表1
基金代码 |
收益结转方式 |
基金名称 |
万份基金单位收益(元) |
七日年化收益率 |
最近一周 |
前周 |
最近一月 |
季度(13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 |
货币型基金 A |
519505 |
按月结转 |
海富通货币 |
0.51540 |
2.053% |
0.0394% |
0.0372% |
11 |
0.1491% |
5 |
0.4663% |
14 |
003003 |
按日结转 |
华夏现金增利 |
0.35950 |
2.039% |
0.0387% |
0.0382% |
8 |
0.1514% |
1 |
0.4739% |
9 |
070008 |
按月结转 |
嘉实货币 |
0.64970 |
2.009% |
0.0385% |
0.0375% |
10 |
0.1500% |
3 |
0.4747% |
8 |
519999 |
按日结转 |
长信利息收益 |
0.62780 |
1.984% |
0.0377% |
0.0390% |
3 |
0.1499% |
4 |
0.4709% |
10 |
202301 |
按月结转 |
南方现金增利 |
0.44125 |
1.965% |
0.0377% |
0.0411% |
1 |
0.1504% |
2 |
0.4777% |
5 |
163802 |
按月结转 |
中银国际货币 |
0.29980 |
1.945% |
0.0373% |
0.0371% |
12 |
0.1479% |
10 |
0.4752% |
7 |
090005 |
按日结转 |
大成货币A |
0.39160 |
1.951% |
0.0371% |
0.0329% |
25 |
0.1412% |
21 |
0.4670% |
12 |
162206 |
按月结转 |
湘财荷银货币 |
0.37400 |
1.935% |
0.0371% |
0.0369% |
14 |
0.1483% |
9 |
0.4784% |
-- |
110006 |
按月结转 |
易方达货币 |
0.38490 |
1.937% |
0.0371% |
0.0388% |
4 |
0.1488% |
7 |
0.4530% |
20 |
360003 |
按日结转 |
光大保德信货币 |
0.35050 |
1.944% |
0.0369% |
0.0368% |
15 |
0.1472% |
11 |
0.4800% |
4 |
161608 |
按月结转 |
融通易支付货币 |
0.55200 |
1.926% |
0.0369% |
0.0373% |
-- |
0.1491% |
-- |
0.4010% |
-- |
020007 |
按月结转 |
国泰货币 |
0.29520 |
1.907% |
0.0366% |
0.0382% |
6 |
0.1491% |
6 |
0.4841% |
2 |
288101 |
按日结转 |
中信现金优势 |
0.34350 |
1.929% |
0.0366% |
0.0361% |
20 |
0.1464% |
15 |
0.4658% |
15 |
290001 |
按月结转 |
泰信天天收益 |
0.32450 |
1.898% |
0.0364% |
0.0384% |
5 |
0.1467% |
13 |
0.4640% |
17 |
080011 |
按日结转 |
长盛货币 |
0.34950 |
1.911% |
0.0363% |
0.0370% |
13 |
0.1470% |
-- |
0.4882% |
-- |
200003 |
按日结转 |
长城货币 |
0.33553 |
1.908% |
0.0362% |
0.0375% |
9 |
0.1466% |
14 |
0.4692% |
11 |
240006 |
按日结转 |
华宝兴业现金宝A |
0.35320 |
1.906% |
0.0362% |
0.0359% |
21 |
0.1451% |
19 |
0.4573% |
19 |
320002 |
按月结转 |
诺安货币 |
0.38633 |
1.886% |
0.0362% |
0.0365% |
17 |
0.1459% |
17 |
0.4760% |
6 |
050003 |
按日结转 |
博时现金收益 |
0.46960 |
1.899% |
0.0361% |
0.0362% |
18 |
0.1468% |
12 |
0.4663% |
13 |
260102 |
按月结转 |
景顺长城货币 |
0.35490 |
1.866% |
0.0358% |
0.0346% |
24 |
0.1406% |
22 |
0.4403% |
22 |
150005 |
按日结转 |
银河银富货币 |
0.31650 |
1.885% |
0.0358% |
0.0361% |
19 |
0.1451% |
18 |
0.4848% |
1 |
160606 |
按月结转 |
鹏华货币 |
0.33840 |
1.852% |
0.0355% |
0.0382% |
7 |
0.1461% |
16 |
0.4649% |
16 |
217004 |
按日结转 |
招商现金增值 |
0.36310 |
1.860% |
0.0354% |
0.0348% |
23 |
0.1384% |
24 |
0.4167% |
23 |
270004 |
按月结转 |
广发货币 |
0.35020 |
1.839% |
0.0353% |
0.0366% |
16 |
0.1437% |
20 |
0.4620% |
18 |
040003 |
按月结转 |
华安现金富利 |
0.47907 |
1.838% |
0.0352% |
0.0394% |
2 |
0.1487% |
8 |
0.4808% |
3 |
180008 |
按日结转 |
银华货币A |
0.37260 |
1.848% |
0.0351% |
0.0349% |
22 |
0.1387% |
23 |
0.4415% |
21 |
519518 |
按月结转 |
汇添富货币 |
0.27130 |
1.432% |
0.0275% |
0.0441% |
-- |
0.0716% |
-- |
0.0716% |
-- |
482002 |
按日结转 |
工银瑞信货币 |
0.58560 |
1.388% |
0.0264% |
0.0232% |
-- |
0.0785% |
-- |
0.0785% |
-- |
370010 |
按月结转 |
上投摩根货币A |
0.23630 |
1.331% |
0.0255% |
0.0246% |
26 |
0.0999% |
25 |
0.3151% |
24 |
519588 |
按月结转 |
交银施罗德货币 |
0.27560 |
1.320% |
0.0253% |
0.0288% |
-- |
0.1026% |
-- |
0.2792% |
-- |
平均 |
-- |
-- |
0.0353% |
0.0366% |
-- |
0.1445% |
-- |
0.4595% |
-- |
货币型基金 B |
091005 |
按日结转 |
大成货币B |
0.45770 |
2.185% |
0.0415% |
0.0378% |
3 |
0.1598% |
2 |
0.5280% |
1 |
240007 |
按日结转 |
华宝兴业现金宝B |
0.41920 |
2.152% |
0.0408% |
0.0405% |
1 |
0.1636% |
1 |
0.5173% |
2 |
180009 |
按日结转 |
银华货币B |
0.43840 |
2.092% |
0.0397% |
0.0395% |
2 |
0.1571% |
3 |
0.5017% |
3 |
37001b |
按月结转 |
上投摩根货币B |
0.30440 |
1.572% |
0.0301% |
0.0292% |
4 |
0.1183% |
4 |
0.3749% |
4 |
平均 |
-- |
-- |
0.0380% |
0.0368% |
-- |
0.1497% |
-- |
0.4805% |
-- |
数据来源:中国银河证券基金研究中心。 截至: 2006-04-07 制表:新浪财经 |
表2
基金代码 |
基金名称 |
半年(26周) |
一年(52周) |
风险评价 |
今年以来 |
设立以来 |
净值增长率 |
排序 |
净值增长率 |
排序 |
年化标准差 |
风险评价 |
净值增长率 |
排序 |
净值增长率 |
货币型基金 A |
519505 |
海富通货币 |
0.9835% |
13 |
2.0721% |
8 |
0.1063% |
低 |
0.5045% |
14 |
2.9549% |
003003 |
华夏现金增利 |
1.0133% |
2 |
2.1254% |
2 |
0.1157% |
中 |
0.5081% |
10 |
4.8464% |
070008 |
嘉实货币 |
0.9952% |
7 |
2.0555% |
-- |
0.1133% |
-- |
0.5082% |
9 |
2.2124% |
519999 |
长信利息收益 |
0.9983% |
6 |
2.1053% |
4 |
0.1156% |
中 |
0.5089% |
8 |
4.8150% |
202301 |
南方现金增利 |
1.0395% |
1 |
2.1274% |
1 |
0.1179% |
高 |
0.5113% |
5 |
5.1977% |
163802 |
中银国际货币 |
0.9674% |
20 |
1.3786% |
-- |
0.0901% |
-- |
0.5090% |
7 |
1.3786% |
090005 |
大成货币A |
0.9799% |
16 |
1.6527% |
-- |
0.0839% |
-- |
0.5048% |
11 |
1.6527% |
162206 |
湘财荷银货币 |
0.7809% |
-- |
0.7809% |
-- |
0.0960% |
-- |
0.5143% |
-- |
0.7809% |
110006 |
易方达货币 |
0.9843% |
12 |
2.0577% |
-- |
0.1131% |
-- |
0.4871% |
20 |
2.5785% |
360003 |
光大保德信货币 |
0.9941% |
8 |
1.5360% |
-- |
0.1039% |
-- |
0.5152% |
4 |
1.5360% |
161608 |
融通易支付货币 |
0.4010% |
-- |
0.4010% |
-- |
0.1748% |
-- |
0.4010% |
-- |
0.4010% |
020007 |
国泰货币 |
0.9998% |
5 |
1.4839% |
-- |
0.1027% |
-- |
0.5183% |
2 |
1.4839% |
288101 |
中信现金优势 |
0.9821% |
14 |
1.9274% |
-- |
0.1049% |
-- |
0.5045% |
12 |
1.9274% |
290001 |
泰信天天收益 |
0.9730% |
19 |
2.0655% |
9 |
0.1128% |
中 |
0.4999% |
17 |
5.0659% |
080011 |
长盛货币 |
0.6289% |
-- |
0.6289% |
-- |
0.1241% |
-- |
0.5226% |
-- |
0.6289% |
200003 |
长城货币 |
0.9755% |
17 |
1.6688% |
-- |
0.0809% |
-- |
0.5039% |
15 |
1.6688% |
240006 |
华宝兴业现金宝A |
0.9900% |
10 |
1.9985% |
-- |
0.1115% |
-- |
0.4942% |
19 |
2.0548% |
320002 |
诺安货币 |
0.9931% |
9 |
2.0925% |
6 |
0.1002% |
低 |
0.5092% |
6 |
2.9996% |
050003 |
博时现金收益 |
0.9844% |
11 |
2.0728% |
7 |
0.1040% |
低 |
0.5045% |
13 |
5.2240% |
260102 |
景顺长城货币 |
0.9252% |
-- |
1.3608% |
-- |
0.0899% |
-- |
0.4705% |
22 |
1.3608% |
150005 |
银河银富货币 |
1.0056% |
4 |
2.1025% |
5 |
0.1216% |
高 |
0.5193% |
1 |
3.0370% |
160606 |
鹏华货币 |
0.9805% |
15 |
1.9801% |
-- |
0.0978% |
-- |
0.5014% |
16 |
1.9801% |
217004 |
招商现金增值 |
0.8423% |
22 |
1.8926% |
10 |
0.1065% |
中 |
0.4414% |
23 |
5.1901% |
270004 |
广发货币 |
0.9658% |
21 |
1.6428% |
-- |
0.1084% |
-- |
0.4985% |
18 |
1.6428% |
040003 |
华安现金富利 |
1.0073% |
3 |
2.1132% |
3 |
0.1241% |
高 |
0.5165% |
3 |
5.5987% |
180008 |
银华货币A |
0.9745% |
18 |
1.9852% |
-- |
0.1024% |
-- |
0.4745% |
21 |
2.6822% |
519518 |
汇添富货币 |
0.0716% |
-- |
0.0716% |
-- |
0.2717% |
-- |
0.0716% |
-- |
0.0716% |
482002 |
工银瑞信货币 |
0.0785% |
-- |
0.0785% |
-- |
0.0836% |
-- |
0.0785% |
-- |
0.0785% |
370010 |
上投摩根货币A |
0.6183% |
23 |
1.0204% |
-- |
0.0695% |
-- |
0.3386% |
24 |
1.0204% |
519588 |
交银施罗德货币 |
0.2792% |
-- |
0.2792% |
-- |
0.0872% |
-- |
0.2792% |
-- |
0.2792% |
平均 |
0.9673% |
-- |
2.0769% |
-- |
-- |
-- |
0.4938% |
-- |
-- |
货币型基金 B |
091005 |
大成货币B |
1.1067% |
2 |
1.8607% |
-- |
0.0965% |
-- |
0.5701% |
1 |
1.8607% |
240007 |
华宝兴业现金宝B |
1.1155% |
1 |
2.2432% |
-- |
0.1245% |
-- |
0.5582% |
2 |
2.3051% |
180009 |
银华货币B |
1.1000% |
3 |
2.2298% |
-- |
0.1155% |
-- |
0.5386% |
3 |
2.9670% |
37001b |
上投摩根货币B |
0.7434% |
4 |
1.2688% |
-- |
0.0828% |
-- |
0.4024% |
4 |
1.2688% |
平均 |
1.0164% |
-- |
-- |
-- |
-- |
-- |
0.5173% |
-- |
-- |
数据来源:中国银河证券基金研究中心。 截至: 2006-04-07 制表:新浪财经 |
开放式基金:
2006年4月7日中国银河证券开放式基金评价(1)
2006年4月7日中国银河证券开放式基金评价(2)
偏股型基金绩效表现多头领先
封闭式基金:
2006年4月7日中国银河证券封闭式基金评价(1)
2006年4月7日中国银河证券封闭式基金评价(2)
封闭式基金绩效表现良好 隐含收益率全面上升
货币市场基金:
2006年4月7日中国银河证券货币基金评价
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。
|