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2006年2月17日中信证券封闭式基金评级结果 |
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http://finance.sina.com.cn 2006年02月20日 16:01 中信证券 |
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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 |
★★★ |
0.511 |
-1.54% | 1.39% |
0.9981 | 0.68% |
8.61% | -48.80% |
4.50% | 25.66%
| 20 |
基金鸿阳 | ★ |
0.524 | -2.60% |
2.14% | 1.0198 |
0.18% | 9.17% |
-48.62% | 4.62% |
26.34%
| 30 | 基金同盛 |
★★★ |
0.518 |
-2.81% | -1.71% |
1.0004 | -0.80% |
6.80% | -48.22% |
2.42% | 13.04%
| 30 |
基金裕隆 | ★★ |
0.537 | -3.24% |
-3.76% | 1.0339 |
-0.02% | 7.18% |
-48.06% | 1.23% |
10.31%
| 30 | 基金兴和 |
★ |
0.52 |
-2.80% | -1.33% |
0.9957 | -0.07% |
5.52% | -47.78% |
1.90% | 15.49%
| 30 |
基金普丰 | ★★★★ |
0.532 | -2.39% |
1.14% | 1.0186 |
-0.45% | 7.53% |
-47.77% | 2.33% |
15.31%
| 20 | 基金普惠 |
★★★ |
0.547 |
-3.36% | -6.17% |
1.0385 | 0.38% |
6.75% | -47.33% |
1.22% | 7.30%
| 30 |
基金金鑫 | ★ |
0.538 | -1.65% |
0.00% | 1.0084 |
-0.53% | 6.01% |
-46.65% | 2.45% |
10.02%
| 20 | 基金通乾 |
★★ |
0.563 |
-3.60% | 4.45% |
1.0502 | -1.28% |
7.26% | -46.39% |
2.52% | 17.50%
| 20 |
基金久嘉 | ★★★ |
0.628 | -2.48% |
2.78% | 1.1711 |
1.97% | 9.41% |
-46.38% | 3.61% |
18.57%
| 30 | 基金汉兴 |
★ |
0.495 |
-3.51% | -2.94% |
0.9166 | 0.22% |
7.05% | -46.00% |
4.02% | 26.70%
| 30 |
基金丰和 | ★★★ |
0.605 | -3.04% |
-0.49% | 1.1176 |
-0.96% | 6.75% |
-45.87% | 1.66% |
8.84%
| 30 | 基金银丰 |
★★★ |
0.589 |
-3.44% | 2.79% |
1.07 | -1.11% |
6.36% | -44.95% |
1.94% | 11.52%
| 20 |
基金金泰 | ★★ |
0.592 | -3.58% |
-4.82% | 1.0726 |
-0.24% | 9.58% |
-44.81% | 1.33% |
8.23%
| 20 | 基金景宏 |
★★★★ |
0.575 |
-0.69% | 3.79% |
1.0399 | 1.50% |
12.48% | -44.71% |
2.04% | 7.41%
| 20 |
基金汉盛 | ★★★ |
0.608 | -1.94% |
1.50% | 1.0905 |
-0.07% | 9.12% |
-44.25% | 1.03% |
7.52%
| 20 | 基金同益 |
★★★★ |
0.643 |
-2.58% | -2.72% |
1.1345 | 0.39% |
7.54% | -43.32% |
1.15% | 8.96%
| 20 |
基金兴华 | ★★★ |
0.619 | -2.37% |
-0.16% | 1.0898 |
0.27% | 6.78% |
-43.20% | 1.30% |
9.14%
| 20 | 基金泰和 |
★★★ |
0.63 |
-1.87% | 0.96% |
1.107 | -0.92% |
5.10% | -43.09% |
0.67% | 5.48%
| 30 |
基金天元 | ★★★ |
0.659 | -2.51% |
-1.64% | 1.1455 |
-0.77% | 4.25% |
-42.47% | 1.14% |
9.53%
| 20 | 基金裕阳 |
★★★ |
0.664 |
-2.64% | -1.92% |
1.1186 | -0.01% |
6.06% | -40.64% |
0.94% | 8.58%
| 30 |
基金科瑞 | ★★★ |
0.77 | -2.04% |
4.34% | 1.2947 |
0.75% | 7.72% |
-40.53% | 2.78% |
16.33%
| 20 | 基金开元 |
★★ |
0.655 |
-3.68% | -4.38% |
1.0988 | -1.25% |
2.95% | -40.39% |
0.77% | 5.92%
| 20 |
基金安信 | ★★★ |
0.672 | -2.33% |
2.13% | 1.126 |
-0.42% | 5.80% |
-40.32% | 1.14% |
8.46%
| 30 | 基金安顺 |
★★★★★ |
0.766 |
0.92% | 9.59% |
1.2234 | -0.85% |
8.42% | -37.39% |
2.68% | 13.50%
| 25 |
基金天华 | ★★ |
0.609 | -1.77% |
7.22% | 0.9161 |
0.97% | 8.26% |
-33.52% | 0.70% |
10.03%
| 10 | 基金景阳 |
★★★★★ |
0.943 |
-0.74% | 7.04% |
1.1818 | -0.01% |
9.16% | -20.21% |
1.20% | 8.60%
| 10 |
基金景博 | ★★★★ |
0.816 | -0.37% |
7.23% | 0.9933 |
0.25% | 7.42% |
-17.85% | 2.45% |
12.74%
| 15 | 基金裕元 |
★★★ |
0.941 |
-0.63% | 0.64% |
1.1386 | 0.12% |
4.84% | -17.35% |
0.93% | 6.17%
| 5 |
基金汉鼎 | ★★★★ |
0.705 | -3.95% |
3.52% | 0.9919 |
-0.39% | 8.42% |
-28.92% | 1.29% |
12.66%
| 5 | 基金金盛 |
★★★ |
0.813 |
-1.09% | 3.30% |
1.1258 | -0.99% |
7.17% | -27.78% |
1.30% | 6.57%
| 5 |
基金裕泽 | ★★★ |
0.885 | -2.10% |
2.67% | 1.205 |
-0.26% | 5.54% |
-26.56% | 1.43% |
8.49%
| 5 | 基金鸿飞 |
★ |
0.707 |
-2.08% | 2.02% |
0.9593 | 0.15% |
7.46% | -26.30% |
1.17% | 7.22%
| 8 |
基金融鑫 | ★★ |
0.846 | -2.20% |
-1.17% | 1.1209 |
0.57% | 5.78% |
-24.52% | 0.72% |
2.90%
| 5 | 基金隆元 |
★ |
0.748 |
-1.58% | -1.45% |
0.9527 | 0.18% |
5.93% | -21.49% |
1.34% | 4.79%
| 5 |
基金兴安 | ★★ |
0.852 | -0.93% |
0.71% | 1.0801 |
0.18% | 5.32% |
-21.12% | 2.06% |
6.98%
| 8 | 基金科翔 |
★★★★ |
1.064 |
-1.75% | 3.50% |
1.3471 | 1.44% |
8.94% | -21.02% |
1.43% | 7.00%
| 8 |
基金科讯 | ★★ |
0.986 | -0.20% |
4.56% | 1.2264 |
0.34% | 7.21% |
-19.60% | 1.38% |
6.62%
| 5 | 基金安久 |
★★ |
0.75 |
-0.92% | 7.76% |
0.9297 | -0.65% |
7.28% | -19.33% |
1.06% | 11.37%
| 5 |
基金裕华 | ★★★ |
0.897 | -0.44% |
2.16% | 1.1032 |
-0.99% | 5.71% |
-18.69% | 2.11% |
7.55%
| 5 | 基金久富 |
★★★★★ |
0.909 |
-1.94% | 4.48% |
1.1175 | 0.29% |
7.69% | -18.66% |
2.14% | 14.40%
| 5 |
基金汉博 | ★★★★ |
0.861 | -1.37% |
7.89% | 1.0514 |
0.16% | 10.09% |
-18.11% | 1.09% |
15.01%
| 5 | 基金金鼎 |
★★★★ |
0.899 |
-0.99% | 6.77% |
1.0969 | -0.23% |
8.81% | -18.04% |
1.02% | 12.06%
| 5 |
基金普华 | ★★★ |
0.684 | -1.72% |
2.40% | 0.8311 |
-0.16% | 8.31% |
-17.70% | 0.71% |
7.15%
| 5 | 基金普润 |
★★★★ |
0.859 |
-0.81% | 7.38% |
1.0391 | -0.26% |
8.77% | -17.33% |
1.41% | 8.68%
| 5 |
基金兴科 | ★★★★ |
0.949 | -0.84% |
6.03% | 1.1464 |
-0.29% | 9.09% |
-17.22% | 0.69% |
5.62%
| 5 | 基金同德 |
★★★★★ |
1.013 |
-0.20% | 6.97% |
1.2228 | 0.33% |
8.05% | -17.16% |
1.12% | 9.15%
| 5 |
基金通宝 | ★★ |
0.8 | -2.56% |
5.68% | 0.9638 |
-0.54% | 4.34% |
-17.00% | 1.48% |
9.93%
| 5 | 基金安瑞 |
★★★ |
0.835 |
0.12% | 8.44% |
0.9962 | -0.81% |
7.46% | -16.18% |
2.08% | 11.34%
| 8 |
基金科汇 | ★★★★ |
1.247 | -0.56% |
8.34% | 1.4838 |
1.60% | 9.22% |
-15.96% | 2.01% |
13.19%
| 5 | 基金金元 |
★★★ |
0.892 |
-1.44% | 1.94% |
1.0585 | 0.31% |
3.87% | -15.73% |
1.59% | 10.26%
| 5 |
基金景业 | ★★★ |
0.82 | -0.85% |
6.77% | 0.9513 |
-0.86% | 4.98% |
-13.80% | 1.34% |
11.46%
| 5 | 基金同智 |
★★★★★ |
1.077 |
-0.83% | 7.27% |
1.2266 | 0.05% |
6.46% | -12.20% |
0.91% | 8.85%
| 5 |
基金兴业 | ★★ |
0.835 | -0.71% |
8.58% | 0.9139 |
0.41% | 4.65% |
-8.63% | 2.44% |
20.56%
| 817 | 基金指数 |
-- | 888.63 |
-2.01% | 1.72% |
1.0781 | -0.09% |
7.14% | -39.07% |
1.93% | 12.14%
| 680 |
大型基金 | -- |
873.77 | -2.24% |
0.88% | 1.0729 |
-0.12% | 7.15% |
-43.06% | 2.04% |
12.70%
| 137 | 小型基金 |
-- | 750.33 |
-1.22% | 4.67% |
1.104 | 0.07% |
7.11% | -19.26% |
1.41% | 9.40%
| 中标300 |
821.23 | -1.21% |
10.31% | -- |
-- | -- |
-- | -- |
-- | 基金总市值 | 538.62(亿元) |
基金总净值 | 880.81(亿元) |
资料来源:中信证券 许建强 截至:2006-02-17 制表:新浪基金
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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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