请问519018添富均衡基金,现价100元,我想买五万股,应该怎么填单子?

519018昨天集中申购,是拆分以后,价格每股一元,有的基金之所以拆分就是很多基民有恐高心理,一点价格太高就不敢买,甚至不敢继续持有了,所以分红和拆分只是一种手段
基金519018分红什么时候到账基金580001基金净值查询高收益低风险

汇添富均衡增长(519018) 2015-02-13是权益登记日 每份派现金0.0660元 2015-02-17分红 到账。 东吴嘉禾优势精选基金(580001)最新基金净值0.9783元。
519018基金今天净值

汇添富均衡增长(519018)基金净值
2015-05-14 单位净值1.4016
2015-05-13 单位净值1.4294
07年12月519018基金净值多少钱?

添富均衡基金(519018)历史净值 基金代码起始日终止日截至日期单位净值(元)累计净值(元)增长率(%)2007-12-281.09133.0347-0.09%2007-12-271.09233.03731.55%2007-12-261.07562.99390.79%2007-12-251.06722.97210.18%2007-12-241.06542.96711.53%2007-12-211.04922.92530.93%2007-12-201.03952.90011.62%2007-12-191.02292.85701.55%2007-12-181.00732.8165-0.54%2007-12-171.01282.8307-2.40%2007-12-141.03772.89541.96%2007-12-131.01782.8437-3.19%2007-12-121.05132.9308-1.23%2007-12-111.06442.9648-0.07%2007-12-101.06512.96661.11%2007-12-71.05342.93621.05%2007-12-61.04252.90790.09%2007-12-51.04162.90562.13%2007-12-41.01992.84921.08%2007-12-31.00902.82090.93%添富均衡基金(519018)分红送配序号年度每份收益单位派息(元)登记日除权日公告日期120100.08002010-2-222010-2-222010-2-23220070.10002007-8-32007-8-32007-8-6320070.10002007-2-282007-2-282007-3-12010年11月2日净值为0.8697。加上分红每份额0.08元,实际价值为0.9497元。现在卖出应该是亏损的。亏损在350元左右 。截至日期单位净值(元)累计净值(元)增长率(%)2010-11-20.86972.6668-0.73%2010-11-10.87612.68352.97%截至日期单位净值(元)累计净值(元)增长率(%)2010-11-20.86972.6668-0.73%2010-11-10.87612.68352.97%2010-10-290.85082.61780.78%2010-11-20.86972.6668-0.73%2010-11-10.87612.68352.97%截至日期单位净值(元)累计净值(元)增长率(%)2010-11-20.86972.6668-0.73%2010-11-10.87612.68352.97%2010-10-290.85082.61780.78%截至日期单位净值(元)累计净值(元)增长率(%)2010-11-20.86972.6668-0.73%2010-11-10.87612.68352.97%截至日期单位净值(元)累计净值(元)增长率(%)2010-11-20.86972.6668-0.73%2010-11-10.87612.68352.97%2010-10-290.85082.61780.78%截至日期单位净值(元)累计净值(元)增长率(%)2010-11-20.86972.6668-0.73%2010-11-10.87612.68352.97%