基金 代碼 |
基金名稱(chēng) |
半年 (26周) |
一年 (52周) |
風(fēng)險(xiǎn)評(píng)價(jià) |
今年以來(lái) |
設(shè)立以來(lái) |
凈值 增長(zhǎng)率 |
排序 |
凈值 增長(zhǎng)率 |
排序 |
年化 標(biāo)準(zhǔn)差 |
風(fēng)險(xiǎn)評(píng)價(jià) |
凈值 增長(zhǎng)率 |
排序 |
凈值增長(zhǎng)率 |
( 一 ) 股票型基金 |
213002 |
寶盈泛沿海 |
17.42% |
8 |
20.16% |
-- |
10.19% |
-- |
16.52% |
12 |
20.26% |
270005 |
廣發(fā)聚豐 |
20.47% |
-- |
20.47% |
-- |
13.76% |
-- |
20.52% |
-- |
20.47% |
260104 |
景順長(zhǎng)城內(nèi)需增長(zhǎng) |
28.59% |
2 |
24.28% |
2 |
14.77% |
中 |
26.75% |
3 |
37.93% |
162703 |
廣發(fā)小盤(pán)成長(zhǎng) |
34.58% |
1 |
35.75% |
-- |
15.67% |
-- |
28.10% |
2 |
34.27% |
377010 |
上投摩根阿爾法 |
29.68% |
-- |
29.68% |
-- |
10.63% |
-- |
27.11% |
-- |
29.68% |
162605 |
景順長(zhǎng)城鼎益 |
20.45% |
5 |
14.67% |
-- |
12.15% |
-- |
21.73% |
5 |
16.50% |
519005 |
海富通股票 |
16.58% |
-- |
19.71% |
-- |
9.69% |
-- |
20.31% |
8 |
19.71% |
519001 |
銀華核心價(jià)值優(yōu)選 |
34.32% |
-- |
34.66% |
-- |
11.54% |
-- |
30.00% |
1 |
34.66% |
460001 |
友邦華泰盛世中國(guó) |
16.24% |
9 |
20.48% |
-- |
9.25% |
-- |
16.23% |
14 |
20.48% |
162204 |
湘財(cái)荷銀行業(yè)精選 |
19.79% |
7 |
20.91% |
3 |
14.90% |
高 |
20.28% |
9 |
25.71% |
481001 |
工銀瑞信核心價(jià)值 |
17.08% |
-- |
17.31% |
-- |
8.13% |
-- |
15.51% |
15 |
17.31% |
100020 |
富國(guó)天益價(jià)值 |
27.28% |
3 |
30.27% |
1 |
15.52% |
高 |
26.16% |
4 |
53.61% |
257020 |
國(guó)聯(lián)安德盛精選股票 |
9.21% |
-- |
9.21% |
-- |
9.22% |
-- |
9.21% |
-- |
9.21% |
020001 |
國(guó)泰金鷹增長(zhǎng) |
21.29% |
4 |
18.69% |
4 |
13.69% |
中 |
20.75% |
6 |
33.11% |
310328 |
申萬(wàn)巴黎新動(dòng)力 |
14.06% |
-- |
14.06% |
-- |
9.54% |
-- |
11.32% |
-- |
14.06% |
320003 |
諾安股票 |
10.14% |
-- |
10.14% |
-- |
9.61% |
-- |
9.93% |
-- |
10.14% |
240004 |
華寶興業(yè)動(dòng)力組合 |
16.03% |
-- |
16.03% |
-- |
8.39% |
-- |
13.05% |
-- |
16.03% |
288002 |
中信紅利精選 |
12.53% |
-- |
12.53% |
-- |
8.50% |
-- |
11.95% |
-- |
12.53% |
260101 |
景順長(zhǎng)城優(yōu)選股票 |
15.95% |
10 |
12.05% |
5 |
13.25% |
低 |
17.76% |
10 |
39.79% |
519996 |
長(zhǎng)信銀利精選 |
12.74% |
12 |
10.47% |
-- |
12.41% |
-- |
13.43% |
16 |
11.66% |
160106 |
南方高增長(zhǎng) |
29.40% |
-- |
28.88% |
-- |
9.57% |
-- |
20.53% |
7 |
28.88% |
162607 |
景順長(zhǎng)城資源 |
6.60% |
-- |
6.60% |
-- |
10.47% |
-- |
6.60% |
-- |
6.60% |
519688 |
交銀施羅德精選 |
19.16% |
-- |
19.16% |
-- |
9.14% |
-- |
16.66% |
11 |
19.16% |
161706 |
招商優(yōu)質(zhì)成長(zhǎng) |
22.34% |
-- |
22.34% |
-- |
10.64% |
-- |
18.58% |
-- |
22.34% |
360001 |
光大保德信量化 |
20.10% |
6 |
10.23% |
6 |
14.59% |
中 |
16.49% |
13 |
2.06% |
217001 |
招商安泰股票 |
8.55% |
13 |
7.16% |
7 |
13.41% |
低 |
10.05% |
18 |
23.03% |
160505 |
博時(shí)主題行業(yè) |
13.01% |
11 |
11.98% |
-- |
11.09% |
-- |
12.07% |
17 |
15.53% |
163503 |
天治核心成長(zhǎng) |
2.42% |
-- |
2.42% |
-- |
8.41% |
-- |
2.42% |
-- |
2.42% |
163803 |
中銀國(guó)際持續(xù)增長(zhǎng) |
0.98% |
-- |
0.98% |
-- |
5.00% |
-- |
0.98% |
-- |
0.98% |
161903 |
萬(wàn)家公用事業(yè) |
-0.12% |
-- |
0.03% |
-- |
5.50% |
-- |
1.92% |
19 |
0.03% |
530001 |
建信恒久價(jià)值 |
2.00% |
-- |
2.00% |
-- |
6.07% |
-- |
1.43% |
-- |
2.00% |
360005 |
光大保德信紅利 |
0.00% |
-- |
0.00% |
-- |
0.00% |
-- |
0.00% |
-- |
0.00% |
平均 |
19.69% |
-- |
17.66% |
-- |
-- |
-- |
18.49% |
-- |
-- |
( 二 ) 偏股型基金 |
206001 |
鵬華行業(yè)成長(zhǎng) |
22.70% |
7 |
24.77% |
4 |
14.49% |
高 |
21.73% |
7 |
18.09% |
375010 |
上投摩根中國(guó)優(yōu)勢(shì) |
28.35% |
2 |
34.35% |
1 |
13.67% |
中 |
24.98% |
2 |
38.04% |
160605 |
鵬華中國(guó)50 |
24.45% |
6 |
23.75% |
6 |
13.19% |
中 |
21.40% |
9 |
21.52% |
162202 |
湘財(cái)合豐周期 |
21.81% |
10 |
18.09% |
18 |
16.15% |
高 |
21.09% |
10 |
45.24% |
110002 |
易方達(dá)策略成長(zhǎng) |
24.81% |
5 |
24.61% |
5 |
15.09% |
高 |
22.38% |
4 |
53.47% |
161005 |
富國(guó)天惠精選成長(zhǎng) |
22.67% |
-- |
22.67% |
-- |
9.45% |
-- |
19.93% |
-- |
22.67% |
020005 |
國(guó)泰金馬穩(wěn)健 |
19.59% |
16 |
21.14% |
11 |
11.86% |
低 |
20.76% |
11 |
16.17% |
290002 |
泰信先行策略 |
17.60% |
20 |
13.12% |
29 |
16.39% |
高 |
16.77% |
21 |
8.55% |
110005 |
易方達(dá)積極成長(zhǎng) |
25.34% |
4 |
22.31% |
7 |
14.06% |
高 |
24.29% |
3 |
30.90% |
213001 |
寶盈鴻利收益 |
22.41% |
8 |
15.93% |
25 |
14.11% |
高 |
21.76% |
6 |
17.90% |
160603 |
鵬華普天收益 |
20.87% |
12 |
17.47% |
20 |
12.99% |
中 |
19.97% |
12 |
37.19% |
410001 |
華富競(jìng)爭(zhēng)力優(yōu)選 |
15.65% |
33 |
11.50% |
-- |
17.49% |
-- |
12.68% |
42 |
10.43% |
519008 |
匯添富優(yōu)勢(shì)精選 |
29.65% |
-- |
29.15% |
-- |
10.10% |
-- |
27.21% |
1 |
29.15% |
163402 |
興業(yè)趨勢(shì)投資 |
18.82% |
-- |
18.82% |
-- |
8.73% |
-- |
16.83% |
-- |
18.82% |
090004 |
大成精選增值 |
17.17% |
23 |
14.04% |
28 |
13.21% |
中 |
17.72% |
19 |
17.48% |
161601 |
融通新藍(lán)籌 |
29.95% |
1 |
25.85% |
2 |
14.79% |
高 |
19.45% |
13 |
44.60% |
180001 |
銀華優(yōu)勢(shì)企業(yè) |
19.56% |
17 |
21.58% |
9 |
11.86% |
低 |
18.66% |
16 |
49.46% |
100022 |
富國(guó)天瑞強(qiáng)勢(shì)地區(qū) |
25.40% |
3 |
27.66% |
-- |
11.74% |
-- |
22.25% |
5 |
27.66% |
580001 |
東吳嘉禾優(yōu)勢(shì) |
10.86% |
46 |
5.74% |
-- |
11.54% |
-- |
12.82% |
41 |
4.40% |
161605 |
融通藍(lán)籌成長(zhǎng) |
21.41% |
11 |
25.51% |
3 |
14.07% |
高 |
14.06% |
34 |
29.57% |
510081 |
長(zhǎng)盛動(dòng)態(tài)精選 |
21.98% |
9 |
20.65% |
12 |
13.68% |
高 |
19.12% |
14 |
18.59% |
121002 |
國(guó)投瑞銀景氣行業(yè) |
20.00% |
14 |
20.06% |
13 |
12.68% |
低 |
17.98% |
18 |
19.98% |
163302 |
巨田資源優(yōu)選 |
23.96% |
-- |
23.96% |
-- |
9.37% |
-- |
21.59% |
8 |
23.96% |
320001 |
諾安平衡 |
15.48% |
35 |
16.73% |
24 |
10.93% |
低 |
14.91% |
27 |
26.40% |
070002 |
嘉實(shí)理財(cái)通增長(zhǎng) |
17.14% |
24 |
21.34% |
10 |
14.28% |
高 |
18.69% |
15 |
59.00% |
002011 |
華夏紅利 |
12.72% |
43 |
15.33% |
-- |
6.36% |
-- |
14.76% |
29 |
15.33% |
090001 |
大成價(jià)值增長(zhǎng) |
17.48% |
22 |
19.20% |
14 |
12.26% |
低 |
15.33% |
25 |
43.03% |
162102 |
金鷹中小盤(pán)精選 |
16.14% |
30 |
10.21% |
33 |
12.93% |
中 |
15.09% |
26 |
3.02% |
162201 |
湘財(cái)合豐成長(zhǎng) |
14.31% |
40 |
22.13% |
8 |
13.59% |
中 |
13.36% |
38 |
45.81% |
519011 |
海富通精選 |
13.85% |
41 |
17.00% |
22 |
13.34% |
中 |
13.97% |
35 |
44.78% |
080001 |
長(zhǎng)盛成長(zhǎng)價(jià)值 |
17.06% |
25 |
18.85% |
16 |
12.87% |
中 |
14.37% |
31 |
42.20% |
090003 |
大成藍(lán)籌穩(wěn)健 |
14.80% |
37 |
12.13% |
31 |
12.47% |
低 |
14.82% |
28 |
10.27% |
050004 |
博時(shí)精選 |
13.00% |
42 |
9.41% |
35 |
11.31% |
低 |
12.29% |
44 |
11.13% |
020003 |
國(guó)泰金龍行業(yè) |
18.99% |
19 |
18.46% |
17 |
12.68% |
低 |
18.57% |
17 |
25.80% |
160105 |
南方積極配置 |
15.69% |
32 |
8.69% |
37 |
13.99% |
高 |
16.07% |
23 |
10.43% |
163801 |
中銀國(guó)際中國(guó)精選 |
16.32% |
28 |
18.04% |
-- |
9.20% |
-- |
14.20% |
33 |
16.40% |
217005 |
招商先鋒 |
9.87% |
47 |
7.13% |
39 |
13.68% |
高 |
12.08% |
45 |
9.88% |
000011 |
華夏大盤(pán)精選 |
16.22% |
29 |
15.44% |
27 |
11.69% |
低 |
16.70% |
22 |
16.82% |
040001 |
華安創(chuàng)新 |
19.80% |
15 |
16.92% |
23 |
15.36% |
高 |
15.99% |
24 |
33.15% |
310308 |
申萬(wàn)巴黎盛利精選 |
14.97% |
36 |
11.46% |
32 |
11.52% |
低 |
13.58% |
37 |
9.22% |
000001 |
華夏成長(zhǎng) |
14.62% |
39 |
8.73% |
36 |
12.49% |
低 |
14.29% |
32 |
23.20% |
151001 |
銀河銀聯(lián)穩(wěn)健 |
20.84% |
13 |
19.04% |
15 |
14.25% |
高 |
17.02% |
20 |
15.12% |
240005 |
華寶興業(yè)多策略增長(zhǎng) |
16.47% |
27 |
10.12% |
34 |
13.91% |
高 |
14.60% |
30 |
8.82% |
210001 |
金鷹成份股優(yōu)選 |
15.51% |
34 |
1.26% |
44 |
13.23% |
中 |
13.10% |
39 |
1.63% |
202001 |
南方穩(wěn)健成長(zhǎng) |
8.15% |
48 |
2.53% |
43 |
13.52% |
中 |
5.70% |
54 |
31.96% |
070003 |
嘉實(shí)理財(cái)通穩(wěn)健 |
14.64% |
38 |
12.60% |
30 |
13.12% |
中 |
13.03% |
40 |
26.45% |
233001 |
巨田基礎(chǔ)行業(yè) |
5.47% |
52 |
-2.66% |
45 |
13.61% |
中 |
7.87% |
52 |
-6.07% |
398001 |
國(guó)聯(lián)優(yōu)質(zhì)成長(zhǎng) |
5.68% |
51 |
3.54% |
42 |
12.15% |
低 |
7.13% |
53 |
1.62% |
240001 |
華寶興業(yè)寶康消費(fèi)品 |
15.75% |
31 |
17.58% |
19 |
11.64% |
低 |
12.52% |
43 |
39.65% |
162203 |
湘財(cái)合豐穩(wěn)定 |
11.93% |
44 |
15.90% |
26 |
12.77% |
低 |
13.61% |
36 |
29.51% |
350002 |
天治品質(zhì)優(yōu)選 |
17.57% |
21 |
8.32% |
-- |
13.11% |
-- |
9.17% |
51 |
4.72% |
070001 |
嘉實(shí)成長(zhǎng)收益 |
7.44% |
50 |
6.22% |
41 |
13.53% |
中 |
11.14% |
48 |
35.98% |
050001 |
博時(shí)價(jià)值增長(zhǎng) |
19.06% |
18 |
17.23% |
21 |
13.68% |
中 |
11.76% |
47 |
41.06% |
400003 |
東方精選 |
3.24% |
-- |
3.24% |
-- |
6.49% |
-- |
3.24% |
-- |
3.24% |
070006 |
嘉實(shí)服務(wù)增值 |
7.65% |
49 |
6.79% |
40 |
12.91% |
中 |
9.71% |
50 |
0.60% |
398011 |
國(guó)聯(lián)分紅增利 |
11.11% |
45 |
10.75% |
-- |
7.56% |
-- |
9.96% |
49 |
10.75% |
161606 |
融通行業(yè)景氣 |
16.48% |
26 |
7.94% |
38 |
12.38% |
低 |
11.86% |
46 |
4.70% |
420001 |
天弘精選 |
3.56% |
-- |
3.56% |
-- |
2.00% |
-- |
3.58% |
-- |
3.56% |
平均 |
16.96% |
-- |
15.45% |
-- |
-- |
-- |
15.85% |
-- |
-- |
( 三 ) 股債平衡型基金 |
270002 |
廣發(fā)穩(wěn)健增長(zhǎng) |
25.49% |
3 |
28.47% |
1 |
14.62% |
高 |
22.59% |
1 |
42.62% |
270001 |
廣發(fā)聚富 |
26.67% |
2 |
24.96% |
3 |
14.76% |
高 |
22.21% |
2 |
51.95% |
240002 |
華寶興業(yè)寶康配置 |
27.31% |
1 |
26.05% |
2 |
13.16% |
高 |
18.78% |
3 |
40.14% |
200001 |
長(zhǎng)城久恒 |
18.13% |
7 |
13.17% |
10 |
14.07% |
高 |
17.57% |
5 |
24.84% |
002001 |
華夏回報(bào) |
18.58% |
6 |
19.24% |
5 |
13.57% |
高 |
18.43% |
4 |
35.86% |
040004 |
華安寶利配置 |
20.15% |
5 |
22.72% |
4 |
11.98% |
中 |
16.44% |
7 |
31.55% |
260103 |
景順長(zhǎng)城動(dòng)力平衡 |
15.53% |
9 |
10.83% |
13 |
9.20% |
低 |
17.02% |
6 |
30.30% |
110001 |
易方達(dá)平穩(wěn)增長(zhǎng) |
17.68% |
8 |
15.69% |
6 |
12.02% |
中 |
16.26% |
8 |
56.73% |
257010 |
國(guó)聯(lián)安德盛小盤(pán) |
10.36% |
13 |
13.52% |
9 |
9.22% |
低 |
11.10% |
12 |
4.10% |
400001 |
東方龍 |
20.86% |
4 |
14.27% |
7 |
12.13% |
中 |
14.01% |
9 |
17.70% |
519087 |
新世紀(jì)優(yōu)選分紅 |
7.26% |
-- |
7.24% |
-- |
8.52% |
-- |
6.19% |
17 |
7.24% |
150103 |
銀河銀泰理財(cái)分紅 |
13.61% |
10 |
13.88% |
8 |
12.16% |
中 |
12.36% |
10 |
3.12% |
288001 |
中信經(jīng)典配置 |
13.47% |
11 |
11.66% |
12 |
11.26% |
中 |
11.43% |
11 |
8.16% |
519003 |
海富通收益增長(zhǎng) |
8.86% |
15 |
7.52% |
15 |
9.97% |
低 |
8.98% |
15 |
4.40% |
217002 |
招商安泰平衡 |
5.88% |
16 |
6.05% |
16 |
9.22% |
低 |
6.98% |
16 |
18.42% |
255010 |
國(guó)聯(lián)安德盛穩(wěn)健 |
12.82% |
12 |
12.96% |
11 |
10.92% |
低 |
10.87% |
13 |
14.30% |
100016 |
富國(guó)動(dòng)態(tài)平衡 |
9.53% |
14 |
7.56% |
14 |
11.03% |
中 |
10.27% |
14 |
16.61% |
253010 |
國(guó)聯(lián)安德盛安心成長(zhǎng) |
4.37% |
-- |
5.31% |
-- |
2.98% |
-- |
3.35% |
18 |
5.31% |
平均 |
16.56% |
-- |
15.53% |
-- |
-- |
-- |
13.60% |
-- |
-- |
( 四 ) 偏債型基金 |
340001 |
興業(yè)可轉(zhuǎn)債 |
15.14% |
1 |
18.91% |
1 |
7.11% |
高 |
12.80% |
1 |
17.66% |
121001 |
國(guó)投瑞銀融華債券 |
12.37% |
4 |
15.31% |
5 |
6.01% |
中 |
10.58% |
2 |
27.27% |
151002 |
銀河銀聯(lián)收益 |
7.29% |
6 |
17.95% |
2 |
4.50% |
低 |
5.77% |
6 |
18.54% |
202101 |
南方寶元債券 |
14.08% |
2 |
17.33% |
3 |
5.51% |
中 |
8.98% |
3 |
31.02% |
350001 |
天治財(cái)富增長(zhǎng) |
13.23% |
3 |
15.85% |
4 |
8.45% |
高 |
7.92% |
4 |
11.15% |
162205 |
湘財(cái)荷銀風(fēng)險(xiǎn)預(yù)算 |
3.34% |
7 |
9.66% |
-- |
6.38% |
-- |
5.44% |
7 |
9.66% |
310318 |
申萬(wàn)巴黎盛利配置 |
2.77% |
8 |
0.71% |
6 |
3.17% |
低 |
3.22% |
8 |
1.76% |
450001 |
富蘭克林國(guó)海收益 |
7.58% |
5 |
10.62% |
-- |
4.47% |
-- |
6.84% |
5 |
10.62% |
平均 |
9.48% |
-- |
14.34% |
-- |
-- |
-- |
7.69% |
-- |
-- |
( 五 ) 債券型基金 |
100018 |
富國(guó)天利增長(zhǎng)債券 |
8.96% |
2 |
15.85% |
2 |
3.76% |
高 |
6.99% |
2 |
16.41% |
161603 |
融通債券 |
9.48% |
1 |
12.49% |
4 |
3.59% |
中 |
7.40% |
1 |
18.90% |
510080 |
長(zhǎng)盛債券 |
6.60% |
3 |
13.69% |
3 |
3.95% |
高 |
4.71% |
5 |
20.78% |
001001 |
華夏債券 |
5.12% |
8 |
10.49% |
5 |
1.67% |
低 |
3.45% |
7 |
14.78% |
070005 |
嘉實(shí)理財(cái)通債券 |
6.09% |
6 |
16.02% |
1 |
2.78% |
低 |
4.20% |
6 |
9.87% |
090002 |
大成債券 |
5.15% |
7 |
8.90% |
8 |
3.49% |
中 |
2.27% |
9 |
19.34% |
160602 |
鵬華普天債券 |
6.36% |
4 |
10.28% |
6 |
4.86% |
高 |
4.94% |
4 |
9.60% |
110007 |
易方達(dá)月月收益A |
1.01% |
-- |
1.08% |
-- |
0.14% |
-- |
0.51% |
12 |
1.08% |
110008 |
易方達(dá)月月收益B |
1.15% |
-- |
1.22% |
-- |
0.14% |
-- |
0.57% |
11 |
1.22% |
217003 |
招商安泰債券 |
2.36% |
10 |
7.87% |
9 |
2.45% |
低 |
1.78% |
10 |
12.46% |
050006 |
博時(shí)穩(wěn)定價(jià)值債券 |
1.06% |
-- |
1.31% |
-- |
0.15% |
-- |
0.50% |
13 |
1.31% |
202102 |
南方多利中短債 |
0.01% |
-- |
0.01% |
-- |
-- |
-- |
0.01% |
-- |
0.01% |
020002 |
國(guó)泰金龍債券 |
6.09% |
5 |
9.90% |
7 |
2.81% |
中 |
5.15% |
3 |
10.51% |
240003 |
華寶興業(yè)寶康債券 |
2.48% |
9 |
3.92% |
10 |
3.14% |
中 |
2.98% |
8 |
12.17% |
平均 |
5.87% |
-- |
10.94% |
-- |
-- |
-- |
3.50% |
-- |
-- |
( 六 ) 保本型基金 |
202201 |
南方避險(xiǎn)增值 |
17.10% |
1 |
20.82% |
1 |
6.11% |
高 |
10.31% |
1 |
29.65% |
161902 |
萬(wàn)家保本增值 |
4.12% |
3 |
7.06% |
2 |
1.31% |
低 |
2.93% |
4 |
10.43% |
180002 |
銀華保本增值 |
4.75% |
2 |
6.30% |
4 |
1.68% |
中 |
3.50% |
3 |
6.56% |
070007 |
嘉實(shí)浦安保本 |
2.28% |
5 |
4.76% |
5 |
1.74% |
高 |
2.54% |
5 |
6.96% |
020006 |
國(guó)泰金象保本 |
3.71% |
4 |
6.34% |
3 |
1.32% |
中 |
3.56% |
2 |
7.19% |
平均 |
6.39% |
-- |
9.06% |
-- |
-- |
-- |
4.57% |
-- |
-- |
( 七 ) 指數(shù)型基金 |
180003 |
銀華-道瓊斯88 |
30.15% |
1 |
26.69% |
1 |
14.27% |
中 |
23.36% |
1 |
32.33% |
161604 |
融通深證100指數(shù) |
26.48% |
2 |
18.14% |
2 |
15.32% |
高 |
20.20% |
2 |
11.60% |
200002 |
長(zhǎng)城久泰300指數(shù) |
18.79% |
3 |
13.68% |
3 |
15.42% |
高 |
16.44% |
3 |
1.91% |
161607 |
融通巨潮100指數(shù) |
18.29% |
4 |
22.59% |
-- |
10.33% |
-- |
15.53% |
4 |
22.59% |
040002 |
華安中國(guó)A股指數(shù) |
14.10% |
6 |
12.43% |
4 |
14.12% |
低 |
13.32% |
7 |
12.47% |
159901 |
易方達(dá)深證100指數(shù)ETF |
2.00% |
-- |
2.00% |
-- |
0.00% |
-- |
2.00% |
-- |
2.00% |
050002 |
博時(shí)裕富指數(shù) |
15.80% |
5 |
10.49% |
6 |
15.21% |
高 |
14.06% |
6 |
3.90% |
160706 |
嘉實(shí)滬深300指數(shù) |
16.69% |
-- |
13.31% |
-- |
10.27% |
-- |
15.50% |
5 |
13.31% |
519180 |
萬(wàn)家上證180指數(shù) |
12.75% |
7 |
9.67% |
7 |
12.09% |
低 |
12.65% |
8 |
-2.40% |
110003 |
易方達(dá)50指數(shù) |
12.62% |
8 |
10.82% |
5 |
14.43% |
中 |
10.34% |
10 |
-3.65% |
510050 |
華夏上證50指數(shù)ETF |
11.19% |
9 |
9.36% |
8 |
14.63% |
中 |
10.57% |
9 |
6.49% |
平均 |
17.80% |
-- |
13.91% |
-- |
-- |
-- |
15.20% |
-- |
-- |
制表:中國(guó)銀河證券基金研究中心。 截至: 2006-03-17
備注:本計(jì)算結(jié)果由“中國(guó)銀河證券基金分析系統(tǒng)”自動(dòng)生成。
如有疑問(wèn),請(qǐng)與中國(guó)銀河證券基金研究中心聯(lián)系。 |
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