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基金05481

发布时间:2021-07-06 10:27:39

基金买什么好

序号基金代码基金简称成立日期最新规模(亿份)单位净值累计净值近13周(%)近26周(%)近52周(%)今年以来(%)上市至今(%)1002031华夏策略混合2008-10-2312.502.59502.59505.441.0930.935.36159.502206007鹏华消费优选股票2010-12-289.661.06001.060012.055.05--5.166.003150018银华稳进 2010-05-0753.601.03801.07201.472.875.643.807.334213008宝盈资源优选股票2008-04-153.801.10081.382315.69-0.5020.203.7923.525150022申万菱信深证成指分级收益2010-10-228.481.03801.04901.472.87--3.704.846150012国联安双禧中证100指数A2010-04-1646.761.07901.07901.412.765.683.657.907150010国泰优先2010-02-108.431.08801.08801.302.645.533.528.808163806中银增利债券2008-11-1332.991.06501.18500.672.213.873.4218.869150006长盛同庆A2009-05-12146.871.12901.12901.352.545.223.3912.7910040009华安稳定收益债券A2008-04-308.811.08861.26363.643.397.293.2427.6311040010华安稳定收益债券B2008-04-308.811.07311.24813.583.227.023.0626.0112000011华夏大盘精选混合2004-08-116.2612.555013.13504.51-1.7424.903.051,398.0513100016富国天源平衡混合2002-08-1610.331.07232.535911.662.6922.902.95207.5014360008光大保德信增利收益债券A2008-10-292.511.02401.1580-0.391.365.822.6816.4015150025大成景丰分级债券A2010-10-1532.451.03501.03500.981.97--2.583.5016150020富国汇利分级优先2010-09-0929.991.03801.03800.971.96--2.573.8017164207天弘添利分级债券A2010-12-0330.001.01001.02801.081.99--2.502.8118040019华安稳固收益债券2010-12-2114.231.02601.02600.201.68--2.502.6019162205泰达宏利风险预算混合2005-04-052.071.07532.40033.222.724.682.26196.8820360009光大保德信增利收益债券C2008-10-292.511.02001.1440-0.490.965.122.1814.8721519089新华优选成长股票2008-07-2513.191.77002.17008.442.0917.542.08125.6622070009嘉实超短债债券2006-04-265.621.00111.14300.111.031.841.6415.3023485111工银瑞信双利债券A2010-08-1626.181.02101.02101.492.302.101.392.1024320004诺安优化收益债券2006-07-177.041.17561.27520.961.053.521.3628.9425519091新华泛资源优势混合2009-07-138.121.01701.01705.061.409.591.291.7026121006国投瑞银稳健增长混合2008-06-1132.421.03401.62402.89-2.6415.161.2768.8127070020嘉实稳固收益债券2010-09-0126.140.99900.99900.811.11--1.11-0.1028485011工银瑞信双利债券B2010-08-1626.181.01601.01601.402.011.600.991.6029110022易方达消费行业股票2010-08-2039.420.99200.992010.962.59-0.900.92-0.8030541005汇丰晋信平稳增利债券C2008-12-030.771.01261.01260.920.920.920.920.92

网址链接:
http://finance.sina.com.cn/fund/fund_ranks/open/netvalue_return13_1.html

㈡ 请问各位基金的收益一般为多少,

上年基金的平均收益是84% 今年估计会有30%

㈢ 列出易基积极基金基金近几个月的净值、增长率等等详细介绍。谢谢

易基积极基金(110005)基金净值

截至日期 单位净值(元) 累计净值(元) 增长率
2008-3-4 1.6081 4.6926 -2.32%
2008-3-3 1.6463 4.7889 1.80%
2008-2-29 1.6172 4.7156 0.75%
2008-2-28 1.6052 4.6853 ---
2008-2-27 1.6038 4.6818 2.02%
2008-2-26 1.5721 4.6018 -1.13%
2008-2-25 1.5900 4.6470 -3.21%
2008-2-22 1.6427 4.7798 -2.97%
2008-2-21 1.6930 4.9067 -0.06%
2008-2-20 1.6940 4.9092 -2.08%
2008-2-19 1.7299 4.9997 1.34%
2008-2-18 1.7071 4.9422 2.16%
2008-2-15 1.6710 4.8512 -0.58%
2008-2-14 1.6808 4.8759 1.05%
2008-2-13 1.6634 4.8320 -1.85%
2008-2-5 1.6948 4.9112 -0.86%
2008-2-4 1.7095 4.9483 6.16%
2008-2-1 1.6103 4.6982 0.05%
2008-1-31 1.6095 4.6961 -1.38%
2008-1-30 1.6320 4.7529 -0.81%
2008-1-29 1.6453 4.7864 0.13%
2008-1-28 1.6431 4.7809 -4.56%
2008-1-25 1.7216 4.9788 0.32%
2008-1-24 1.7161 4.9649 1.37%
2008-1-23 1.6929 4.9064 4.52%
2008-1-22 1.6198 4.7221 -5.30%
2008-1-21 1.7104 4.9505 -3.41%
2008-1-18 1.7708 5.1028 0.85%
2008-1-17 1.7559 5.0652 -1.63%
2008-1-16 1.7849 5.1384 -2.48%
2008-1-15 1.8303 5.2528 0.13%
2008-1-14 1.8280 5.2470 0.45%
2008-1-11 1.8198 5.2264 0.75%
2008-1-10 1.8063 5.1923 1.01%
2008-1-9 1.7882 5.1467 1.68%
2008-1-8 1.7586 5.0721 -0.56%
2008-1-7 1.7685 5.0970 1.39%
2008-1-4 1.7443 5.0360 0.51%
2008-1-3 1.7355 5.0138 0.25%
2008-1-2 1.7311 5.0027 1.03%
2007-12-28 1.7135 4.9583 -0.10%
2007-12-27 1.7152 4.9626 1.76%
2007-12-26 1.6856 4.8880 1.03%
2007-12-25 1.6685 4.8449 0.42% 红利再投资的基金份额可赎回起始日
2007-12-24 1.6615 4.8272 1.57% 红利发放日
2007-12-21 1.6358 4.7624 0.66% 权益登记日、除息日 选择红利再投资的投资者其现金红利转换为基金份额的基金份额净值(NAV)确定日
2007-12-20 1.6747 4.7345 1.66%
2007-12-19 1.6473 4.6654 1.88%
2007-12-18 1.6169 4.5887 -0.61%
2007-12-17 1.6269 4.6139 -1.66%
2007-12-14 1.6544 4.6833 1.71%
2007-12-13 1.6266 4.6132 -2.96%
2007-12-12 1.6762 4.7382 -1.21%
2007-12-11 1.6967 4.7899 -0.10%
2007-12-10 1.6983 4.7940 1.35%
2007-12-7 1.6757 4.7370 0.90%
2007-12-6 1.6608 4.6994 0.32%
2007-12-5 1.6555 4.6861 2.45%
2007-12-4 1.6159 4.5862 1.25%
2007-12-3 1.5959 4.5358 0.76%
2007-11-30 1.5838 4.5053 -1.36%
2007-11-29 1.6057 4.5605 2.45%
2007-11-28 1.5673 4.4637 -1.05%
2007-11-27 1.5839 4.5055 -1.28%
2007-11-26 1.6044 4.5572 -0.72%
2007-11-23 1.6161 4.5867 1.46%
2007-11-22 1.5929 4.5282 -3.06%
2007-11-21 1.6431 4.6548 -0.76%
2007-11-20 1.6556 4.6863 1.31%
2007-11-19 1.6342 4.6323 -0.16%
2007-11-16 1.6368 4.6389 -1.86%
2007-11-15 1.6678 4.7171 -1.04%
2007-11-14 1.6853 4.7612 2.61%
2007-11-13 1.6424 4.6530 -1.44%
2007-11-12 1.6664 4.7135 -0.60%
2007-11-9 1.6765 4.7390 -0.56%
2007-11-8 1.6860 4.7629 -3.02%
2007-11-7 1.7384 4.8951 0.81%
2007-11-6 1.7244 4.8598 -0.36%
2007-11-5 1.7306 4.8754 -1.4864%
2007-11-2 1.7567 4.9412 -2.9508%
2007-11-1 1.8101 5.0758 -1.5306%
2007-10-31 1.8382 5.1467 1.8737%
2007-10-30 1.8044 5.0615 0.9009%
2007-10-29 1.7883 5.0209 1.4086%
2007-10-26 1.7635 4.9583 1.2047%
2007-10-25 1.7425 4.9054 -3.3947%
2007-10-24 1.8037 5.0597 0.6979%
2007-10-23 1.7912 5.0282 1.0907%
2007-10-22 1.7719 4.9795 -1.8357%
2007-10-19 1.8050 5.0630 0.9073%
2007-10-18 1.7888 5.0221 -3.4671%
2007-10-17 1.8530 5.1840 -1.0217%
2007-10-16 1.8721 5.2322 0.7431%
2007-10-15 1.8583 5.1974 0.6902%
2007-10-12 1.8456 5. -0.8654%
2007-10-11 1.8617 5.2059 0.9989%
2007-10-10 1.8433 5.1595 0.4672%
2007-10-9 1.8347 5.1379 0.2798%
2007-10-8 1.8296 5.1250 1.1562%
2007-9-28 1.8087 5.0723 2.4431%
2007-9-27 1.7656 4.9636 1.3831%
2007-9-26 1.7415 4.9029 -1.6318%
2007-9-25 1.7704 4.9757 -0.3618%
2007-9-24 1.7768 4.9919 0.8582%
2007-9-21 1.7617 4.9538 -0.9173%
2007-9-20 1.7780 4.9949 0.4979%
2007-9-19 1.7692 4.9727 -1.1529%
2007-9-18 1.7898 5.0247 -1.3279%
2007-9-17 1.8139 5.0854 1.5913%
2007-9-14 1.7855 5.0138 0.7343%
2007-9-13 1.7725 4.9810 2.6827%
2007-9-12 1.7262 4.8643 1.0124%
2007-9-11 1.7089 4.8207 -3.9308%
2007-9-10 1.7788 4.9969 1.0658%
2007-9-7 1.8095 4.9483 -1.9819%
2007-9-6 1.8461 5.0405 0.9724%
2007-9-5 1.8283 4.9957 -0.2403%
2007-9-4 1.8327 5.0068 -0.6988%
2007-9-3 1.8456 5.0393 2.0650%
2007-8-31 1.8083 4.9452 1.4199%
2007-8-30 1.7830 4.8814 1.2826%
2007-8-29 1.7604 4.8245 -1.3015%
2007-8-28 1.7836 4.8830 -0.2618%
2007-8-27 1.7883 4.8948 -0.5956%
2007-8-24 1.7990 4.9218 1.6503%
2007-8-23 1.7698 4.8482 1.2417%
2007-8-22 1.7481 4.7935 1.9627%
2007-8-21 1.7145 4.7087 2.2434%
2007-8-20 1.6769 4.6139 5.2293%
2007-8-17 1.5936 4.4039 -2.0966%
2007-8-16 1.6277 4.4899 -1.7039%
2007-8-15 1.6559 4.5610 0.5349%
2007-8-14 1.6471 4.5388 1.3973%
2007-8-13 1.6244 4.4816 -0.5925%
2007-8-10 1.6341 4.5060 -1.8169%
2007-8-9 1.6643 4.5822 2.2428%
2007-8-8 1.6278 4.4902 -1.6260%
2007-8-7 1.6547 4.5580 -0.0120%
2007-8-6 1.6549 4.5585
2007-8-3 1.6192 4.4685
2007-8-2 1.5679 4.3391

㈣ 基金定投是什么意思

1,建议用工行.操作网上基金业务,方法如下:
(1)请先将您的牡丹灵通卡、牡丹灵通卡-e时代或理财金卡注册为我行网上银行注册卡;若您已经在我行柜面购买过基金,请您将购买基金的牡丹卡注册到个人网上银行,并略过步骤(2)。
(2)请在登录个人网上银行后选择“网上证券”-->“网上基金”-->“账户管理”-->“银行端基金交易账户开户”,按提示自助办理基金交易账户开户;
(3)购买基金时,请选择“网上证券”-->“网上基金”-->“基金交易”-->“基金购买”,若您尚未开立所购基金的TA账户,系统会自动引导您开立TA账户,并完成基金购买;
若您已经在工行异地分行开立过基金公司TA账户,请在成功开立银行端基金交易账户后,选择“网上证券”-->“网上基金”-->“账户管理”-->“本行异地基金公司TA账户登记”,而非进行“基金公司TA账户开户”交易。一般购买一家基金公司发行的开放式基金时,只需要开立一次该基金公司的基金公司TA账户。
(4)基金赎回时,请选择“网上证券”-->“网上基金”-->“基金交易”-->“基金赎回”;
(5)如需进行基金定投业务,请您选择“网上证券”-->“网上基金”-->“基金交易”-->“基金定投设置”,按页面提示进行操作。

2,定投年限分为3年,5年和8年, 一般投3年,如果3年以后你买的这只基金不是很赚钱的话,你可以在换别的基金,当然是越长越好,所以你要选一个业绩比较好的,长期持有.
http://hi..com/wang0921/blog/item/01cc8e954474d90b7bf480ba.html

㈤ 华夏全球精选基金

该基金截至到3月6日的净值为0.784,在QDII基金里应该说变现就不错了。

㈥ 给选只好基金

您可以这样选择封闭式基金

1. 市净率上升空间相对较高的品种

专家经过统计发现

㈦ 封装式基金公红问题

你能分到1360元,明天卖出不影响分红。

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