基金代码 |
基金名称 |
单位净值(元) |
最近一周 |
最近一月 |
季度(13周) |
半年(26周) |
净值
增长率 |
排序 |
净值
增长率 |
排序 |
净值
增长率 |
排序 |
净值
增长率 |
排序 |
184700 |
鸿飞 |
0.9233 |
3.43% |
19 |
9.05% |
22 |
3.58% |
48 |
10.80% |
46 |
184728 |
鸿阳 |
0.9694 |
3.77% |
9 |
10.03% |
6 |
3.67% |
46 |
10.41% |
47 |
184696 |
裕华 |
1.0746 |
2.97% |
32 |
6.34% |
53 |
2.90% |
50 |
8.57% |
54 |
184692 |
裕隆 |
0.9971 |
3.37% |
22 |
8.00% |
38 |
4.65% |
30 |
11.66% |
40 |
500006 |
裕阳 |
1.0899 |
3.33% |
24 |
9.52% |
14 |
8.72% |
2 |
19.01% |
1 |
500016 |
裕元 |
1.1139 |
2.57% |
44 |
6.97% |
47 |
4.52% |
32 |
12.65% |
33 |
184705 |
裕泽 |
1.1726 |
2.71% |
41 |
6.86% |
49 |
3.59% |
47 |
11.20% |
43 |
184720 |
久富 |
1.0646 |
2.59% |
42 |
8.53% |
28 |
7.44% |
7 |
16.76% |
9 |
184722 |
久嘉 |
1.1074 |
3.45% |
18 |
9.26% |
17 |
5.50% |
23 |
9.69% |
50 |
500039 |
同德 |
1.1689 |
3.28% |
26 |
8.93% |
24 |
8.08% |
4 |
17.27% |
5 |
184699 |
同盛 |
0.9637 |
2.88% |
33 |
6.95% |
48 |
5.52% |
21 |
14.55% |
21 |
184690 |
同益 |
1.0910 |
3.41% |
21 |
9.15% |
20 |
7.12% |
10 |
16.77% |
8 |
184702 |
同智 |
1.1851 |
2.85% |
34 |
8.22% |
34 |
6.89% |
11 |
17.01% |
6 |
184695 |
景博 |
0.9478 |
2.50% |
47 |
6.75% |
50 |
3.77% |
45 |
12.42% |
36 |
184701 |
景福 |
0.9504 |
3.42% |
20 |
9.23% |
19 |
7.87% |
5 |
16.23% |
11 |
184691 |
景宏 |
0.9565 |
3.4 5 % |
17 |
9.89% |
9 |
4.23% |
34 |
11.20% |
44 |
500007 |
景阳 |
1.1174 |
3.21% |
29 |
10.11% |
4 |
5.44% |
25 |
16.12% |
13 |
500017 |
景业 |
0.9211 |
1.64% |
53 |
7.17% |
46 |
7.68% |
6 |
15.69% |
15 |
500035 |
汉博 |
0.9939 |
4.07% |
3 |
9.92% |
8 |
5.49% |
24 |
16.93% |
7 |
500025 |
汉鼎 |
0.9507 |
3.91% |
6 |
9.63% |
11 |
7.34% |
8 |
13.54% |
25 |
500005 |
汉盛 |
1.0420 |
4.26% |
1 |
9.83% |
10 |
5.01% |
29 |
10.80% |
45 |
500015 |
汉兴 |
0.8828 |
3.11% |
30 |
7.63% |
41 |
4.02% |
37 |
9.11% |
53 |
500021 |
金鼎 |
1.0457 |
3.72% |
10 |
9.49% |
15 |
4.13% |
36 |
14.84% |
20 |
184703 |
金盛 |
1.0796 |
2.77% |
38 |
8.02% |
37 |
3.92% |
41 |
13.67% |
24 |
500001 |
金泰 |
1.0185 |
4.06% |
4 |
8.64% |
27 |
3.51% |
49 |
10.02% |
49 |
500011 |
金鑫 |
0.9781 |
2.82% |
36 |
6.50% |
51 |
1.60% |
54 |
9.65% |
51 |
184719 |
融鑫 |
1.0787 |
1.79% |
52 |
7.50% |
42 |
3.81% |
43 |
11.69% |
39 |
184709 |
安久 |
0.8861 |
2.24% |
50 |
9.97% |
7 |
4.01% |
38 |
13.43% |
26 |
500013 |
安瑞 |
0.9401 |
1.41% |
54 |
7.24% |
45 |
3.94% |
40 |
16.18% |
12 |
500009 |
安顺 |
1.1698 |
3.67% |
11 |
8.96% |
23 |
6.86% |
12 |
18.86% |
2 |
500003 |
安信 |
1.0968 |
3.05% |
31 |
7.89% |
40 |
4.16% |
35 |
11.57% |
42 |
184718 |
兴安 |
1.0506 |
2.44% |
48 |
8.18% |
36 |
2.29% |
52 |
10.26% |
48 |
500018 |
兴和 |
0.9658 |
2.35% |
49 |
6.38% |
52 |
2.02% |
53 |
11.80% |
38 |
500008 |
兴华 |
1.0469 |
2.57% |
45 |
8.36% |
31 |
5.70% |
19 |
12.45% |
35 |
184708 |
兴科 |
1.0950 |
4.20% |
2 |
10.27% |
1 |
3.94% |
39 |
12.89% |
31 |
500028 |
兴业 |
0.8977 |
2.79% |
37 |
9.60% |
12 |
5.33% |
26 |
13.07% |
27 |
184721 |
丰和 |
1.0843 |
3.56% |
15 |
8.19% |
35 |
5.30% |
28 |
11.90% |
37 |
500002 |
泰和 |
1.0798 |
2.51% |
46 |
8.41% |
30 |
6.31% |
14 |
18.08% |
3 |
500010 |
金元 |
1.0468 |
2.71% |
40 |
6.16% |
54 |
6.16% |
15 |
13.83% |
23 |
184688 |
开元 |
1.0949 |
2.59% |
43 |
7.33% |
43 |
5.51% |
22 |
13.00% |
29 |
184710 |
隆元 |
0.9248 |
2.82% |
35 |
7.29% |
44 |
8.11% |
3 |
15.41% |
17 |
184698 |
天元 |
1.1345 |
3.25% |
27 |
8.43% |
29 |
7.33% |
9 |
15.41% |
18 |
184693 |
普丰 |
0.9833 |
3. 79 % |
8 |
8.87% |
25 |
6.33% |
13 |
16.34% |
10 |
184711 |
普华 |
0.7969 |
3.86% |
7 |
10.21% |
3 |
5.87% |
18 |
15.48% |
16 |
184689 |
普惠 |
1.0044 |
3.25% |
28 |
7.90% |
39 |
3.80% |
44 |
13.07% |
28 |
500019 |
普润 |
0.9892 |
3.55% |
16 |
9.28% |
16 |
4.58% |
31 |
14.88% |
19 |
184738 |
通宝 |
0.9609 |
4.03% |
5 |
10.11% |
5 |
8.79% |
1 |
15.76% |
14 |
500038 |
通乾 |
1.0002 |
2.16% |
51 |
9.11% |
21 |
5.31% |
27 |
12.48% |
34 |
184712 |
科汇 |
1.4072 |
3.58% |
13 |
9.55% |
13 |
6.08% |
16 |
17.93% |
4 |
500056 |
科瑞 |
1.2449 |
3.58% |
12 |
8.29% |
32 |
4.42% |
33 |
11.62% |
41 |
184713 |
科翔 |
1.2705 |
2.74% |
39 |
8.24% |
33 |
2.66% |
51 |
12.91% |
30 |
500029 |
科讯 |
1.1823 |
3.36% |
23 |
8.73% |
26 |
3.83% |
42 |
9.54% |
52 |
500058 |
银丰 |
1.0390 |
3.28% |
25 |
9.25% |
18 |
5.91% |
17 |
14.18% |
22 |
184706 |
天华 |
0.8764 |
3.57% |
14 |
10.23% |
2 |
5.65% |
20 |
12.84% |
32 |
平 均 |
3.12% |
- |
8.53% |
- |
5.19% |
- |
13.58% |
- |
同期上海A股指数增长幅度 |
4.13% |
- |
8.58% |
- |
4.72% |
- |
18.91% |
- |
同期复合指数增长幅度 |
3.03% |
- |
6.39% |
- |
3.55% |
- |
14.17% |
- |
制表:中国银河证券基金研究中心。 截至:2006-01-06
备注:本计算结果由“中国银河证券基金分析系统”自动生成。
如有疑问,请与中国银河证券基金研究中心联系。 |
开放式基金:
2006年1月6日银河证券开放式基金评级(表1)
2006年1月6日银河证券开放式基金评级(表2)
股票类基金收益良好 货币基金收益较年前下降
封闭式基金:
2006年1月6日银河证券封闭式基金评级(表1)
2006年1月6日银河证券封闭式基金评级(表2)
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货币市场基金:
2006年1月6日银河证券货币市场基金评级(表1)
2006年1月6日银河证券货币市场基金评级(表2)
新浪声明:本版文章内容纯属作者个人观点,仅供投资者参考,并不构成投资建议。投资者据此操作,风险自担。
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