基金代码 |
基金简称 |
单位净值(元) |
折价率(%) |
基金存续期 截至日 |
2005/2/1-2005/3/28 市场表现 |
2004/9/23-2005/3/28 市场表现 |
184692 |
基金裕隆 |
0.9641 |
-42.33 |
2014-6-14 |
-6.13% |
-18.97% |
184693 |
基金普丰 |
0.8955 |
-42.16 |
2014-7-14 |
-4.28% |
-18.80% |
184699 |
基金同盛 |
0.9144 |
-41.82 |
2014-11-5 |
-5.75% |
-17.97% |
184728 |
基金鸿阳 |
0.9787 |
-41.56 |
2016-12-9 |
-3.42% |
-12.81% |
184721 |
基金丰和 |
1.0486 |
-41.54 |
2017-3-22 |
-3.65% |
-10.46% |
500018 |
基金兴和 |
0.938 |
-41.47 |
2014-7-13 |
-9.14% |
-26.24% |
184690 |
基金同益 |
0.9821 |
-41.45 |
2014-4-8 |
-3.38% |
-11.59% |
184701 |
基金景福 |
0.9001 |
-41.45 |
2014-12-30 |
-4.05% |
-18.72% |
184691 |
基金景宏 |
0.885 |
-41.24 |
2014-5-5 |
-3.55% |
-15.55% |
184722 |
基金久嘉 |
1.0827 |
-40.89 |
2017-7-4 |
-0.94% |
-5.08% |
500011 |
基金金鑫 |
0.9447 |
-40.72 |
2014-10-21 |
-9.33% |
-22.95% |
184689 |
基金普惠 |
0.9445 |
-40.6 |
2014-1-6 |
-3.14% |
-20.57% |
500005 |
基金汉盛 |
1.008 |
-40.18 |
2014-5-17 |
-5.30% |
-13.49% |
500015 |
基金汉兴 |
0.8719 |
-40.13 |
2014-12-30 |
-6.90% |
-18.83% |
500002 |
基金泰和 |
0.9778 |
-39.87 |
2014-4-7 |
-5.83% |
-19.97% |
500038 |
基金通乾 |
1.0064 |
-39.29 |
2016-8-28 |
-5.79% |
-16.04% |
184698 |
基金天元 |
1.0817 |
-38.89 |
2014-8-25 |
-2.97% |
-12.47% |
500009 |
基金安顺 |
1.0574 |
-38.62 |
2014-6-14 |
-2.30% |
-12.03% |
500056 |
基金科瑞 |
1.1766 |
-38.38 |
2017-3-12 |
-3.62% |
-13.69% |
500001 |
基金金泰 |
1.0249 |
-37.75 |
2013-3-27 |
-5.30% |
-14.60% |
500003 |
基金安信 |
1.0647 |
-37.64 |
2013-6-22 |
-1.36% |
-7.52% |
184706 |
基金天华 |
0.8493 |
-37.24 |
2009-7-11 |
1.68% |
-9.77% |
184688 |
基金开元 |
1.0585 |
-37.08 |
2013-3-27 |
-2.23% |
-9.85% |
500058 |
基金银丰 |
0.999 |
-36.94 |
2017-8-14 |
-4.92% |
-23.51% |
500006 |
基金裕阳 |
1.0366 |
-36.33 |
2013-7-25 |
-6.93% |
-16.34% |
500008 |
基金兴华 |
1.1356 |
-30.96 |
2013-4-28 |
-11.91% |
-21.45% |
184705 |
基金裕泽 |
1.2583 |
-24.98 |
2011-5-31 |
-0.32% |
4.32% |
500007 |
基金景阳 |
1.0311 |
-24.84 |
2007-12-31 |
5.50% |
7.08% |
184703 |
基金金盛 |
1.0127 |
-24.16 |
2009-11-30 |
3.60% |
-11.92% |
184713 |
基金科翔 |
1.3246 |
-23.83 |
2008-12-13 |
1.51% |
4.12% |
184712 |
基金科汇 |
1.5293 |
-23.23 |
2008-12-13 |
0.09% |
12.99% |
184719 |
基金融鑫 |
1.1858 |
-22.75 |
2008-2-4 |
1.42% |
3.00% |
500029 |
基金科讯 |
1.1969 |
-22.72 |
2008-1-11 |
2.31% |
8.91% |
500025 |
基金汉鼎 |
0.8958 |
-22.53 |
2008-12-31 |
0.43% |
-3.48% |
184700 |
基金鸿飞 |
0.962 |
-22.35 |
2008-4-14 |
-0.67% |
-3.88% |
184695 |
基金景博 |
0.9148 |
-21.73 |
2007-6-30 |
3.87% |
8.55% |
184709 |
基金安久 |
0.875 |
-20.34 |
2007-8-30 |
-3.88% |
-9.88% |
184718 |
基金兴安 |
1.0289 |
-20.3 |
2007-12-29 |
1.73% |
8.31% |
184711 |
基金普华 |
0.7444 |
-19.8 |
2007-5-28 |
-1.64% |
-6.10% |
500016 |
基金裕元 |
1.1252 |
-19.57 |
2007-5-31 |
2.02% |
6.71% |
500039 |
基金同德 |
1.1308 |
-19.53 |
2007-11-30 |
4.94% |
15.02% |
184720 |
基金久富 |
0.9729 |
-19.42 |
2007-5-20 |
0.38% |
4.64% |
184696 |
基金裕华 |
1.1002 |
-18.92 |
2007-7-31 |
2.17% |
7.31% |
184710 |
基金隆元 |
0.9337 |
-18.82 |
2007-12-29 |
1.76% |
7.58% |
500021 |
基金金鼎 |
0.9485 |
-17.98 |
2007-5-31 |
2.63% |
4.56% |
184738 |
基金通宝 |
0.9055 |
-17.39 |
2007-5-30 |
0.00% |
3.31% |
500010 |
基金金元 |
0.9921 |
-17.25 |
2007-5-27 |
1.36% |
9.92% |
500017 |
基金景业 |
0.88 |
-17.05 |
2007-3-30 |
4.85% |
12.56% |
184708 |
基金兴科 |
1.0553 |
-16.99 |
2007-5-30 |
2.33% |
2.09% |
500019 |
基金普润 |
0.9122 |
-16.14 |
2007-5-8 |
4.77% |
4.92% |
184702 |
基金同智 |
1.1079 |
-15.7 |
2007-3-13 |
3.54% |
9.73% |
500013 |
基金安瑞 |
0.9016 |
-15.59 |
2007-4-28 |
2.80% |
3.90% |
500035 |
基金汉博 |
0.9058 |
-14.55 |
2007-5-29 |
0.92% |
10.03% |
500028 |
基金兴业 |
0.8584 |
-11.93 |
2006-11-14 |
3.54% |
7.04% |
数据来源:上海证券报 民安证券研究所 李国正 2005-03-30 制表:新浪财经 辛淼 |
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