821.61941.166.74-0.693.44891.810745.124
260103NV.OF景顺长城动力平衡净值0.98480.97660.845.64-3.473.27482.2970.7008
260104NV.OF景顺长城内需增长净值4.6774.6191.266.98-3.035.3670.6918.7866
260108NV.OF景顺长城新兴成长净值1.3921.371.66.99-3.542.7421.3579.9591
260109NV.OF景顺长城内需增长2号净值2.9292.8951.176.9-3.622.929028.9441
260110NV.OF景顺长城精选蓝筹净值1.2551.2430.976.27-3.311.2550208.5979
270001NV.OF广发聚富净值1.54131.52820.864.46-33.85132.3168.1625
270002NV.OF广发稳健增长净值2.30282.28850.635.22-5.93.62281.3254.848
270005NV.OF广发聚丰净值0.99920.99190.744.54-3.565.34974.177152.4899
270006NV.OF广发策略优选净值2.95242.92241.035.89-5.043.28240.3383.4972
270007NV.OF广发大盘成长净值1.15511.14450.935.61-4.751.15510251.9832
288001NV.OF中信经典配置净值2.22712.2060.964.67-2.953.2271115.0177
288002NV.OF中信红利精选净值2.45872.43031.173.83-3.023.85871.443.382
288102NV.OF中信稳定双利债券净值1.05941.05820.110.53-0.711.22640.16734.2889
290002NV.OF泰信先行策略净值0.92610.91371.365.93-8.623.09342.255698.1904
更多的超出这里的字数限制,你自己看看下面的网址
博时精选050004近期走势如何
博时精选股票证券投资基金契约型开放式基金2004年6月22日最近一周1.7226%最近一月-1.4830%最近半年-6.3366%最近一年-5.0203%设立以来205.2302%净值随大盘而波动。博时精选是一只成立于2004年6月22日的股票型基金。该基金的投资目标是,始终坚持并不断深化价值投资的基本理念,充分发挥专业研究与管理能力,自下而上精选个股,适度主动配置资产,系统有效控制风险,与产业资本共成长,分享中国经济与资本市场的高速成长,谋求实现基金资产的长期稳定增长。该基金一个月、三个月、六个月和一年的回报率分别为-0.85%,-2.95%,-5.82%和-4.42%。分别低于大盘指数沪深300指数0.11%,超越沪深300指数1.28%,4.89%,8.98%。从该基金的风险指标来看,该基金下行风险与夏普比率均偏低,因此该基金的投资风险较低。投资需谨慎。股市,股票类基金,算了吧,别投了。在此时的点位上,绝对是上上之选的股票型基金。
基金850013实时净值
海通海汇星石1号基金 (850013)最新基金净值1.985元。050013:博时上证超级大盘交易型开放式指数证券投资基金联接基金
最新单位净值:1.1290
博时主题基金净值
目前基金净值为1,8828元。关键你是在股市的高位买的基金,目前被套。不过博时主题基金是不错的基金。成立以来,盈利424,70%。近一年收益率为8,53%。排名第12名。建议长期持有,以后会有较好的收益的。
华夏行业精选基金净值是多少?
华夏行业精选股票基金(基金代码160314,高风险,波动幅度较大,适合较激进的投资者)2015年7月10日单位净值为1.3000元;而7月11日和12日是休息日,证券市场休市,基金净值不更新。