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开放式基金净值及增长率排行(2008年3月20日)

http://www.enorth.com.cn  2008-03-20 21:21
 

  序号 代码 基金名称 单位净值(元) 单位净值 日涨跌(元) 单位净值日增长率 单位净值增长率 最近1月 最近3月 最近半年 最近1年 累计净值(元)

  1 510180 180ETF 8.8150 0.2320 2.70% -1.88% -3.58% 72.74% 163.14% 8.8600

  2 000011华夏大盘6.8340 0.2340 3.55% -5.42% 4.25% 109.50% 178.47% 7.0140

  3 377010上投α 5.4460 0.1163 2.18% 4.92% 3.34% 64.40% 140.69% 5.4860

  4 162204荷银精选4.4027 0.0585 1.35% -0.94% -5.70% 55.35% 139.05% 4.4727

  5 159901深证100ETF 4.2520 0.1450 3.53% 0.25% -6.35% 106.55% 190.57% 4.3720

  6 110002易基策略4.1720 0.1370 3.40% 0.15% -4.64% 70.46% 145.94% 4.8820

  7 519008添富优势4.1471 0.0624 1.53% 9.75% -2.21% 75.58% 148.41% 4.5771

  8 070002嘉实增长4.0320 0.0910 2.31% 3.69% 0.49% 64.47% 123.30% 4.3730

  9 260104景顺内需增长3.6660 0.0710 1.97% 3.67% -4.10% 51.02% 127.81% 4.3560

  10 070006嘉实服务3.5170 0.0980 2.87% -0.79% -3.05% 74.81% 191.55% 3.6370

  11 040002华安A股3.4960 0.0990 2.91% 0.50% -3.23% 82.84% 164.69% 3.8660

  12 510880红利ETF 3.4040 0.1350 4.13% -10.44% -4.80% 74.43%未公布3.4040

  13 360005光大红利3.3758 0.1041 3.18% -0.61% -1.04% 87.11% 172.65% 3.5158

  14 240008华宝收益3.3096 0.0982 3.06% 3.42% -2.17% 86.69% 169.33% 3.3096

  15 375010上投优势3.1275 0.0790 2.59% -1.12% 0.53% 74.23% 154.45% 5.6775

  16 340006兴业全球视野3.1150 0.0672 2.20% 0.63% -0.18% 83.42%未公布3.1150

  17 020001国泰金鹰增长2.9670 0.0720 2.49% 6.99% -4.94% 55.65% 117.17% 3.8800

  18 040005华安宏利2.7330 0.0761 2.86% 5.36% -0.88% 98.52%未公布3.1230

  19 002011华夏红利2.7210 0.0580 2.18% -2.46% -2.22% 77.78% 130.99% 3.5540

  20 110009易基价值2.6806 0.0840 3.23% 1.58% -4.96% 79.53% 158.74% 2.8606

  21 378010上投先锋2.6081 0.0546 2.14% 3.56% -0.22% 72.59%未公布2.6081

  22 519690交银稳健2.5591 0.0442 1.76% -1.23% -5.34% 55.32% 141.22% 2.6091

  23 255010德盛稳健2.5370 0.0520 2.09% -1.78% -5.16% 45.85% 94.81% 2.6570

  24 202003南方绩优成长2.4950 0.0797 3.30% 5.70% 1.02% 78.49%未公布2.4950

  25 240009华宝先进2.4748 0.0375 1.54% 5.04% -1.26% 86.41%未公布2.4748

  26 162703广发小盘2.4667 0.0759 3.17% -3.91% -4.65% 71.59% 108.75% 3.6267

  27 159902中小板2.4630 0.0670 2.80% -6.52% 6.32% 76.47% 108.82% 2.4630

  28 270006广发优选2.4283 0.0561 2.36% 未公布-4.65% 75.47% 152.00% 2.7583

  29 160106南方高增2.3854 0.0613 2.64% 4.94% -1.81% 69.23% 128.70% 3.2894

  30 202202南方避险2.3803 0.0328 1.40% 2.67% 1.35% 46.48% 105.49% 2.8743

  31 540002汇丰龙腾2.3556 0.0503 2.18% 0.61% -1.26% 37.11% 128.36% 2.3556

  32 260109景顺内需贰号2.3170 0.0410 1.80% 4.66% -4.75% 54.39%未公布2.3170

  33 519692交银成长2.2780 0.0465 2.08% 2.02% 4.17% 59.03%未公布2.4580

  34 000021华夏优势2.1690 0.0500 2.36% 0.30% -0.39% 66.77%未公布2.2890

  35 161609融通动力先锋2.1150 0.0610 2.97% -1.07% -2.57% 61.16%未公布2.2150

  36 580002东吴动力2.0442 0.0439 2.19% -5.31% -10.45% 62.25%未公布2.1442

  37 160505博时主题2.0130 0.0520 2.65% 7.81% 5.86% 96.03% 169.38% 3.4740

  38 540001汇丰2016 2.0016 0.0312 1.58% 1.44% -0.76% 22.45% 68.24% 2.1016

  39 450002国富弹性1.9442 0.0470 2.48% -0.40% 2.67% 79.64% 163.08% 2.6542

  40 217002招商安泰平衡1.9418 0.0296 1.55% 0.49% -0.01% 39.75% 77.63% 2.5568

  41 162201荷银成长1.9182 0.0456 2.44% 1.42% 2.28% 59.38% 93.39% 2.9982

  42 270002广发稳健1.8858 0.0433 2.35% 1.50% -3.68% 65.87% 114.92% 3.2058

  43 519029华夏稳增1.8740 0.0480 2.63% -1.92% 0.27% 70.01%未公布2.5790

  44 180010银华优质增长1.8425 0.0486 2.71% 3.39% -3.29% 67.64% 162.44% 3.0425

  45 160605鹏华中国50 1.8380 0.0520 2.91% -1.59% -1.11% 64.15% 149.17% 3.3680

  46 160610鹏华动力1.8300 0.0370 2.06% -0.20% -9.49%未公布未公布1.8300

  47 163801中银中国1.7758 0.0391 2.25% 6.05% 0.25% 70.05% 118.99% 2.9458

  48 050004博时精选1.7191 0.0327 1.94% 5.57% -0.72% 67.22% 134.27% 3.1091

  49 110001易基平稳1.6810 0.0390 2.38% -0.38% 0.29% 47.19% 78.01% 2.8910

  50 240002宝康配置1.6805 0.0210 1.27% 4.08% -2.72% 64.14% 143.75% 3.2205

  51 160105南方积配1.6739 0.0341 2.08% 4.13% 0.73% 54.30% 119.35% 2.7289

  52 162202荷银周期1.6634 0.0235 1.43% 3.32% -6.35% 35.93% 98.63% 3.1384

  53 163302巨田资源1.6562 0.0417 2.58% 9.62% -5.42% 80.36% 131.24% 2.8912

  54 162208泰达荷银首选1.6412 0.0330 2.05% -0.80% -6.12% 44.01%未公布1.6912

  55 481004工银成长1.6383 0.0270 1.68% 1.10% -7.42% 52.52%未公布1.6383

  56 162205荷银风险预算1.6190 -0.0046 -0.28% -1.59% 0.57% 31.74% 57.58% 2.0940

  57 151002银河收益1.6183 0.0030 0.19% 1.10% 3.72% 25.24% 39.96% 1.9183

  58 090004大成精选增值1.5994 0.0379 2.43% 2.83% -1.24% 67.28% 121.20% 2.9999

  59 161604融通深证100 1.5600 0.0490 3.24% -2.71% -5.87% 85.57% 154.05% 2.7300

  60 020008国泰混合1.5430 0.0130 0.85% -1.41% 1.49% 20.72% 34.09% 1.5680

  61 590001中邮核心1.5299 0.0293 1.95% -1.38% -3.75% 108.36%未公布2.7499

  62 112002易策二号1.5290 0.0500 3.38% 2.25% -4.58% 69.96%未公布3.0440

  63 162006长城久富1.5113 0.0316 2.14% 1.80% 3.04%未公布未公布3.3921

  64 161706招商成长1.5043 0.0403 2.75% -0.13% -0.77% 71.19% 158.12% 3.4146

  65 160805长盛同智1.4928 0.0308 2.11% -2.06% -6.28% 69.60%未公布2.4030

  66 162102金鹰小盘1.4913 0.0452 3.13% -3.98% -9.49% 35.69% 49.26% 2.1113

  67 200002长城久泰1.4885 0.0365 2.51% -1.75% -4.64% 82.05% 164.96% 4.3485

  68 161605融通蓝筹1.4880 0.0350 2.41% -1.74% -3.02% 45.18% 83.96% 2.6180

  69 200001长城久恒平衡1.4790 0.0270 1.86% -6.26% -0.35% 33.99% 85.17% 2.5890

  70 000001华夏成长1.4510 0.0300 2.11% 0.50% -0.58% 66.89% 126.90% 3.1320

  71 161005富国天惠1.4423 0.0391 2.79% 5.16% 5.70% 44.63% 107.79% 2.9423

  72 110005易基积极1.4382 0.0428 3.07% 0.46% -2.35% 55.31% 117.57% 4.2642

  73 519017大成成长1.4370 0.0290 2.06% -1.23% -2.63%未公布未公布2.1390

  74 450003国富潜力1.4328 0.0355 2.54% -0.04% -2.27%未公布未公布1.4328

  75 519013海富优势1.4290 0.0460 3.33% 3.33% -1.40% 52.88%未公布2.0850

  76 240001宝康消费1.4194 0.0360 2.60% 4.01% -1.98% 44.90% 101.34% 3.1771

  77 202001南方稳健成长1.3897 0.0239 1.75% 3.08% -3.13% 65.13% 113.10% 3.1347

  78 260101景顺长城优选1.3849 0.0289 2.13% 0.65% 0.13% 44.05% 107.73% 3.1956

  79 070011嘉实策略1.3740 0.0390 2.92% 0.38% -2.00% 32.34%未公布1.3740

  80 270001广发聚富1.3712 0.0270 2.01% 5.76% -1.55% 66.94% 119.87% 3.6812

  81 217009招商价值1.3706 0.0354 2.65% 1.09% -2.63%未公布未公布1.3706

  82 257030德盛优势1.3700 0.0350 2.62% -1.10% -6.64%未公布未公布1.3700

  83 162203荷银稳定1.3566 0.0368 2.79% -1.36% -0.43% 37.11% 103.20% 2.8566

  84 360006光大增长1.3391 0.0382 2.94% 2.22% -0.88% 73.43%未公布2.6191

  85 121001国投融华1.3369 0.0223 1.70% 1.19% -1.21% 34.06% 65.03% 2.1889

  86 161607融通巨潮1.3270 0.0330 2.55% 0.45% -3.19% 69.38% 153.53% 2.7570

  87 519300大成300 1.3181 0.0346 2.70% -3.35% -4.24% 66.10% 141.34% 2.6381

  88 110010易基价值成长1.3171 0.0313 2.43% 0.07% -2.29%未公布未公布1.3771

  89 121005国投瑞银创新1.3067 0.0271 2.12% 1.27% -2.80% 66.09%未公布2.4160

  90 530001建信价值1.3066 0.0154 1.19% 0.83% -5.75% 63.63% 118.90% 2.3508

  91 213003宝盈策略1.3055 0.0236 1.84% 0.68% -7.35%未公布未公布1.5055

  92 290004泰信优质1.3029 0.0361 2.85% -1.02% -10.41% 64.89%未公布1.8029

  93 162605景顺鼎益1.3010 0.0310 2.44% 4.30% -1.05% 67.66% 150.08% 3.2910

  94 040007华安成长1.2903 0.0399 3.19% 未公布-0.40%未公布未公布2.6052

  95 240003宝康债券1.2817 0.0006 0.05% 0.77% 7.64% 10.21% 21.50% 1.5517

  96 166001中欧趋势1.2784 0.0418 3.38% 1.14% -1.32%未公布未公布1.4784

  97 398021中海能源1.2764 0.0294 2.36% -1.48% -3.67%未公布未公布1.3564

  98 519068添富焦点1.2731 0.0213 1.70% 4.07% -0.91%未公布未公布1.4231

  99 002001华夏回报1.2670 0.0200 1.60% 8.63% 1.60% 75.80% 121.68% 3.2380

  100 610001信达澳银增长1.2603 0.0407 3.34% 0.29% -4.91%未公布未公布1.4603

  101 519001银华优选股票1.2512 0.0309 2.53% 3.25% -3.97% 64.00% 140.49% 4.2646

  102 510080长盛债券1.2471 0.0072 0.58% 0.08% 4.15% 21.31% 37.95% 1.8371

  103 100018富国天利债券1.2346 0.0022 0.18% -0.77% 5.27% 19.87% 29.59% 1.7246

  104 510081长盛精选1.2215 0.0201 1.67% 1.14% -2.24% 54.87% 120.45% 2.9215

  105 050008博时第三产业1.2110 0.0240 2.02% 1.39% -0.27%未公布未公布2.6790

  106 160311华夏蓝筹核心1.2030 0.0260 2.21% 1.45% 2.01%未公布未公布3.5160

  107 070005嘉实债券1.1930 0.0020 0.17% -0.42% 2.34% 16.26% 25.57% 1.6030

  108 161610融通领先成长1.1920 0.0220 1.88% 1.39% -0.46%未公布未公布3.0690

  109 161603融通债券1.1910 0.0030 0.25% -0.76% -0.68% 10.14% 13.99% 1.3660

  110 340001兴业转基1.1866 0.0180 1.54% -1.67% -2.06% 68.28% 105.12% 2.6106

  111 519100长盛100 1.1777 0.0321 2.80% -0.44% -4.10% 52.27% 66.66% 1.7477

  112 630001华商领先企业1.1772 0.0316 2.76% 未公布-3.77%未公布未公布1.2822

  113 519015海富通精选2号1.1770 0.0190 1.64% 1.44% -3.52%未公布未公布1.1770

  114 202101南方宝元债券1.1768 0.0095 0.81% -0.28% 1.61% 32.45% 78.66% 2.3468

  115 180002银华保本增值1.1713 0.0101 0.87% 3.43% 4.05% 6.79% 17.91% 1.1713

  116 160611鹏华优质治理1.1710 0.0290 2.54% 3.32% -4.29%未公布未公布1.1710

  117 070003嘉实稳健1.1690 0.0260 2.27% 4.58% -6.42% 63.17% 123.99% 3.1300

  118 260108景顺成长1.1650 0.0230 2.01% 3.48% -2.82% 59.93% 150.61% 2.5150

  119 202002南稳贰号1.1630 0.0252 2.21% 0.89% -2.84% 63.81%未公布2.4717

  120 570001诺德价值优势1.1622 0.0226 1.98% -4.11% -3.25%未公布未公布1.1622

  121 202005南方成份精选1.1611 0.0246 2.16% 2.10% -1.67%未公布未公布1.1611

  122 217008招商安本增利1.1591 0.0015 0.13% 0.29% 0.84% 8.94%未公布1.2041

  123 519021金鼎价值精选1.1560 0.0290 2.57% 2.10% -3.69%未公布未公布1.8010

  124 377020上投内需动力1.1524 0.0263 2.34% 0.84% 4.11%未公布未公布1.2524

  125 540003汇丰晋信策略1.1502 0.0232 2.06% 3.96% -2.55% 33.98%未公布1.1502

  126 163402兴业趋势1.1488 0.0188 1.66% 1.37% 2.18% 79.95% 179.58% 5.2074

  127 070010嘉实主题1.1460 0.0400 3.62% -2.71% -5.25% 66.46%未公布2.6440

  128 360001量化核心1.1387 0.0266 2.39% 4.61% -4.79% 75.83% 143.08% 3.0824

  129 519688交银精选1.1366 0.0185 1.65% 2.90% -2.58% 62.94% 145.33% 3.0724

  130 217003招商债券1.1319 0.0009 0.08% -0.67% 0.88% 17.82% 19.80% 1.3684

  131 257020德盛精选1.1270 0.0290 2.64% -3.61% -4.57% 76.05% 126.24% 3.0370

  132 519993长信增利1.1263 0.0258 2.34% 1.81% -6.34% 84.84%未公布2.3653

  133 180001银华优势企业1.1253 0.0186 1.68% 1.01% -3.18% 51.41% 89.29% 2.7453

  134 217203招商安泰债券B 1.1233 0.0009 0.08% -0.71% 0.78% 17.60% 19.38% 1.3598

  135 450001国富收益1.1221 0.0237 2.16% 2.06% -4.43% 26.00% 57.45% 2.2426

  136 050007博时平衡配置1.1160 0.0130 1.18% 0.79% -4.46% 58.86% 107.47% 2.1770

  137 001001华夏债券A/B 1.1150 0.0010 0.09% 0.10% 3.82% 7.84% 12.51% 1.3850

  138 160602鹏华普天债券1.1110 0.0010 0.09% 0.58% 3.10% 3.67% 6.73% 1.2400

  139 001003华夏债券C类1.1070 0.0000 0.00% 0.10% 3.75% 7.67% 12.23% 1.3770

  140 110003易基50 1.1031 0.0317 2.96% 2.33% 0.60% 57.73% 149.47% 2.9531

  141 519666银河银信1.1014 0.0014 0.13% 0.91% 4.03%未公布未公布1.1214

  142 530003建信成长1.0981 0.0203 1.88% 6.67% -4.95% 86.68%未公布2.5481

  143 160608鹏华普天债券B 1.0940 0.0010 0.09% 0.49% 2.75% 3.38% 6.12% 1.2230

  144 020009国泰金鹏蓝筹1.0930 0.0270 2.53% 2.49% -4.63% 54.84%未公布1.9780

  145 090002大成债券1.0914 0.0003 0.03% 1.06% 1.89% 3.76% 6.99% 1.3209

  146 320003诺安股票1.0909 0.0240 2.25% 7.43% -2.42% 71.46% 142.07% 2.9744

  147 485105工银强债A 1.0888 0.0004 0.04% 未公布5.13%未公布未公布1.1088

  148 485005工银强债B 1.0850 0.0004 0.04% 未公布5.02%未公布未公布1.1050

  149 240010华宝行业精选1.0839 0.0224 2.11% 未公布-2.74%未公布未公布1.0839

  150 202102南方多利1.0828 0.0019 0.18% 0.36% 5.15% 1.45% 3.07% 1.1109

  151 092002大成债券C类1.0791 0.0002 0.02% 1.00% 1.70% 3.49% 6.39% 1.3086

  152 460002友邦积极成长1.0772 0.0232 2.20% 未公布-4.81%未公布未公布1.0772

  153 100016富国天源平衡1.0707 0.0161 1.53% 2.26% -5.88% 34.65% 69.58% 2.3313

  154 050106博时稳定债券A 1.0700 0.0010 0.09% 未公布5.95%未公布未公布1.1080

  155 050006博时稳定债券B 1.0680 0.0000 0.00% 未公布5.85%未公布未公布1.1060

  156 050002博时裕富1.0660 0.0270 2.60% -1.45% -4.93% 59.77% 136.58% 3.0460

  157 121003国投股票1.0607 0.0278 2.69% 1.12% -6.94% 63.65% 148.49% 2.5007

  158 320004诺安债券1.0586 0.0009 0.09% 0.18% 4.67% 1.08%未公布1.0882

  159 020010国泰金牛创新1.0570 0.0270 2.62% 未公布0.38%未公布未公布1.1070

  160 180003银华道琼斯88 1.0443 0.0238 2.33% 0.07% -2.62% 60.14% 123.80% 2.8443

  161 163803中银增长1.0331 0.0251 2.49% 5.27% 7.56% 74.24% 124.29% 3.0576

  162 002021华回报二1.0310 0.0200 1.98% 1.16% 39.42% 58.50%未公布2.3190

  163 410001华富优选1.0302 0.0231 2.29% 0.12% 0.27% 74.56% 122.14% 2.6279

  164 260110景顺长城精选1.0300 0.0300 3.00% 未公布-2.22%未公布未公布1.0300

  165 290003泰信双息双利1.0298 0.0009 0.09% 0.19% 1.71% 1.10% 2.10% 1.0541

  166 373010上投双息1.0292 0.0221 2.19% 3.72% -0.18% 58.46% 110.79% 2.4584

  167 020002国泰金龙债券1.0240 0.0010 0.10% 0.10% 3.43% 3.15% 6.47% 1.2630

  168 110008易方达收益B 1.0182 0.0002 0.02% 0.21% 0.90% 0.61% 1.27% 1.0498

  169 110007易方达收益A 1.0172 0.0001 0.01% 0.19% 0.87% 0.89% 1.42% 1.0488

  170 310318盛利配置1.0168 0.0025 0.25% -1.05% -0.26% 36.31% 55.52% 1.7528

  171 161606融通行业1.0160 0.0270 2.73% 0.22% -3.34% 61.65% 116.58% 2.9560

  172 233001巨田基础行业1.0155 0.0131 1.31% 12.35% -1.27% 59.12% 87.81% 2.5605

  173 519519友邦增利A 1.0140 0.0011 0.11% 0.14% 1.22% 0.98% 1.69% 1.0470

  174 460003友邦增利B 1.0135 0.0011 0.11% 未公布未公布未公布未公布1.0465

  175 121009国投瑞银稳定增利1.0097 0.0007 0.07% 未公布未公布未公布未公布1.0097

  176 560002益民红利1.0096 0.0295 3.01% -0.93% -0.93% 95.65%未公布2.1024

  177 519994长信金利1.0094 0.0262 2.66% -5.66% -3.49% 74.96% 128.32% 2.7745

  178 160706嘉实300 1.0090 0.0280 2.85% -4.05% -4.12% 68.51% 143.22% 2.8770

  179 560003益民创新优势1.0062 0.0254 2.59% 未公布2.32%未公布未公布1.0262

  180 161902万家增强收益1.0031 0.0031 0.31% -2.44% 4.44% 9.63% 16.12% 1.4390

  181 070009嘉实短债1.0025 0.0000 0.00% 0.31% 0.95% 1.37% 2.43% 1.0597

  182 310328新动力1.0012 0.0254 2.60% -2.77% -8.98% 68.23% 125.55% 3.0347

  183 040004华安宝利0.9990 0.0190 1.94% -0.33% 3.79% 59.23% 122.32% 3.2790

  184 160910大成创新成长0.9990 0.0200 2.04% 未公布-3.84%未公布未公布2.2100

  185 310308盛利精选0.9913 0.0201 2.07% 0.23% -0.96% 54.41% 120.83% 2.5633

  186 180012银华富裕0.9884 0.0204 2.11% 2.23% -6.77% 56.85%未公布1.9234

  187 620001宝石动力保本0.9829 0.0027 0.28% 未公布2.60%未公布未公布0.9829

  188 530005建信配置0.9790 0.0286 3.01% -3.21% -3.79%未公布未公布1.5290

  189 270007广发大盘成长0.9753 0.0246 2.59% 未公布-2.41%未公布未公布0.9753

  190 253010德盛安心0.9730 0.0090 0.93% 1.57% -0.05% 46.47% 69.99% 2.0610

  191 400003东方精选0.9713 0.0263 2.78% 0.05% -0.46% 97.82% 162.90% 3.2255

  192 200008长城品牌优选0.9564 0.0302 3.26% 未公布0.95%未公布未公布0.9564

  193 320005诺安价值0.9442 0.0254 2.76% 2.13% -4.96% 67.23%未公布1.8892

  194 257010德盛小盘0.9440 0.0220 2.39% 3.60% -5.90% 85.87% 131.50% 3.0740

  195 080001长盛成长0.9420 0.0280 3.06% 6.66% -4.72% 60.82% 101.35% 2.7860

  196 240004华宝动力0.9409 0.0184 1.99% 7.61% -2.19% 71.65% 157.42% 3.4509

  197 483003工银平衡0.9398 0.0168 1.82% 4.72% -3.77% 52.11%未公布2.1287

  198 100020富国天益0.9397 0.0190 2.06% 3.30% 8.55% 59.69% 140.58% 3.9510

  199 350002天治品质0.9377 0.0302 3.33% -3.70% -1.57% 63.58% 124.05% 3.4477

  200 550001信诚四季0.9348 0.0197 2.15% 0.89% -3.16% 66.17% 109.98% 2.0958

  201 206001鹏华行业成长0.9223 0.0199 2.21% 1.66% 0.70% 56.13% 120.36% 3.4936

  202 481001工银价值0.9205 0.0199 2.21% 4.11% -2.75% 53.49% 125.78% 3.7419

  203 410003华富成长0.9169 0.0177 1.97% -1.65% -2.24%未公布未公布1.2069

  204 550002信诚精萃0.9156 0.0193 2.15% 4.27% -6.59% 67.57%未公布2.1437

  205 020003国泰金龙行业0.9100 0.0230 2.59% 11.65% -0.81% 77.77% 142.57% 3.6560

  206 020005国泰金马0.9090 0.0230 2.60% 4.75% -1.38% 75.45% 132.30% 3.7560

  207 150103银河银泰0.9067 0.0218 2.46% -2.72% -1.89% 63.72% 132.82% 3.4467

  208 162607景顺资源0.9060 0.0200 2.26% 2.07% -4.84% 58.22% 132.85% 2.8670

  209 240005华宝策略0.9057 0.0188 2.12% 6.27% -5.25% 76.77% 145.24% 4.3205

  210 163804中银收益0.9037 0.0255 2.90% -1.67% 1.83% 66.34% 92.56% 2.0837

  211 519003海富收益0.8970 0.0230 2.63% 2.25% -3.59% 65.03% 119.72% 2.5120

  212 160607鹏华价值0.8960 0.0280 3.23% 4.76% 2.17% 70.02%未公布2.7690

  213 519180万家180 0.8957 0.0213 2.44% -0.47% -1.11% 70.26% 151.75% 3.2357

  214 217001招商安泰股票0.8943 0.0228 2.62% -0.63% -0.30% 55.00% 111.25% 3.5083

  215 519035富国天博0.8936 0.0230 2.64% 3.60% 0.76%未公布未公布3.0818

  216 200006长城股票0.8931 0.0205 2.35% 6.98% 1.57% 60.20% 129.03% 2.3331

  217 050009博时新兴成长0.8920 0.0140 1.59% 未公布-0.71%未公布未公布3.3460

  218 519011海富精选0.8896 0.0169 1.94% 2.24% -3.58% 61.99% 125.57% 3.8321

  219 519018汇添均衡0.8880 0.0188 2.16% 4.96% -1.60% 55.43%未公布2.5066

  220 151001银河稳健0.8830 0.0221 2.57% -2.22% -0.35% 66.86% 141.48% 3.0194

  221 070001嘉实成长0.8829 0.0183 2.12% 3.55% 0.79% 50.97% 133.94% 3.0409

  222 100026富国天合稳健0.8786 0.0231 2.70% 4.59% 1.98% 63.82%未公布2.2581

  223 213002宝盈区域增长0.8767 0.0214 2.50% -2.72% -3.00% 52.14% 102.10% 2.7166

  224 213001宝盈鸿利0.8764 0.0207 2.42% -3.93% -6.22% 48.25% 109.54% 2.8365

  225 519694交银蓝筹0.8730 0.0184 2.15% 未公布1.37%未公布未公布0.8880

  226 121008国投瑞银成长优选0.8730 0.0156 1.82% 未公布未公布未公布未公布1.9139

  227 160314华夏行业精选0.8710 0.0220 2.59% 未公布未公布未公布未公布3.9630

  228 040001华安创新0.8700 0.0200 2.35% 0.15% -2.54% 63.65% 126.19% 3.9690

  229 202007南方隆元0.8700 0.0210 2.47% 未公布5.40%未公布未公布0.8700

  230 400001东方龙0.8679 0.0239 2.83% -6.79% -1.85% 50.14% 100.02% 2.6294

  231 090003大成蓝筹稳健0.8636 0.0212 2.52% 7.98% 2.35% 63.46% 123.29% 3.4336

  232 210001金鹰优选0.8611 0.0242 2.89% -0.08% -1.10% 69.40% 115.07% 2.5565

  233 590002中邮核心成长0.8610 0.0162 1.92% 未公布0.83%未公布未公布0.8610

  234 160603鹏华收益0.8580 0.0250 3.00% -2.41% -1.77% 54.92% 109.38% 3.3040

  235 110029易方达科讯0.8556 0.0168 2.00% 未公布未公布未公布未公布4.5022

  236 398011中海分红0.8553 0.0187 2.24% 0.66% -0.98% 49.28% 97.19% 2.2553

  237 217005招商先锋0.8529 0.0197 2.36% 0.73% -0.76% 60.99% 123.41% 2.8029

  238 519996长信银利0.8516 0.0217 2.61% -1.96% -4.95% 69.26% 153.71% 2.7716

  239 519039长盛同德0.8510 0.0255 3.09% 未公布未公布未公布未公布2.4385

  240 580001东吴嘉禾0.8464 0.0147 1.77% -1.55% -3.18% 50.77% 108.59% 2.5664

  241 040008华安策略优选0.8456 0.0182 2.20% 未公布-1.99%未公布未公布2.3819

  242 519007海富回报0.8420 0.0240 2.93% -0.32% -2.50% 71.80% 126.53% 2.3380

  243 260103景顺长城动力0.8401 0.0154 1.87% 6.21% -0.04% 50.12% 105.59% 3.1301

  244 310358新经济0.8400 0.0175 2.13% -2.93% 2.04% 62.22%未公布2.1719

  245 360007光大优势配置0.8390 0.0216 2.64% 未公布-1.88%未公布未公布0.8390

  246 350001天治财富0.8384 0.0175 2.13% -4.14% -5.04% 46.31% 93.05% 2.3837

  247 100022富国天瑞0.8342 0.0249 3.08% 2.20% -1.32% 54.30% 124.18% 3.1495

  248 121002国投景气0.8326 0.0223 2.75% 3.29% -1.82% 52.16% 105.08% 2.8016

  249 161601新 蓝筹 0.8320 0.0181 2.22% -0.63% -3.53% 65.54% 137.18% 3.1270

  250 162207荷银效率0.8319 0.0068 0.82% 1.14% -2.66% 41.82% 91.36% 2.0009

  251 050001博时增长0.8300 0.0170 2.09% 3.83% -0.29% 65.73% 140.57% 3.3320

  252 070099嘉实优质0.8300 0.0230 2.85% 未公布未公布未公布未公布1.7260

  253 161903万家公用0.8261 0.0226 2.81% -0.80% 3.01% 62.78% 94.79% 2.1956

  254 162209荷银市值优选0.8219 0.0151 1.87% 未公布-1.89%未公布未公布0.8219

  255 270005广发聚丰0.8208 0.0185 2.31% 4.47% 0.01% 71.49% 144.08% 4.5421

  256 200007长城安心回报0.8198 0.0215 2.69% 0.82% 0.65% 49.97%未公布2.1556

  257 519181万家和谐增长0.8195 0.0200 2.50% -1.02% -12.39% 68.28%未公布1.7010

  258 519005海富股票0.8130 0.0230 2.91% 2.27% -3.86% 58.90% 122.98% 2.7620

  259 460001友邦盛世0.8126 0.0222 2.81% 2.23% -4.33% 75.94% 144.03% 2.9471

  260 090001大成价值增长0.8099 0.0183 2.31% -1.90% 3.49% 61.76% 117.27% 3.4699

  261 050201博时价值贰号0.7990 0.0130 1.65% -0.27% -2.46% 52.07%未公布2.2540

  262 320001诺安平衡0.7954 0.0170 2.18% 0.59% -10.59% 52.69% 114.57% 3.0554

  263 290002泰信先行0.7873 0.0159 2.06% 0.43% -9.55% 83.01% 149.94% 2.7886

  264 020011国泰沪深300 0.7810 0.0200 2.63% 未公布未公布未公布未公布1.1180

  265 519019大成景阳0.7760 0.0190 2.51% 未公布未公布未公布未公布3.7550

  266 398001中海成长0.7729 0.0174 2.30% -2.11% -4.04% 77.78% 137.88% 2.8138

  267 519087新世纪优选0.7727 0.0158 2.09% -0.91% -4.47% 61.01% 144.86% 2.4340

  268 090006大成财富0.7620 0.0170 2.28% 3.60% -0.79% 66.39%未公布2.5840

  269 420001天弘精选0.7412 0.0194 2.69% -3.58% -6.49% 39.95% 85.19% 2.0673

  270 163503天治核心成长0.6989 0.0173 2.54% -7.58% -6.93% 68.80% 130.99% 2.3737

  数据来源:金融界

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