序号 基金代码 基金简称 单位净值(元) 净值日期 累计净值(元) 净值增长率 升贴水值(元) 升贴水率(%) 成立日期 到期日 基金经理
1184693基金普丰1.36842009-07-033.1428+3.7295%-0.3744-27.361999-07-142014-07-14陈鹏
2184698基金天元1.52422009-07-034.2502+4.0765%-0.3792-24.881999-08-252014-08-25陈键
3184692基金裕隆1.38332009-07-034.2523+3.1313%-0.3513-25.401999-06-152014-06-14孙占军
4184691基金景宏1.53162009-07-033.8316+4.9544%-0.3916-25.571999-05-052014-05-05袁青
5184690基金同益1.37502009-07-034.2790+3.0966%-0.3630-26.401999-04-082014-04-08冯耀东
6184699基金同盛1.07802009-07-033.1405+3.4251%-0.3010-27.921999-11-052014-11-05丁骏、侯继雄
7184703基金金盛1.55062009-07-034.1534+3.3182%-0.0296-1.911994-12-012009-11-30吴战峰、张玮
8184722基金久嘉1.00472009-07-033.7347+5.4029%-0.2547-25.352002-07-052017-07-04陈硕
9184728基金鸿阳0.81612009-07-032.3876+2.5509%-0.1961-24.032001-12-102016-12-09陈茂仁
10184721基金丰和0.93742009-07-033.6854+4.7257%-0.2494-26.612002-03-222017-03-22顾义河
11184705基金裕泽1.22392009-07-033.7939+3.9317%-0.0829-6.771996-05-312011-05-31陈亮
12184689基金普惠1.69082009-07-033.8428+4.0044%-0.4158-24.591999-01-062014-01-06冀洪涛
13184701基金景福1.52202009-07-032.9060+4.6840%-0.4010-26.351999-12-302014-12-30杨丹
14184688基金开元1.01852009-07-034.6495+1.5352%-0.2315-22.731998-03-272013-03-27汪澂
15500006基金裕阳1.65132009-07-034.5883+4.0451%-0.3503-21.211998-07-252013-07-25周力
16500008基金兴华1.54512009-07-035.2091+5.5973%-0.2881-18.651998-04-282013-04-28阳琨
17500005基金汉盛1.63362009-07-034.0842+2.2982%-0.4036-24.711999-05-182014-05-17朱少醒
18500003基金安信1.50272009-07-034.9147+4.0003%-0.3287-21.871998-06-222013-06-22陈俏宇
19500002基金泰和1.05392009-07-034.4839+4.7198%-0.2169-20.581999-04-082014-04-07忻怡
20500009基金安顺1.66462009-07-034.6026+2.7848%-0.3756-22.561999-06-152014-06-14尚志民
21500011基金金鑫1.12482009-07-033.0008+3.3824%-0.3078-27.361999-10-212014-10-21黄焱
22500056基金科瑞1.41542009-07-033.9174+4.9844%-0.3724-26.312002-03-122017-03-12付浩
23500058基金银丰1.20202009-07-033.3620+3.0875%-0.3360-27.952002-08-152017-08-14尚鹏岳
24500038基金通乾1.51962009-07-033.2726+3.8901%-0.4106-27.022001-08-292016-08-28郝继伦、刘泽兵
25500018基金兴和1.35272009-07-033.5007+4.3347%-0.3227-23.861999-07-142014-07-13阳琨
26500015基金汉兴1.36872009-07-032.5293+1.7696%-0.3887-28.401999-12-302014-12-30许达
27500001基金金泰1.21742009-07-033.9304+3.6438%-0.2684-22.051998-03-272013-03-26唐珂