Fund variety

Global Market

Net estimate(18-04-02 15:00)

2.1991
+-0.0089+0.01%
Nearly January:3.32%
Nearly 1 year:24.25%

Net unit value (2018-04-02)

2.20800.41%
Nearly March:-4.42%
In the past 3 years:-1.95%

Cumulative net value

2.2080
Near June:3.71%
Established to:120.80%
Fund type:Hybrid| High riskFund size: 560 million yuan (2017-12-31)Fund Manager:Qiu Xin
Established:2013-02-06Manager:GF FundFund rating:

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Minsheng Bank conducts transaction funds supervision throughout

trading status:Open subscriptionOpen redemption
Purchase fee:1.50% 0.15% 1foldRate details>
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Estimated purchase cost:1.50 yuan (rate 0.15%, save 1.35 yuan.)
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  • Estimated average deviation from the net value:0.47%
    Net value estimate: Real-time update from 9:30 to 15:00 on each trading day, estimated based on fund positions and index movements. Estimated data does not represent true net value. It is for reference only.
    The average deviation of the estimated net value: the average value of the degree of deviation between the net value estimate and actual net value in the month of January.
    Download mobile version, net worth estimate to watch
  • Nearly 1 week
    Near January
    Nearly March
    Near June
    In this year
    Nearly one year
    Nearly 2 years
    Nearly 3 years
    Stage gains
    3.86%
    3.32%
    -4.42%
    3.71%
    -4.25%
    24.25%
    38.26%
    -1.95%
    Similar average
    1.65%
    -0.23%
    -0.62%
    1.36%
    -0.62%
    8.01%
    13.32%
    19.41%
    Shanghai and Shenzhen 300
    0.18%
    -3.23%
    -4.90%
    1.31%
    -3.57%
    12.47%
    20.64%
    -5.77%
    Similar rank
    232 | 2715
    250 | 2719
    2029 | 2601
    622 | 2483
    2163 | 2601
    141 | 2251
    116 | 1461
    501 | 816
    Quartile ranking

    excellent

    excellent

    Poor

    good

    Poor

    excellent

    excellent

    general

    • selection period
    • January
    • March
    • June
    • 1 year
    • 3 years
    • 5 years
    • this year
    • maximum
    Compared
    PKCurrent fund
  • 4Q 2017 Investment Style
  • Reporting period Fund turnover rate
    2017-12-31558.94%
    2017-06-30265.64%
    2016-12-31331.66%
    2016-06-3092.28%
    The fund turnover rate is used to measure the frequency of changes in the fund's portfolio.
Click onReplytitleThe authorLatest update time
39978 0 announcementGF Fund Management Co., Ltd. on the use of Bank of Communications mobile banking channel application Fund Information 03-30 09:35
37675 0 announcementGF Fund Management Co., Ltd. Increases CSI Taurus as part of its fund Fund Information 03-30 09:35
1047 0 Garbage has risen in your index Money source 03-29 21:33
45197 0 announcementGF Fund Management Co., Ltd. Adds Guotai Junan Securities as part of the company Fund Information 03-29 14:04
1158 0 The style has been transferred back to the small plate to retreat Money source 03-29 13:45
1089 0 According to the previous style, how can we fall more than 3% today? Shareholder HcOogy 03-29 09:54
1550 0 announcementGuangfa New Economy Hybrid Initiated Securities Investment Fund 2017 Annual Report Fund Information 03-27 12:01
1464 0 announcementGuangfa New Economy Hybrid Initiated Securities Investment Fund 2017 Annual Report Fund Information 03-27 11:51
65100 0 announcementGF Fund Management Co., Ltd. on the funds held by Tomson Jenson (30 Fund Information 03-27 08:12
93564 0 announcementGF Fund Management Co., Ltd. About Shenzhen Hui Cheng (00) Fund Information 03-24 10:39
91705 0 announcementGF Fund Management Co.,Ltd. Fund Information 03-24 10:38
2247 0 The market has skyrocketed and you are as motionless as death. Shareholder HcOogy 03-22 20:38
109383 0 announcementGF Fund Management Co., Ltd. Adjusts some types of fund C fee models Fund Information 03-22 17:52
106190 0 announcementGF Fund Management Co., Ltd. on the suspension of customer service calls and online services Fund Information 03-22 16:50
2480 0 announcementAbout GF New Economy Hybrid Initiated Securities Investment Fund Amendments to Fund Contracts Fund Information 03-22 14:19
109560 0 announcementGF Fund Management Co., Ltd. Adjusting the Type C Funding Mode of Its Funds Fund Information 03-22 08:52
166213 0 announcementAnnouncement on Adding Some Fund Sales Organizations under Dongguan ABC Fund Information 03-16 07:26
3488 0 This chicken is dead, Lu Cai 8888 03-15 13:05
4075 0 Big difference in valuation, manager adjusts positions in junk stocks Money source 03-14 10:00
3909 0 Feeling recent estimates and actual deviations! ! ! Shareholder HcOogy 03-14 00:53

GF Fund

Management scale: 288.503 billionFunds: 255
GF Dow Jones Oil Index C

Daily gains2.61%

NASDAQ 100ETF

Daily gains2.40%

NASDAQ 100 Index

Daily gains2.25%

Solemnly declare: The above information (including but not limited to texts, data and charts) is based on public information collection. The relevant information has not been verified by the company. The company does not guarantee the accuracy, authenticity or completeness of all or part of the information. , does not constitute any recommendation or guarantee of the company. The specific information of the fund shall be subject to the relevant announcement of the manager. Investors need to carefully read the "fund contract", "recruitment prospectus" and other legal documents before investing to understand the product income and risk characteristics. Market risk, the investment need to be cautious. Source: Oriental Wealth Choice data.

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