㈠ 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
㈡ 58002东吴动力净值,基金经理是谁
东吴双动力混合580002基金经理:戴斌
㈢ 今日519017基金净值是多少
大成积极成长混合 (519017),截止2020年01月02日,单位净值1.2560元;累计净值3.0630元,日增长率1.37%。
大成积极成长混合 (519017),截止2020年01月02日,收益增长率: 最近一周2.95%;最近一月8.46%;最近一年64.40%;成立以来257.43%。
基金经理:王磊,经济学硕士。2003年5月至2012年10月曾任证券时报社公司新闻部记者、世纪证券投资银行部业务董事、国信证券经济研究所分析师及资产管理总部专户投资经理、中银基金管理有限公司专户理财部投资经理及总监(主持工作)。2012年11月加入大成基金管理有限公司。
(3)58002基金净值扩展阅读:
收益分配原则:
1、全年基金收益分配比例不低于基金年度已实现收益的60%;
2、在符合有关基金分红条件的前提下,基金收益分配每年最多不超过6次;
3、基金份额持有人可以选择取得现金红利或将所获红利再投资于本基金,投资者选择采取红利再投资形式的,红利再投资部分以除权日的基金份额净值为计算基准,确定再投资份额;基金份额持有人事先未做出选择的,默认的分红方式为现金红利;
4、基金当期收益弥补上期亏损后,才可进行当期收益分配;
5、基金投资当期亏损,则不进行收益分配;
6、基金收益分配后每份基金份额的净值不能低于面值;
7、每一基金份额享有同等分配权;
8、法律法规或监管机构另有规定的,从其规定。
参考资料来源:大成基金-大成积极成长混合