标签:
杂谈 |
表一 七周净值
平均 | 4.31% |
银丰 | 1.81% |
科瑞 | 7.47% |
通乾 | 6.65% |
兴和 | 2.55% |
汉兴 | 4.37% |
金鑫 | 5.24% |
安顺 | 8.26% |
兴华 | 6.33% |
裕阳 | 0.24% |
汉盛 | 3.74% |
安信 | 3.84% |
泰和 | 2.05% |
金泰 | 5.46% |
鸿阳 | 1.43% |
久嘉 | 0.52% |
丰和 | 5.41% |
天华 | 3.47% |
裕泽 | 1.58% |
金盛 | 8.93% |
景福 | 3.06% |
同盛 | 4.39% |
天元 | 2.19% |
普丰 | 2.16% |
裕隆 | 3.19% |
景宏 | 7.79% |
同益 | 6.16% |
普惠 | 4.58% |
开元 | 1.14% |
建新 | 5.65% |
优选 | 7.02% |
表二 六周净值
平均 | 1.29% |
银丰 | -1.55% |
科瑞 | 4.18% |
通乾 | 2.44% |
兴和 | -0.26% |
汉兴 | 2.29% |
金鑫 | 1.21% |
安顺 | 2.91% |
兴华 | 2.73% |
裕阳 | -2.89% |
汉盛 | 1.07% |
安信 | 1.49% |
泰和 | -0.09% |
金泰 | 1.74% |
鸿阳 | -1.42% |
久嘉 | -1.44% |
丰和 | 9.26% |
天华 | 1.58% |
裕泽 | -2.50% |
金盛 | 5.67% |
景福 | -0.58% |
同盛 | 0.75% |
天元 | -1.53% |
普丰 | -0.72% |
裕隆 | -0.05% |
景宏 | 4.91% |
同益 | 1.88% |
普惠 | 2.54% |
开元 | -4.49% |
建新 | 3.03% |
优选 | 3.82% |
进取 |
0.13% |
名 **基金** 本周价 周价增 本周净 周净增 折价率
01 基金同益 0.640 +03.56% 0.9515 +04.274% -32.74%
02 基金同盛 0.518 +04.44% 0.7678 +03.645% -32.53%
03 基金金鑫 0.513 +03.22% 0.7549 +04.038% -32.04%
04 基金景福 0.705 +05.07% 1.0352 +03.644% -31.90%
05 基金普丰 0.679 +04.46% 0.9922 +02.883% -31.57%
06 基金兴和 0.619 +04.56% 0.9032 +02.812% -31.47%
07 基金金泰 0.593 +04.96% 0.8516 +03.715% -30.37%
08 基金天元 0.728 +03.70% 1.0405 +03.718% -30.03%
09 基金通乾 0.794 +06.15% 1.1303 +04.214% -29.75%
10 基金久嘉 0.480 +03.67% 0.6830 +01.956% -29.72%
11 基金鸿阳 0.438 +00.69% 0.6216 +02.846% -29.54%
12 基金银丰 0.589 +04.80% 0.8320 +03.354% -29.21%
13 基金科瑞 0.705 +01.88% 0.9769 +03.288% -27.83%
14 基金裕隆 0.701 +01.01% 0.9514 +03.234% -26.32%
15 基金汉兴 0.892 +06.06% 1.2079 +02.088% -26.15%
16 基金丰和 0.496 +04.64% 0.6699 -03.847% -25.96%
17 基金安顺 0.852 +01.79% 1.1503 +05.348% -25.93%
18 基金景宏 0.947 +07.37% 1.2652 +02.879% -25.15%
19 基金普惠 0.935 +07.97% 1.2300 +02.041% -23.98%
20 基金开元 0.581 +03.01% 0.7608 +05.623% -23.63%
21 基金泰和 0.543 +02.45% 0.7026 +02.137% -22.72%
22 大成优选 0.429 +03.37% 0.5490 +03.195% -21.86%
23 基金兴华 0.800 +00.00% 1.0233 +03.604% -21.82%
24 基金安信 1.038 +05.27% 1.3100 +02.352% -20.76%
25 基金汉盛 1.152 +06.77% 1.4437 +02.667% -20.21%
26 建信优势 0.469 +00.43% 0.5870 +02.622% -20.10%
27 基金裕阳 1.011 +00.00% 1.2599 +03.135% -19.76%
28 基金裕泽 0.693 +01.61% 0.8324 +04.076% -16.75%
29 基金金盛 0.983 +03.58% 1.0750 +03.266% -08.56%
30 基金天华 0.720 +02.86% 0.7705 +01.891% -06.55%