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2006年1月20日银河证券封闭式基金评级(表2)


http://finance.sina.com.cn 2006年01月25日 21:22 中国银河证券
基金
代码
基金名称 单位净值(元) 一年期(52周) 两年期104周 三年期156周 设立以来 换手率
净值增长率 年化标准差 风险评价 净值
增长率
净值增长率 净值增长率 最近1月 排序 最近1周 排序
184700 鸿飞 0.9330 -1.88% 0.11% -14.69% 4.64% -6.70% 3.19% 51 0.63% 53
184728 鸿阳 0.9835 7.11% 1.18% -4.56% 11.07% 0.46% 17.47% 2 4.02% 6
184696 裕华 1.0941 9.59% 1.41% -3.72% 20.99% 10.83% 2.88% 53 0.64% 52
184692 裕隆 1.0115 7.63% 1.18% -11.41% 9.61% 36.38% 9.89% 11 1.67% 30
500006 裕阳 1.0869 11.99% 1.73% 1.36% 25.60% 111.65% 8.34% 20 1.23% 40
500016 裕元 1.1128 10.98% 1.62% -2.98% 29.17% 69.74% 3.42% 50 1.06% 44
184705 裕泽 1.1863 12.08% 1.74% 10.63% 47.50% 44.99% 6.69% 26 1.24% 38
184720 久富 1.0985 19.96% 2.70% 1.16% 21.50% 9.85% 9.90% 10 4.50% 3
184722 久嘉 1.1200 12.38% 1.82% -1.43% 21.78% 13.91% 13.53% 4 2.74% 13
500039 同德 1.1842 19.01% 2.62% 14.95% 37.53% 24.92% 6.13% 33 2.32% 22
184699 同盛 0.9754 10.02% 1.48% -10.15% 6.69% 23.91% 9.26% 15 1.53% 32
184690 同益 1.1010 17.77% 2.47% -3.68% 20.92% 97.50% 8.98% 16 1.35% 36
184702 同智 1.2021 18.01% 2.48% 16.12% 34.78% 37.57% 6.12% 34 2.50% 18
184695 景博 0.9819 14.21% 2.03% -3.81% 8.15% 20.41% 6.13% 32 2.52% 17
184701 景福 0.9563 9.91% 1.49% -7.77% 11.37% 9.16% 16.86% 3 3.80% 7
184691 景宏 0.9671 14.14% 2.03% 1.76% 27.52% 38.24% 5.35% 42 0.78% 49
500007 景阳 1.1488 22.08% 3.03% 2.02% 19.90% 44.37% 5.54% 38 2.68% 14
500017 景业 0.9406 12.47% 1.80% 2.41% 28.30% -5.94% 8.57% 19 3.17% 10
500035 汉博 1.0333 15.70% 2.23% 4.22% 25.86% 4.37% 9.56% 14 6.29% 1
500025 汉鼎 0.9909 13.62% 1.97% 4.56% 27.63% -0.32% 10.13% 9 2.82% 11
500005 汉盛 1.0733 11.32% 1.70% -2.21% 24.05% 53.35% 6.40% 28 1.00% 46
500015 汉兴 0.9048 6.48% 1.03% -7.64% 13.93% 4.26% 20.27% 1 3.67% 9
500021 金鼎 1.0796 18.62% 2.58% 5.16% 33.90% 11.45% 7.18% 24 4.03% 5
184703 金盛 1.1058 12.93% 1.86% 4.68% 40.31% 30.34% 4.43% 46 1.00% 45
500001 金泰 1.0518 7.99% 1.24% -0.20% 22.47% 78.07% 6.35% 29 1.08% 42
500011 金鑫 1.0112 5.82% 0.95% -7.35% 11.52% 29.61% 5.80% 37 1.76% 28
184719 融鑫 1.0841 6.03% 0.97% -11.17% 20.80% 22.91% 1.52% 54 0.37% 54
184709 安久 0.9065 7.10% 1.18% -8.00% 13.81% -9.35% 9.76% 12 3.77% 8
500013 安瑞 0.9713 11.52% 1.75% -2.84% 2.08% 3.55% 7.32% 23 4.46% 4
500009 安顺 1.1964 21.67% 2.94% 15.24% 33.12% 87.30% 8.92% 17 2.41% 20
500003 安信 1.1192 12.99% 1.91% 4.88% 25.55% 154.79% 6.25% 31 1.24% 39
184718 兴安 1.0705 10.36% 1.61% -1.53% 22.93% 7.64% 3.90% 47 1.75% 29
500018 兴和 0.9858 5.57% 0.92% -12.11% 7.81% 38.59% 10.43% 8 1.94% 26
500008 兴华 1.0647 8.92% 1.34% -2.84% 26.59% 153.68% 5.92% 36 1.42% 33
184708 兴科 1.1283 15.51% 2.22% -1.89% 27.78% 23.75% 4.62% 45 1.39% 35
500028 兴业 0.9018 9.01% 1.40% -5.02% 11.42% -9.82% 12.36% 5 5.54% 2
184721 丰和 1.1003 12.21% 1.79% -0.01% 20.57% 13.81% 6.47% 27 1.39% 34
500002 泰和 1.0882 14.52% 2.08% -4.11% 18.98% 64.62% 3.78% 49 1.07% 43
500010 金元 1.0444 12.17% 1.78% 2.27% 32.69% 7.62% 7.03% 25 2.78% 12
184688 开元 1.1000 9.51% 1.46% -1.95% 20.87% 103.03% 5.40% 40 0.82% 48
184710 隆元 0.9335 9.94% 1.68% -5.29% 18.63% -6.65% 2.92% 52 0.67% 51
184698 天元 1.1323 10.25% 1.54% -4.58% 24.09% 50.25% 8.12% 21 1.58% 31
184693 普丰 0.9958 15.64% 2.20% -3.76% 10.28% 23.47% 11.70% 7 2.53% 15
184711 普华 0.8130 13.15% 1.91% -11.61% -2.07% -18.70% 5.47% 39 2.00% 25
184689 普惠 1.0101 10.32% 1.52% -9.27% 10.37% 59.31% 6.31% 30 1.21% 41
500019 普润 1.0143 16.16% 2.28% 2.66% 15.55% 1.43% 4.85% 44 2.42% 19
184738 通宝 0.9692 7.90% 1.27% -2.53% 10.60% -3.08% 6.04% 35 1.91% 27
500038 通乾 1.0360 7.52% 1.18% -5.32% 19.03% 9.21% 9.70% 13 2.36% 21
184712 科汇 1.4128 21.17% 2.95% 29.65% 76.72% 68.57% 8.63% 18 2.52% 16
500056 科瑞 1.2631 14.34% 2.02% 12.04% 43.47% 36.96% 12.10% 6 2.31% 23
184713 科翔 1.2880 18.13% 2.53% 17.93% 58.71% 52.28% 4.90% 43 0.75% 50
500029 科讯 1.1991 11.09% 1.65% 1.74% 35.16% 23.41% 3.85% 48 0.86% 47
500058 银丰 1.0600 8.81% 1.34% -6.93% 15.54% 14.38% 7.77% 22 2.15% 24
184706 天华 0.8810 6.80% 1.07% -7.93% 3.33% -11.90% 5.36% 41 1.26% 37
平 均 12.00% 1.76% - -0.65% 22.43% 32.47% 7.59% - 2.13% -
同期上海A股指数
增长幅度
1.57% - - -21.53% -14.83% - - - - -
同期复合指数
增长幅度
5.26% - - -11.86% -7.49% - - - - -
制表:中国银河证券基金研究中心。 截至:2006-01-20
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。

  封闭式基金:

  2006年1月20日银河证券封闭式基金评级(表1)

  2006年1月20日银河证券封闭式基金评级(表2)

  大盘基金行情继续回落 兴业隐含收益率降至8.4%

  货币市场基金:

  2006年1月20日银河证券货币市场基金评级(表1)

  2006年1月20日银河证券货币市场基金评级(表2)

  开放式基金:

  2006年1月20日银河证券开放式基金评级(表1)

  2006年1月20日银河证券开放式基金评级(表2)

  绝大部分开放式基金收益较好 货币基金绩效平稳


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