1. 今日南方全球基金净值
截至日期 单位净值(元) 累计净值(元) 增长率(%)
2010-3-5 --- --- ---
2010-3-4 --- --- ---
2010-3-3 0.7090 0.7090 ---
2010-3-2 0.7070 0.7070 ---
2010-3-1 0.7040 0.7040 ---
2010-2-26 0.6910 0.6910 ---
2010-2-25 0.6850 0.6850 ---
2010-2-24 0.6870 0.6870 ---
2010-2-23 0.6860 0.6860 ---
2010-2-22 0.6890 0.6890 ---
2010-2-12 0.6820 0.6820 ---
2010-2-11 0.6850 0.6850 ---
2010-2-10 0.6710 0.6710 ---
2010-2-9 0.6680 0.6680 ---
2010-2-8 0.6540 0.6540 ---
2010-2-5 0.6630 0.6630 ---
2010-2-4 0.6760 0.6760 ---
2010-2-3 0.6970 0.6970 ---
2010-2-2 0.6920 0.6920 ---
2010-2-1 0.6900 0.6900 ---
2010-1-29 0.6780 0.6780 ---
2010-1-28 0.6830 0.6830 ---
2010-1-27 0.6810 0.6810 ---
2010-1-26 0.6880 0.6880 ---
2010-1-25 0.7050 0.7050 ---
2010-1-22 0.7070 0.7070 ---
2010-1-21 0.7170 0.7170 ---
2010-1-20 0.7370 0.7370 ---
2010-1-19 0.7510 0.7510 ---
2010-1-18 --- --- ---
2010-1-15 0.7430 0.7430 ---
2010-1-14 0.7480 0.7480 ---
2010-1-13 0.7490 0.7490 ---
2010-1-12 0.7570 0.7570 ---
2010-1-11 0.7640 0.7640 ---
2010-1-8 0.7620 0.7620 ---
2010-1-7 0.7610 0.7610 ---
2010-1-6 0.7660 0.7660 ---
2010-1-5 0.7620 0.7620 ---
2010-1-4 0.7510 0.7510 1.35%
2009-12-31 0.7410 0.7410 ---
2009-12-30 0.7360 0.7360 ---
2009-12-29 0.7360 0.7360 ---
2009-12-28 0.7380 0.7380 ---
2009-12-25 --- --- ---
2009-12-24 0.7310 0.7310 ---
2009-12-23 0.7310 0.7310 1.11%
2009-12-22 0.7230 0.7230 ---
2009-12-21 0.7190 0.7190 ---
2009-12-18 0.7210 0.7210 ---
2009-12-17 0.7250 0.7250 ---
2009-12-16 0.7400 0.7400 ---
2009-12-15 0.7440 0.7440 ---
2009-12-14 0.7520 0.7520 ---
2009-12-11 0.7470 0.7470 ---
2009-12-10 0.7420 0.7420 ---
2009-12-9 0.7430 0.7430 -0.13%
2009-12-8 0.7440 0.7440 ---
2009-12-7 0.7530 0.7530 ---
2009-12-4 0.7560 0.7560 ---
2009-12-3 0.7550 0.7550 ---
2009-12-2 0.7550 0.7550 ---
2009-12-1 0.7490 0.7490 ---
2009-11-30 0.7350 0.7350 ---
2009-11-27 --- --- ---
2009-11-26 --- --- ---
2009-11-25 0.7530 0.7530 ---
2009-11-24 --- --- ---
2009-11-23 0.7520 0.7520 ---
2009-11-20 0.7410 0.7410 ---
2009-11-19 0.7450 0.7450 ---
2009-11-18 0.7530 0.7530 ---
2009-11-17 0.7580 0.7580 ---
2009-11-16 0.7580 0.7580 ---
2009-11-13 0.7460 0.7460 ---
2009-11-12 0.7380 0.7380 ---
2009-11-11 0.7440 0.7440 ---
2009-11-10 0.7400 0.7400 ---
2009-11-9 0.7420 0.7420 ---
2009-11-6 0.7260 0.7260 ---
2009-11-5 0.7220 0.7220 ---
2009-11-4 0.7160 0.7160 ---
2009-11-3 0.7060 0.7060 ---
2009-11-2 0.7090 0.7090 ---
2009-10-30 0.7020 0.7020 ---
2009-10-29 0.7100 0.7100 ---
2009-10-28 0.7050 0.7050 ---
2009-10-27 0.7240 0.7240 ---
2009-10-26 --- --- ---
2009-10-23 0.7370 0.7370 ---
2009-10-22 0.7360 0.7360 0.27%
2009-10-21 0.7340 0.7340 0.00
2009-10-20 0.7340 0.7340 ---
2009-10-19 0.7360 0.7360 ---
2009-10-16 0.7220 0.7220 ---
2009-10-15 0.7290 0.7290 ---
2009-10-14 0.7290 0.7290 ---
2009-10-13 0.7140 0.7140 ---
2009-10-12 0.7090 0.7090 ---
2009-10-9 0.7130 0.7130 ---
2. 南方全球精选基金净值大约是多少
没有南方全球精选基金,应该是南方成份精选吧,代码是202005,净值是1.4631
3. 我4月18号下午3点左右赎回的南方全球QDII基金,请问赎回的净值按哪天的算?谢谢
如果你是在下午3点后收市下的赎回申请,那就按照4.19净值算。在3之前下委托按照4.18号净值计算
4. 南方全球23日公布的是哪天的净值?
23日公布的是22日的净值
5. 南方全球(基金)今天的净值?
2008-03-17 202801 南方全球精选 0.7720 .18日的19日才能看到,QDII基金慢些。
6. 南方全球精选怎么总看不到净值呀,都1个月了还是1!
目前该基金正处于封闭期,在封闭期内每周公布一次基金净值。每周二公布上周五的基金净值。开放日常申购赎回后,每天公布基金净值。
7. 南方全球资金净值还长吗?还有希望吗?
序号 基金代码 基金名称 投资类型 累计收益(%) 申购 赎回
近一期 近半年 近一年 近两年
1 202801 南方全球精选 混合型 0.29 -3.33 -1.00 5.14 开放 开放 涨也不会大涨,建议抛!
8. 南方全球精选配置基金历史净值
截止2010年9月15日,基金净值为0.7050。