基金
代碼 |
基金名稱 |
管理公司 |
到期日期 |
基金規模(億份) |
單位凈值(元) |
收盤價(元) |
隱含收益率 |
最近一周 |
最近一月 |
折價率 |
凈值增長率 |
排序 |
凈值增長率 |
排序 |
184706 |
天華 |
銀華 |
2009-07-11 |
25 |
1.3025 |
0.842 |
54.69% |
5.92% |
20 |
18.68% |
15 |
-35.36% |
500001 |
金泰 |
國泰 |
2013-03-27 |
20 |
1.5095 |
0.824 |
83.19% |
6.74% |
12 |
15.81% |
28 |
-45.41% |
184688 |
開元 |
南方 |
2013-03-27 |
20 |
1.6355 |
0.886 |
84.59% |
6.31% |
15 |
31.22% |
1 |
-45.83% |
500008 |
興華 |
華夏 |
2013-04-28 |
20 |
1.6329 |
0.912 |
79.05% |
5.83% |
21 |
18.19% |
17 |
-44.15% |
500003 |
安信 |
華安 |
2013-06-22 |
20 |
1.5638 |
0.893 |
75.12% |
4.24% |
34 |
17.91% |
20 |
-42.90% |
500006 |
裕陽 |
博時 |
2013-07-25 |
20 |
1.3567 |
0.737 |
84.08% |
4.22% |
36 |
13.51% |
42 |
-45.68% |
184689 |
普惠 |
鵬華 |
2014-01-06 |
20 |
1.3906 |
0.731 |
90.23% |
4.90% |
28 |
12.64% |
49 |
-47.43% |
500002 |
泰和 |
嘉實 |
2014-04-07 |
20 |
1.4786 |
0.800 |
84.83% |
3.52% |
41 |
15.07% |
34 |
-45.89% |
184690 |
同益 |
長盛 |
2014-04-08 |
20 |
1.4874 |
0.804 |
85.00% |
3.16% |
44 |
13.49% |
43 |
-45.95% |
184691 |
景宏 |
大成 |
2014-05-05 |
20 |
1.3292 |
0.725 |
83.34% |
3.91% |
39 |
12.22% |
50 |
-45.46% |
500005 |
漢盛 |
富國 |
2014-05-09 |
20 |
1.4514 |
0.766 |
89.48% |
4.25% |
33 |
16.80% |
22 |
-47.22% |
500009 |
安順 |
華安 |
2014-06-14 |
30 |
1.5961 |
0.905 |
76.36% |
2.83% |
48 |
14.60% |
37 |
-43.30% |
184692 |
裕隆 |
博時 |
2014-06-14 |
30 |
1.3673 |
0.703 |
94.50% |
4.61% |
32 |
13.83% |
38 |
-48.58% |
500018 |
興和 |
華夏 |
2014-07-13 |
30 |
1.3711 |
0.706 |
94.21% |
4.18% |
37 |
18.16% |
18 |
-48.51% |
184693 |
普豐 |
鵬華 |
2014-07-14 |
30 |
1.3475 |
0.700 |
92.50% |
3.55% |
40 |
12.91% |
46 |
-48.05% |
184698 |
天元 |
南方 |
2014-08-25 |
30 |
1.5176 |
0.793 |
91.37% |
4.23% |
35 |
18.77% |
14 |
-47.75% |
500011 |
金鑫 |
國泰 |
2014-10-20 |
30 |
1.4926 |
0.786 |
89.90% |
8.03% |
4 |
22.40% |
5 |
-47.34% |
184699 |
同盛 |
長盛 |
2014-11-05 |
30 |
1.2648 |
0.647 |
95.49% |
3.43% |
42 |
12.93% |
45 |
-48.85% |
500015 |
漢興 |
富國 |
2014-12-30 |
30 |
1.2027 |
0.638 |
88.51% |
1.78% |
53 |
15.21% |
30 |
-46.95% |
184701 |
景福 |
大成 |
2014-12-30 |
30 |
1.2107 |
0.634 |
90.96% |
1.05% |
54 |
9.91% |
53 |
-47.63% |
500038 |
通乾 |
融通 |
2016-08-28 |
20 |
1.3800 |
0.716 |
92.74% |
6.79% |
11 |
18.05% |
19 |
-48.12% |
184728 |
鴻陽 |
寶盈 |
2016-12-09 |
20 |
1.4115 |
0.735 |
92.04% |
2.51% |
49 |
13.58% |
41 |
-47.93% |
500056 |
科瑞 |
易方達 |
2017-03-12 |
30 |
1.7043 |
0.951 |
79.21% |
6.70% |
13 |
15.01% |
36 |
-44.20% |
184721 |
豐和 |
嘉實 |
2017-03-22 |
30 |
1.4127 |
0.737 |
91.68% |
2.34% |
50 |
12.79% |
48 |
-47.83% |
184722 |
久嘉 |
長城 |
2017-07-05 |
20 |
1.7480 |
0.959 |
82.27% |
7.05% |
7 |
19.64% |
12 |
-45.14% |
500058 |
銀豐 |
銀河 |
2017-08-14 |
30 |
1.3690 |
0.747 |
83.27% |
4.66% |
31 |
15.07% |
33 |
-45.43% |
平均值 |
85.72% |
平均值 |
-46.03% |
數據來源:中國銀河證券基金研究中心 截至:2006-06-02 |
相關數據:
2006年6月2日小盤封閉式基金隱含收益率統計
新浪聲明:本版文章內容純屬作者個人觀點,僅供投資者參考,并不構成投資建議。投資者據此操作,風險自擔。
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