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基金代码基金名称基金类型5月14日5月7日净变动
580002东吴双动力股票型80.49% 61.48% 18.79%
420003天弘价值股票型87.28% 69.26% 17.82%
530006建信核心股票型90.81% 74.72% 15.91%
519991长信双利配置混合76.92% 61.55% 15.15%
450004国海价值股票型80.51% 65.72% 14.58%
160613鹏华创新股票型81.44% 67.66% 13.58%
160605鹏华50股票型79.82% 66.69% 12.93%
210002金鹰红利配置混合70.36% 57.42% 12.72%
310368申万优势股票型74.34% 61.59% 12.53%
398031中海蓝筹灵活配置混合65.82% 53.22% 12.37%
519015海富通精选贰号偏股混合80.29% 68.30% 11.79%
398021中海能源偏股混合82.14% 70.23% 11.71%
160910大成创新成长偏股混合86.74% 75.01% 11.55%
540004汇丰2026股票型84.19% 72.67% 11.34%
240009华宝成长股票型73.61% 62.91% 10.49%
519183万家双引擎配置混合83.71% 73.21% 10.32%
410006华富策略精选配置混合76.93% 66.44% 10.29%
540003汇丰动态配置混合65.34% 55.06% 10.06%
460002友邦成长偏股混合60.31% 50.24% 9.84%
163805中银策略股票型81.27% 71.31% 9.77%
519011海富通精选偏股混合81.79% 71.90% 9.71%
20010国泰金牛股票型76.61% 66.72% 9.69%
519013海富通优势股票型89.61% 80.01% 9.45%
540002汇丰龙腾股票型78.10% 68.69% 9.21%
161610融通领先股票型85.77% 76.42% 9.18%
519035富国天博股票型86.90% 77.63% 9.12%
160106南方高增股票型78.17% 68.91% 9.06%
570001诺德价值股票型83.82% 74.71% 8.94%
580001嘉禾精选偏股混合80.65% 71.61% 8.86%
540001汇丰2016配置混合37.67% 28.66% 8.82%