Fund varieties

Net value estimate(17-11-01 15:00)

1.0391
+0.0001+ 0.01%
Nearly one month0.29%
Nearly one year:2.39%

Unit net value (2017-11-01)

1.03900.00%
Nearly three months:0.97%
Nearly 3 years:-

Accumulated net worth

1.0710
Nearly June:2.87%
Set up to:7.20%
Fund Type:HybridHigh riskFund size: 0.00 billion yuan (2017-09-30)Fund manager:Wu XiyanWait
Date of incorporation: 2015-11-19Manager:National Franklin FundFund rating:
No ratings yet

The first batch of sales offices

Minsheng Bank throughout the transaction funds supervision

trading status:Open purchaseOpen redemption
Purchase fee: 1.00% Rate details
goldamount:
yuan
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Expected purchase cost:1.00 yuan (rate 1.00%, save 0.00 yuan.)
  • Vol
  • Back to life Po
  • Speed ​​back to life Po
  • Super conversion
  • Net Estimated Average Deviation:0.05%
    Net valuation: 9: 30-15: 00 per trading day in real time, in accordance with the fund positions and index trend estimates, the estimated data does not represent the true net value, for reference only.
    Net Estimated Average Deviation: The average of the net worth estimate in January and the actual net deviation.
    Download mobile version, net worth to see portable
  • Nearly a week
    Nearly one month
    Nearly three months
    Nearly six months
    In this year
    Nearly a year
    Nearly 2 years
    Nearly 3 years
    Stage gains
    -0.10%
    0.29%
    0.97%
    2.87%
    3.49%
    2.39%
    -
    -
    Homogeneous average
    0.51%
    2.12%
    5.22%
    8.69%
    10.93%
    8.64%
    10.68%
    61.16%
    Shanghai and Shenzhen 300
    0.49%
    4.17%
    6.00%
    16.19%
    20.74%
    18.98%
    13.09%
    59.33%
    Rank rank
    1393 | 2465
    1917 | 2477
    2049 | 2407
    1887 | 2286
    1649 | 2040
    1367 | 1806
    - | 1166
    - 725
    Quartile rankings

    general

    Bad

    Bad

    Bad

    Bad

    Bad

    -

    -

    • Choose time
    • January
    • March
    • June
    • 1 year
    • 3 years
    • 5 years
    • this year
    • maximum
    Compared
    PKCurrent fund
  • Investment style in the third quarter of 2017
  • The reporting period Fund turnover rate
    2017-06-3015.48%
    2016-12-3110.57%
    2016-06-302.37%
    Fund turnover is used to measure the frequency of changes in the fund portfolio.
  • Food Industry
  • Preferably QDII
  • Debt to equity
The above information (including but not limited to text, data and graphics) is based on public information collection, the relevant information has not been confirmed by the Company, the company does not guarantee that the information in whole or part of the content of the accuracy, authenticity, integrity , Does not constitute any recommendation or guarantee of the Company. Fund specific information to the relevant announcement of the administrator shall prevail. Investors need to carefully read the "fund contract", "prospectus" and other legal documents to understand the product benefits and risk characteristics. Market risk, the investment need to be cautious.

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