基金
代码 |
基金名称 |
七日年化收益率 |
最近一周 |
前周 |
最近一月 |
季度(13周) |
半年(26周) |
净值
增长率 |
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 |
(八)货币型基金A |
288101 |
中信现金优势 |
2.275% |
0.0431% |
0.0382% |
14 |
0.1559% |
7 |
0.5139% |
13 |
0.9776% |
- |
050003 |
博时现金收益 |
1.998% |
0.0422% |
0.0419% |
6 |
0.1581% |
6 |
0.5157% |
10 |
0.9742% |
10 |
519999 |
长信利息收益 |
1.988% |
0.0414% |
0.0371% |
18 |
0.1534% |
11 |
0.5249% |
6 |
0.9916% |
4 |
090005 |
大成货币A |
1.980% |
0.0411% |
0.0382% |
15 |
0.1526% |
14 |
0.5105% |
17 |
0.9764% |
- |
510005 |
海富通货币 |
1.983% |
0.0408% |
0.0406% |
9 |
0.1530% |
12 |
0.5148% |
11 |
0.9869% |
7 |
240006 |
华宝兴业现金宝A |
2.112% |
0.0401% |
0.0401% |
12 |
0.1677% |
4 |
0.5302% |
4 |
0.9757% |
9 |
162206 |
湘财荷银货币 |
2.052% |
0.0394% |
0.0392% |
- |
0.1533% |
- |
0.3011% |
- |
0.3011% |
- |
040003 |
华安现金富利 |
2.043% |
0.0392% |
0.0408% |
8 |
0.1559% |
8 |
0.5240% |
7 |
0.9987% |
3 |
270004 |
广发货币 |
2.039% |
0.0391% |
0.0378% |
17 |
0.1501% |
20 |
0.5015% |
20 |
0.9583% |
- |
202301 |
南方现金增利 |
2.035% |
0.0390% |
0.0461% |
4 |
0.1726% |
2 |
0.5592% |
1 |
1.0160% |
1 |
080011 |
长盛货币 |
2.050% |
0.0389% |
0.0358% |
- |
0.1401% |
- |
0.1401% |
- |
0.1401% |
- |
160606 |
鹏华货币 |
2.031% |
0.0389% |
0.0382% |
16 |
0.1524% |
15 |
0.5132% |
14 |
0.9793% |
- |
290001 |
泰信天天收益 |
2.028% |
0.0389% |
0.0403% |
10 |
0.1507% |
19 |
0.5067% |
18 |
0.9704% |
12 |
360003 |
光大保德信货币 |
2.012% |
0.0382% |
0.0385% |
13 |
0.1529% |
13 |
0.5116% |
16 |
0.9372% |
- |
200003 |
长城货币 |
2.001% |
0.0380% |
0.0412% |
7 |
0.1541% |
10 |
0.5039% |
19 |
0.9783% |
- |
003003 |
华夏现金增利 |
2.001% |
0.0380% |
0.0488% |
3 |
0.1681% |
3 |
0.5369% |
2 |
1.0054% |
2 |
070008 |
嘉实货币 |
1.945% |
0.0373% |
0.0369% |
21 |
0.1508% |
18 |
0.5181% |
9 |
0.9568% |
13 |
150005 |
银河银富货币 |
1.961% |
0.0372% |
0.0507% |
2 |
0.1627% |
5 |
0.5183% |
8 |
0.9718% |
11 |
110006 |
易方达货币 |
1.937% |
0.0371% |
0.0402% |
11 |
0.1542% |
9 |
0.5290% |
5 |
0.9882% |
6 |
320002 |
诺安货币 |
1.931% |
0.0370% |
0.0369% |
20 |
0.1518% |
16 |
0.5147% |
12 |
0.9825% |
8 |
180008 |
银华货币A |
1.921% |
0.0365% |
0.0648% |
1 |
0.1750% |
1 |
0.5306% |
3 |
0.9916% |
5 |
020007 |
国泰货币 |
1.895% |
0.0364% |
0.0369% |
19 |
0.1495% |
21 |
0.5132% |
15 |
0.9253% |
- |
163802 |
中银国际货币 |
1.884% |
0.0361% |
0.0430% |
5 |
0.1511% |
17 |
0.4899% |
21 |
0.8060% |
- |
260102 |
景顺长城货币 |
1.743% |
0.0334% |
0.0335% |
22 |
0.1344% |
22 |
0.4828% |
- |
0.9165% |
- |
217004 |
招商现金增值 |
1.444% |
0.0275% |
0.0320% |
23 |
0.1232% |
23 |
0.4239% |
22 |
0.8569% |
14 |
370010 |
上投摩根货币A |
1.308% |
0.0251% |
0.0265% |
24 |
0.0926% |
24 |
0.3022% |
23 |
0.4939% |
- |
平 均 |
- |
0.0377% |
0.0404% |
- |
0.1518% |
- |
0.5046% |
- |
0.9762% |
- |
(九)货币型基金B |
091005 |
大成货币B |
2.208% |
0.0460% |
0.0431% |
3 |
0.1718% |
3 |
0.5756% |
3 |
1.0978% |
- |
240007 |
华宝兴业现金宝B |
2.358% |
0.0447% |
0.0447% |
2 |
0.1861% |
2 |
0.5951% |
2 |
1.0969% |
2 |
180009 |
银华货币B |
2.163% |
0.0411% |
0.0695% |
1 |
0.1935% |
1 |
0.5953% |
1 |
1.1123% |
1 |
370010 |
上投摩根货币B |
1.548% |
0.0297% |
0.0311% |
4 |
0.1111% |
4 |
0.3671% |
4 |
0.6149% |
- |
平 均 |
- |
0.0404% |
0.0471% |
- |
0.1656% |
- |
0.5333% |
- |
1.1046% |
- |
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)
交易价格持续上涨 封闭式基金折价率持续升高
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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