㈠ 怎样看一只基金当日的净值
1、下载天天基金客户端→并安装,然后打开天天基金客户端,并注册开户,用手机号码注册,关联银行卡完成注册。
2、登陆注册的账号,在天天基金首页,点基金净值进入查询,搜索要查找的基金代码、名称。
3、点击基金进入,查看每日净值,并收藏加入自选基金、把你购买的基金加入自选基金,每天可以在自己基金里面查看基金的净值情况,在自选基金里面可以看到每只基金的最新净值,以后可以用手机登陆查看。开户这后,可以直接在里面购买基金方便快捷,理财投资更容易。
㈡ 请问每个基金每天的净值是怎么产生的
很抱歉的告诉你这个过程你是看不到的,以前不乏有这样的说法,比如某基金要求该公司旗下某只产品的价格不能超过某一价位,因为这样会导致长期被套此价位之上的基民出现跑路情况发生。
净值计算是根据基金当日总资产除以总份额得来的,其实算法和过程都是很简单的,只要收盘结束,基本数据以汇总就电脑就会计算当日净值是多少了。
㈢ 如何计算每只基金每天的净值
到任何一个有财经信息的网站就可以查到,不用自己算的。
比如:天天基金网、新浪/财经/基金、搜狐、雅虎等等一些网站都可以,
㈣ 易方达基金积极成长110005净值如何计算
1、易方达基金积极成长110005基金净值即是基金单位净值:是当前的基金总净资产除以基金总份额。基金净值=总资产/基金份额
2、基金单位净值即每份基金单位的净资产价值,等于基金的总资产减去总负债后的余额再除以基金全部发行的单位份额总数。开放式基金的申购和赎回都以这个价格进行。封闭式基金的交易价格是买卖行为发生时已确知的市场价格;与此不同,开放式基金的基金单位交易价格则取决于申购、赎回行为发生时尚未确知(但当日收市后即可计算并于下一交易日公告)的单位基金资产净值。
㈤ 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
㈥ 基金每日净值排行在哪里查看
天天基金网里能查看每日基金净值排行和刷新最新每日基金净值预估净值。