百度提供赞助商
谷歌提供赞助商
最近访问基金
南方成份[202005]的基金业绩
最后更新时间:2009-1-8 6:34:36 | 收藏 | 推荐给朋友 | 报告错误
南方成份精选  单位净值:0.6942  0.0077  1.12% 累计净值:0.6942
  代码:202005  最新规模:161.95亿  净值日期:2009-01-06 
净值表现
报表日期 报表类别 净值增长率 业绩比较基准收益率 收益率差异 净值增长率标准差 业绩比较基准收益率标准差 标准差差异
2008-09-30近三个月-14.2200-15.24001.02001.87002.3800-0.5100
2008-06-30近一个月-16.5300-18.46001.93002.02002.7300-0.7100
2008-06-30近三个月-21.7800-21.2300-0.55002.07002.6600-0.5900
2008-06-30近六个月-38.4400-39.62001.18002.06002.4900-0.4300
2008-06-30近一年-14.3000-19.60005.30001.92002.1300-0.2100
2008-06-30成立至今-11.4500-19.14007.69001.92002.1400-0.2200
2008-03-31近三个月-21.3000-23.34002.04002.08002.3100-0.2300
2007-12-31近三个月-1.6700-3.13001.46001.57001.6000-0.0300
2007-12-31近六个月39.210033.15006.06001.71001.68000.0300
2007-12-31成立至今43.850033.91009.94001.77001.8200-0.0500
2007-09-30近三个月41.590037.46004.13001.81001.72000.0900
2007-06-30近一个月2.1000-3.38005.48002.01002.4400-0.4300
2007-06-30成立至今3.33000.57002.76001.97002.2900-0.3200