南方成份基金净值天天基金网,南方基金净值查询表

Q1:嘉实300的最新基金净值是多少

你可去一些财经网站查一下每天的净值,这样比较方便,有很多网站也有财经类的连接链。这个也不错:http://caibangzi.com/fund

Q2:农行有什么好的基金买?

这些都是可以在农行的网银上申购的。
基金代码 基金名称
202018 南方深成(后端)
202020 南方策略(后端)
202022 南方小康(后端)
202026 南方上证380后
51001 博时价值增长后端
51014 博时创业成长后端
100017 富国天源平衡后端
100023 富国天瑞后端
163408 兴全沪深300后
163410 兴全绿色后端
519301 大成沪深300后
519691 交银稳健配置后
519689 交银精选后收费
519693 交银成长股票后
519996 长信银利精选后收
519088 新华优选分红后
519707 交银价值后端
519705 交银制造后端
519703 交银趋势后端
511081 长盛动态精选后
161018 富国天丰后端
160126 南方中国中小盘后
160122 南方金砖四国后端
581002 东吴价值成长后
551001 信诚四季红后收费
398012 中海分红增利后端
270017 广发大盘基金后端
270011 广发聚富基金后端
270015 广发聚丰后端
151101 银河稳健后收费
151102 银河收益后收费
朋友慢慢选择,可以到天天基金网详细看看。

Q3:谁能帮我算一下南方成份精选基金1万块钱2007年6千点买的,现在还有多少钱?

2007年1万元购得基金份额乘以现在的南方成份精选基金净值(天天基金网输入基金代码就能查),就能知道现在还有多少钱了.

Q4:基金增长率排行榜

你可以上天天基金网查询。
开放(639)股票型(332)混合型(149)债券型(150)QDII(21)保本型(10)指数型(83)ETF(14)勾选 比较 序号 基金代码 基金简称 19日
单位净值 19日
累计净值 历史增长率统计
近三月 近半年 近一年 近二年 近三年 今年来 成立来
1 160607 鹏华价值优势 0.8770 2.7140 5.03% 7.74% 15.55% 21.13% -1.90% 8.81% 180.55%
2 118001 易方达亚洲精选 --- --- 4.72% 2.06% 14.65% --- --- 2.93% 8.80%
3 050015 博时亚太精选 --- --- 3.69% 2.45% --- --- --- 1.45% 4.60%
4 040018 华安香港精选 --- --- 3.61% -0.51% --- --- --- 1.46% -2.40%
5 519089 新华优选成长 1.7376 2.1376 2.40% 2.03% 21.33% 41.16% --- 0.21% 120.67%
6 481006 工银红利 1.0046 1.0446 2.27% 0.29% 16.81% 17.29% 0.19% 1.59% 0.46%
7 400007 东方策略成长 1.4454 1.4454 1.95% 2.20% 16.14% 30.43% --- 2.66% 44.54%
8 161211 国投瑞银金融地产 0.8530 0.8530 1.55% -0.35% 0.47% --- --- 3.77% -14.70%
9 150022 申万深指分级收益 1.0220 1.0330 1.39% 1.79% --- --- --- 1.09% 2.20%
10 200008 长城品牌优选 0.8204 0.8204 1.01% 5.18% 9.53% 8.33% -15.93% 7.07% -17.96%
11 510030 华宝上证180价值ETF 2.6690 0.9140 0.87% 1.41% -0.22% --- --- 4.50% -8.64%
12 160314 华夏行业精选 0.9540 4.2660 0.85% -4.31% 6.24% 20.61% 8.16% -2.45% -3.43%
13 050010 博时特许价值 1.2000 1.5450 0.76% 4.83% 23.07% 22.13% --- 1.81% 56.69%
14 510050 华夏上证50ETF 2.0350 2.5830 0.59% 0.35% 4.79% 0.50% -27.89% 3.19% 166.42%
15 110022 易方达消费行业 0.9570 0.9570 0.53% -6.73% --- --- --- -2.64% -4.30%
16 240016 华宝上证180联接 0.9850 1.0150 0.51% 0.51% 2.18% --- --- 4.01% 1.26%
17 320011 诺安中小盘精选 1.2300 1.2900 0.49% 2.24% 29.76% --- --- 2.24% 29.76%
18 161210 国投瑞银新兴市场 --- --- 0.48% -1.03% --- --- --- -2.67% 5.70%
19 519185 万家精选 0.9688 1.0488 0.39% -2.29% 9.19% 4.15% --- -0.93% 4.15%
20 510110 海富通上证周期ETF 2.4440 0.9810 0.33% 0.04% --- --- --- 2.35% -1.92%
21 519994 长信金利趋势 0.7818 2.3026 0.32% 2.81% 22.27% 20.07% -11.03% 1.47% 134.89%
22 160717 嘉实恒生中国企业 --- --- 0.21% -4.78% --- --- --- -0.23% -10.17%
23 110003 易方达上证50 0.7729 2.6229 0.21% -0.32% 6.01% -0.01% -28.55% 2.06% 134.90%
24 100032 富国天鼎中证红利 1.2160 1.7910 0.00% 3.86% 19.45% 19.08% --- 4.18% 64.34%
25 310398 申万沪深300 0.8680 0.8680 0.00% 1.64% 4.83% --- --- 3.83% -13.20%
26 519027 海富通上证周期联接 0.8920 0.8920 0.00% -0.34% --- --- --- 1.83% -10.80%
27 530010 建信责任联接 1.1050 1.1050 0.00% 0.73% --- --- --- 2.70% 10.50%
28 530006 建信核心精选 1.1420 1.8070 -0.09% -1.47% 23.86% 46.20% --- -2.79% 91.08%
29 100038 富国量化沪深300 0.9810 0.9810 -0.10% 1.76% 18.62% --- --- 3.15% -1.90%
30 202005 南方成份精选 0.9648 0.9848 -0.20% 1.33% 19.15% 13.49% -13.62% 1.33% -0.43%
31 519095 新华行业周期轮换 1.1290 1.1290 -0.26% -0.96% --- --- --- -1.31% 12.90%
32 510880 华泰柏瑞红利ETF 2.2600 1.5390 -0.40% -0.53% 6.20% 3.81% -29.41% 3.53% 54.09%
33 160716 嘉实基本面50 0.7723 0.7723 -0.45% 1.02% 1.89% --- --- 4.52% -22.77%
34 519671 银河沪深300价值 0.8670 0.8670 -0.57% 0.81% 4.33% --- --- 3.09% -13.30%
35 519093 新华钻石品质企业 1.0120 1.0120 -0.59% -2.88% 15.00% --- --- -0.88% 1.20%
36 206005 鹏华上证民企50联接 1.0780 1.0780 -0.65% -5.44% --- --- --- -1.01% 7.80%
37 150003 建信优势动力 0.9420 0.9420 -0.74% -4.66% 10.43% 23.95% -6.27% -2.99% -5.80%
38 610001 信达澳银领先增长 1.2088 1.4888 -0.76% 0.25% 25.02% 34.66% 6.21% -0.07% 46.87%
39 110009 易方达价值精选 1.2155 2.5555 -0.84% -3.92% 14.51% 19.21% 6.51% -2.95% 208.25%
40 399001 中海上证50 0.8800 0.8800 -0.90% 0.80% 1.27% --- --- 2.68% -12.00%
41 519686 交银180治理联接 0.8650 0.8650 -0.92% -0.12% 8.53% --- --- 2.61% -13.50%
42 510010 交银上证180治理ETF 0.7680 0.8550 -1.03% -0.13% 8.78% --- --- 2.67% -14.51%
43 161607 融通巨潮100 0.9070 2.4210 -1.09% -1.20% 7.59% 1.11% -24.79% 0.67% 199.71%
44 150002 大成优选 1.0480 1.1010 -1.13% -3.63% 26.07% 51.46% 26.22% -1.96% 10.34%
45 240014 华宝中证100 0.8620 0.8620 -1.16% -0.60% 8.92% --- --- 1.48% -13.80%
46 162307 海富通中证100 0.8510 0.8510 -1.16% -0.58% 8.96% --- --- 1.55% -14.90%
47 519100 长盛中证100 0.8574 1.4774 -1.18% 0.20% 10.52% 4.13% -22.13% 1.83% 36.43%
48 530001 建信恒久价值 0.7738 2.3520 -1.20% -2.17% 17.25% 28.30% 14.30% -3.11% 215.80%
49 200006 长城消费增值 0.8730 2.3130 -1.21% -7.54% 7.09% 15.14% -1.01% -3.94% 168.06%
50 162213 泰达宏利大盘指数 1.0600 1.0800 -1.21% -0.38% 8.07% --- --- 2.02% 8.07%
51 163808 中银中证100 0.8660 0.8760 -1.25% -0.69% 7.85% --- --- 1.52% -12.53%
52 160611 鹏华优质治理 0.9910 1.0910 -1.27% 1.58% 9.90% 15.14% -3.78% -2.40% 14.05%
53 519692 交银成长 2.6632 2.9082 -1.29% -3.97% 15.75% 23.29% 14.47% -4.03% 191.26%
54 163407 兴业沪深300 0.9735 0.9735 -1.31% 0.24% --- --- --- 1.20% -2.65%
55 320010 诺安中证100 0.8260 0.8260 -1.31% -0.72% 8.54% --- --- 1.23% -17.40%
56 410008 华富中证100 0.8391 0.8391 -1.32% -0.58% 9.69% --- --- 1.17% -16.09%
57 160119 南方中证500 1.2136 1.2636 -1.33% -4.18% 20.88% --- --- -1.41% 26.92%
58 090010 大成中证红利指数 1.0220 1.0220 -1.35% -0.58% 13.68% --- --- 0.59% 2.20%
59 270005 广发聚丰 0.7796 4.3556 -1.38% -2.16% 22.21% 18.86% -2.40% -2.79% 370.41%
60 260110 景顺长城精选蓝筹 0.8450 0.8450 -1.40% -2.09% 9.03% 2.18% -18.83% -1.97% -15.50%
61 160616 鹏华中证500 1.0150 1.0150 -1.46% -4.06% 20.40% --- --- -1.36% 1.50%
62 162711 广发中证500 1.0770 1.0770 -1.46% -4.44% 20.47% --- --- -1.64% 7.70%
63 288002 华夏收入 2.5400 3.9400 -1.47% 0.71% 13.09% 22.57% 12.88% 2.21% 480.23%
64 162509 国联安双禧中证100 1.0830 1.0830 -1.55% -0.73% 9.06% --- --- 1.03% 8.30%
65 360001 光大量化核心 0.9215 2.9252 -1.59% 1.35% 21.14% 23.26% -14.53% 0.44% 213.51%
66 213010 宝盈中证100增强 0.9020 0.9020 -1.64% -1.53% 6.87% --- --- 0.22% -9.80%

Q5:天天基金网净值查询 每日的基金净值是怎么算出来的

基金单位净值计算方法: 每份基金单位的净值=(基金的总资产-总负债)/基金的单位份额总数。
天天基金网里的,都是系统自动计算的,没问题的。

Q6:天天基金网每日净值查询150182

2015-08-28
0.6730元,这个是军工B 的净值价格。
而我们股市交易买卖的是其交易价格。