关于易方达基金110005

积极成长表现还可以,现在这个价格买入比较合适。买基金是一个长线投资,需要耐心。
易积成长110005基金现在多少钱一股

易方达积极成长混合基金(基金代码110005,中高风险,波动幅度较大,适合较积极的投资者)2015年7月9日单位净值为0.8500元;而今天的基金净值需要等到晚上才会更新。
请大家帮我看看易基积极基金110005怎么样?

买基就要买领头的,现在华商盛世还可以小额申购,换了吧
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 5.1653 -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
关键词:基金110005
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