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发表于 2007.8.4 23:19
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中国银河证券·封闭式基金净值增长率排行榜
计算截止日:2007-7-27 数据来源:中国银河证券基金研究中心 序号 基金代码 基金简称 份额净值 (元) 份额累计净值(元) 过去一周 过去一个月(4周) 过去三个月(13周) 过去六个月(26周) 今年以来 过去一年(52周) 过去两年(104周) 过去三年(156周) 成立以来累计净值增长率
1 184688 开元 3.1072 5.0662 5.03% 14 9.13% 14 18.79% 36 71.68% 2 112.54% 1 176.85% 7 ★★★★ 341.08% 4 ★★★★★ 335.58% 5 ★★★★★ 737.90% 2 500001 金泰 3.1301 4.1351 4.49% 24 6.20% 32 27.33% 19 47.92% 33 70.56% 33 139.43% 33 ★ 266.44% 27 ★★ 251.97% 27 ★★ 504.81% 3 500008 兴华 3.2276 4.8766 4.56% 23 11.22% 5 30.81% 7 62.75% 7 83.11% 11 147.17% 29 ★★ 305.02% 11 ★★★★ 277.70% 23 ★★★ 853.82% 4 500003 安信 3.0384 4.9204 4.63% 21 9.25% 13 27.62% 17 50.01% 30 75.97% 25 153.52% 21 ★★★ 290.24% 21 ★★★ 293.01% 18 ★★★ 800.49% 5 500006 裕阳 3.238 4.675 5.71% 4 11.21% 6 26.47% 21 69.77% 3 91.54% 3 184.63% 6 ★★★★★ 303.15% 12 ★★★★ 280.07% 22 ★★★ 663.16% 6 184689 普惠 3.2488 4.1928 3.80% 30 10.10% 7 29.05% 10 57.85% 16 78.03% 23 172.20% 8 ★★★★ 288.98% 22 ★★★ 255.73% 26 ★★ 476.43% 7 184690 同益 3.1321 4.4361 4.71% 17 8.77% 15 23.39% 28 56.36% 19 84.12% 9 160.80% 14 ★★★★ 295.23% 19 ★★★ 304.96% 11 ★★★★ 599.10% 8 500002 泰和 3.3849 4.5199 3.79% 31 7.41% 28 37.40% 1 69.24% 4 90.56% 4 209.88% 1 ★★★★★ 362.45% 1 ★★★★★ 348.38% 4 ★★★★★ 586.86% 9 184691 景宏 2.7156 4.0056 4.67% 20 8.73% 16 25.79% 22 55.02% 21 81.09% 16 185.22% 5 ★★★★★ 309.48% 9 ★★★★ 316.93% 7 ★★★★★ 426.79% 10 500005 汉盛 3.1626 3.9652 2.35% 36 7.58% 27 33.29% 4 54.79% 23 76.19% 24 152.66% 22 ★★★ 267.04% 26 ★★ 267.23% 24 ★★★ 418.48% 11 184692 裕隆 3.1959 4.0849 5.71% 5 13.72% 1 36.99% 3 73.49% 1 97.24% 2 195.90% 3 ★★★★★ 327.99% 6 ★★★★★ 292.72% 19 ★★★ 439.03% 12 500009 安顺 2.7858 4.2938 5.27% 11 6.75% 31 22.58% 30 49.42% 31 79.47% 20 148.90% 27 ★★★ 298.55% 16 ★★★★ 296.08% 16 ★★★★ 542.90% 13 184693 普丰 2.683 3.339 6.80% 3 9.47% 12 19.20% 34 48.26% 32 72.32% 31 143.11% 31 ★★ 259.19% 32 ★★ 244.67% 28 ★★ 299.66% 14 500018 兴和 2.8124 3.5514 4.59% 22 7.67% 26 22.12% 31 50.24% 29 75.85% 26 139.98% 32 ★★ 262.77% 31 ★★ 218.70% 35 ★ |
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