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05年7月18日中信证券封闭式基金评级结果一览


http://finance.sina.com.cn 2005年07月18日 14:03 中信证券

基金规模

基金名称

中信评级(1年)

收盘价

本周涨跌

本年累计收益

单位净值

净值收益

本年累计净值收益

折价率

本周换手率

本年累计换手率

30

基金景福

★★

0.427

1.43%

-27.75%

0.8348

2.09%

-8.79%

-48.85%

1.41%

18.99%

20

基金鸿阳

★★★

0.461

1.99%

-23.93%

0.899

2.39%

-5.40%

-48.72%

0.94%

27.23%

30

基金普丰

★★★

0.445

2.53%

-19.68%

0.8656

2.41%

-2.36%

-48.59%

1.12%

26.52%

30

基金汉兴

★★★

0.426

1.43%

-27.18%

0.8256

2.04%

-6.35%

-48.40%

0.62%

19.76%

30

基金裕隆

★★

0.47

1.08%

-21.54%

0.9062

1.48%

-6.16%

-48.14%

0.43%

27.96%

20

基金普惠

★★

0.47

1.95%

-22.44%

0.9011

1.44%

-4.28%

-47.84%

0.35%

13.84%

30

基金金鑫

★★

0.475

0.85%

-22.64%

0.9102

2.04%

-7.55%

-47.81%

0.41%

20.57%

30

基金同盛

★★★

0.448

2.05%

-21.40%

0.8583

2.02%

-5.24%

-47.80%

0.41%

17.54%

20

基金通乾

★★

0.473

1.28%

-25.84%

0.9046

1.73%

-9.96%

-47.71%

0.27%

12.28%

20

基金同益

★★★★

0.503

2.65%

-17.27%

0.956

2.32%

-0.28%

-47.38%

1.78%

30.25%

30

基金兴和

0.461

1.77%

-25.53%

0.8747

1.25%

-10.03%

-47.30%

0.67%

30.06%

30

基金天元

★★★

0.53

1.53%

-21.71%

1.0031

2.04%

-4.55%

-47.16%

0.92%

15.14%

30

基金丰和

★★★★

0.526

2.94%

-15.19%

0.989

2.06%

-1.32%

-46.81%

1.03%

41.48%

20

基金汉盛

★★★

0.515

2.79%

-17.20%

0.9603

2.12%

-3.19%

-46.37%

0.89%

16.70%

30

基金银丰

★★

0.501

1.83%

-24.27%

0.926

1.76%

-7.39%

-45.90%

0.94%

38.61%

20

基金景宏

★★★★

0.476

3.48%

-17.79%

0.8795

2.24%

1.42%

-45.88%

0.54%

19.63%

20

基金久嘉

★★★★

0.558

4.30%

-12.68%

1.03

2.02%

0.98%

-45.83%

1.63%

58.80%

20

基金金泰

★★★

0.511

1.39%

-19.37%

0.9423

1.79%

-5.88%

-45.77%

0.47%

15.98%

20

基金泰和

★★

0.512

1.99%

-17.55%

0.9405

2.84%

-5.35%

-45.56%

0.35%

15.06%

20

基金裕阳

★★

0.514

2.80%

-21.73%

0.928

1.33%

-7.23%

-44.61%

0.36%

19.59%

20

基金开元

★★★

0.555

2.59%

-19.45%

0.9893

2.11%

-4.18%

-43.90%

0.37%

16.44%

30

基金安顺

★★★★

0.565

1.62%

-14.34%

0.9981

1.41%

-0.36%

-43.39%

0.52%

13.85%

30

基金科瑞

★★★★★

0.671

3.23%

-13.08%

1.1397

2.19%

0.57%

-41.12%

1.38%

38.33%

20

基金兴华

★★

0.558

1.27%

-23.60%

0.9461

1.62%

-6.72%

-41.02%

0.46%

37.03%

20

基金安信

★★★★

0.599

0.00%

-11.12%

1.0006

1.78%

-1.13%

-40.14%

0.27%

17.25%

25

基金天华

★★

0.487

2.10%

-11.13%

0.7899

1.70%

-7.07%

-38.35%

2.77%

41.29%

10

基金景博

★★★

0.677

3.83%

1.35%

0.8586

1.84%

-5.36%

-21.15%

1.28%

30.82%

10

基金景阳

★★★

0.785

4.81%

10.10%

0.9736

1.17%

-0.23%

-19.37%

1.27%

46.87%

15

基金裕元

★★★

0.825

3.25%

4.90%

1.0065

1.79%

-1.84%

-18.03%

0.74%

27.72%

5

基金金盛

★★★

0.652

3.49%

-13.90%

0.9669

1.80%

-5.01%

-32.57%

1.30%

38.42%

5

基金裕泽

★★★★★

0.75

2.88%

-6.17%

1.069

1.38%

-1.45%

-29.84%

1.74%

40.48%

5

基金汉鼎

★★★

0.627

4.67%

-9.00%

0.857

2.35%

-4.01%

-26.84%

0.92%

21.57%

5

基金鸿飞

0.637

3.58%

-14.15%

0.8455

1.46%

-14.56%

-24.66%

0.36%

20.41%

8

基金科翔

★★★★★

0.873

3.80%

2.01%

1.1476

1.99%

2.27%

-23.93%

1.27%

58.96%

8

基金科汇

★★★★★

0.922

2.90%

0.31%

1.2099

1.40%

0.88%

-23.80%

1.69%

96.61%

8

基金融鑫

★★★

0.761

3.96%

-1.04%

0.9902

2.53%

-4.94%

-23.15%

0.52%

28.24%

5

基金普华

0.564

1.26%

-5.05%

0.7028

1.84%

-4.54%

-19.75%

0.84%

25.32%

5

基金同德

★★★★★

0.83

2.85%

4.26%

1.0242

2.75%

-0.50%

-18.96%

0.82%

32.19%

8

基金科讯

★★★★

0.895

2.99%

6.24%

1.1027

2.17%

-1.02%

-18.84%

0.95%

31.57%

5

基金久富

★★★

0.755

3.42%

-3.82%

0.9283

1.81%

-4.33%

-18.67%

0.41%

21.46%

5

基金通宝

★★

0.691

2.37%

-6.11%

0.8479

2.14%

-9.25%

-18.50%

0.32%

19.15%

5

基金安久

0.649

2.69%

-6.62%

0.7963

1.93%

-8.51%

-18.50%

0.84%

56.35%

5

基金兴安

★★★★

0.794

4.20%

1.28%

0.9734

2.16%

-2.07%

-18.43%

0.64%

18.01%

5

基金景业

★★★

0.672

2.60%

1.51%

0.8204

3.04%

-4.00%

-18.09%

0.30%

41.99%

5

基金普润

★★★

0.722

3.74%

1.69%

0.8796

2.15%

-1.79%

-17.92%

0.68%

25.59%

5

基金汉博

★★★

0.712

4.25%

-1.93%

0.8657

1.85%

-5.46%

-17.75%

0.68%

18.60%

5

基金裕华

★★★★

0.824

3.26%

2.67%

1.0012

1.15%

-1.29%

-17.70%

0.44%

23.96%

5

基金金鼎

★★★

0.769

1.18%

2.53%

0.9337

2.54%

-0.92%

-17.64%

0.62%

17.31%

5

基金安瑞

0.672

1.20%

-7.31%

0.8157

0.80%

-9.93%

-17.62%

0.23%

14.85%

5

基金兴科

★★★★

0.822

3.79%

1.05%

0.9913

2.20%

-1.04%

-17.08%

0.47%

23.22%

5

基金隆元

0.684

3.64%

-2.01%

0.8154

1.76%

-6.11%

-16.11%

0.28%

26.80%

5

基金金元

★★★

0.792

2.46%

3.66%

0.9426

2.50%

-1.19%

-15.98%

0.84%

22.49%

5

基金同智

★★★★

0.889

2.66%

5.63%

1.0426

2.94%

-0.29%

-14.73%

0.59%

32.26%

5

基金兴业

★★★

0.716

0.56%

0.56%

0.806

1.52%

-5.22%

-11.17%

0.40%

28.34%

817

基金指数

 

751.28

2.35%

-15.00%

0.9338

1.93%

-4.41%

-40.45%

0.83%

27.00%

680

大型基金

 

737.63

2.15%

-18.48%

0.9304

1.91%

-4.57%

-44.54%

0.85%

25.72%

137

小型基金

 

637.35

3.02%

-1.06%

0.9506

2.01%

-3.58%

-20.15%

0.76%

33.33%

 

中标300

 

676.89

1.28%

-17.10%

           
 

基金
总市值

   

455.34

(亿元)

 

基金
总净值

762.88

(亿元)

   
资料来源:中信证券研究咨询部 胡浩 截至:2005-07-15  制表:新浪财经 辛淼


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