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2006年5月26日中国银河证券货币市场基金评价 |
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http://finance.sina.com.cn 2006年05月29日 18:16 中国银河证券 |
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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 |
(一)货币型基金A |
270004 | 按月结转 |
广发货币 | 0.34790 |
1.989% | 0.0381% |
0.0377% | 7 |
0.1354% | 13 |
0.4620% | 17 |
163802 | 按月结转 |
中银国际货币 | 0.20590 |
1.979% | 0.0380% |
0.0375% | 9 |
0.1338% | 17 |
0.4683% | 11 |
519518 | 按月结转 |
汇添富货币 | 0.25010 |
1.978% | 0.0379% |
0.0380% | -- |
0.1287% | -- |
0.3065% | -- |
162206 | 按月结转 |
湘财荷银货币 | 0.35260 |
1.978% | 0.0379% |
0.0387% | 3 |
0.1383% | 9 |
0.4742% | 4 |
320002 | 按月结转 |
诺安货币 | 0.41240 |
1.959% | 0.0376% |
0.0363% | 21 |
0.1402% | 5 |
0.4740% | 5 |
161608 | 按月结转 |
融通易支付货币 | 0.33030 |
1.949% | 0.0374% |
0.0384% | 4 |
0.1379% | 10 |
0.4792% | -- |
200003 | 按日结转 |
长城货币 | 0.39755 |
1.965% | 0.0373% |
0.0392% | 2 |
0.1415% | 4 |
0.4725% | 7 |
080011 | 按日结转 |
长盛货币 | 0.39810 |
1.963% | 0.0373% |
0.0373% | 12 |
0.1398% | 6 |
0.4857% | -- |
050003 | 按日结转 |
博时现金收益 | 0.42540 |
1.956% | 0.0372% |
0.0392% | 1 |
0.1471% | 2 |
0.4796% | 3 |
202301 | 按月结转 |
南方现金增利 | 0.49790 |
1.932% | 0.0371% |
0.0368% | 17 |
0.1474% | 1 |
0.4849% | 2 |
360003 | 按日结转 |
光大保德信货币 | 0.35290 |
1.936% | 0.0368% |
0.0379% | 6 |
0.1362% | 11 |
0.4697% | 10 |
482002 | 按日结转 |
工银瑞信货币 | 0.32750 |
1.934% | 0.0367% |
0.0355% | -- |
0.1291% | -- |
0.2942% | -- |
260102 | 按月结转 |
景顺长城货币 | 0.37920 |
1.914% | 0.0367% |
0.0374% | 11 |
0.1325% | 19 |
0.4537% | 21 |
290001 | 按月结转 |
泰信天天收益 | 0.32280 |
1.903% | 0.0365% |
0.0369% | 15 |
0.1317% | 22 |
0.4648% | 15 |
150005 | 按日结转 |
银河银富货币 | 0.33590 |
1.916% | 0.0364% |
0.0376% | 8 |
0.1347% | 15 |
0.4682% | 12 |
217004 | 按日结转 |
招商现金增值 | 0.35500 |
1.916% | 0.0364% |
0.0364% | 20 |
0.1311% | 23 |
0.4478% | 23 |
288101 | 按日结转 |
中信现金优势 | 0.35730 |
1.904% | 0.0362% |
0.0369% | 16 |
0.1350% | 14 |
0.4632% | 16 |
519999 | 按日结转 |
长信利息收益 | 0.37130 |
1.889% | 0.0359% |
0.0381% | 5 |
0.1357% | 12 |
0.4678% | 13 |
003003 | 按日结转 |
华夏现金增利 | 0.38400 |
1.890% | 0.0359% |
0.0375% | 10 |
0.1416% | 3 |
0.4863% | 1 |
040003 | 按月结转 |
华安现金富利 | 0.49095 |
1.856% | 0.0356% |
0.0357% | 22 |
0.1384% | 8 |
0.4703% | 9 |
180008 | 按日结转 |
银华货币A | 0.40000 |
1.873% | 0.0356% |
0.0348% | 25 |
0.1327% | 18 |
0.4453% | 24 |
020007 | 按月结转 |
国泰货币 | 0.27730 |
1.846% | 0.0354% |
0.0367% | 19 |
0.1295% | 24 |
0.4727% | 6 |
070008 | 按月结转 |
嘉实货币 | 0.42640 |
1.845% | 0.0354% |
0.0372% | 13 |
0.1389% | 7 |
0.4706% | 8 |
160606 | 按月结转 |
鹏华货币 | 0.33760 |
1.846% | 0.0354% |
0.0371% | 14 |
0.1344% | 16 |
0.4663% | 14 |
110006 | 按月结转 |
易方达货币 | 0.17810 |
1.836% | 0.0352% |
0.0357% | 23 |
0.1319% | 21 |
0.4604% | 18 |
519588 | 按月结转 |
交银施罗德货币 | 0.33120 |
1.799% | 0.0345% |
0.0353% | 24 |
0.1244% | 26 |
0.3561% | -- |
090005 | 按日结转 |
大成货币A | 0.36100 |
1.810% | 0.0344% |
0.0367% | 18 |
0.1322% | 20 |
0.4574% | 19 |
240006 | 按日结转 |
华宝兴业现金宝A | 0.33710 |
1.749% | 0.0333% |
0.0327% | 26 |
0.1245% | 25 |
0.4498% | 22 |
530002 | 按日结转 |
建信货币 | 0.34170 |
1.526% | 0.0290% |
0.0278% | -- |
0.1231% | -- |
0.1231% | -- |
340005 | 按月结转 |
兴业货币 | 0.33300 |
1.504% | 0.0288% |
0.0981% | -- |
0.1270% | -- |
0.1270% | -- |
519505 | 按月结转 |
海富通货币 | 0.24360 |
1.469% | 0.0282% |
0.0318% | 27 |
0.1188% | 27 |
0.4543% | 20 |
370010 | 按月结转 |
上投摩根货币A | 0.24740 |
1.242% | 0.0238% |
0.0266% | 28 |
0.0986% | 28 |
0.3258% | 25 |
平均 | -- |
-- | 0.0352% |
0.0364% | -- |
0.1337% | -- |
0.4604% | -- |
(二)货币型基金B |
180009 | 按日结转 |
银华货币B | 0.46640 |
2.121% | 0.0402% |
0.0395% | 2 |
0.1513% | 1 |
0.5058% | 3 |
091005 | 按日结转 |
大成货币B | 0.42710 |
2.056% | 0.0390% |
0.0414% | 1 |
0.1505% | 2 |
0.5181% | 1 |
240007 | 按日结转 |
华宝兴业现金宝B | 0.40250 |
1.996% | 0.0379% |
0.0374% | 3 |
0.1431% | 3 |
0.5103% | 2 |
37001b | 按月结转 |
上投摩根货币B | 0.31010 |
1.474% | 0.0283% |
0.0311% | 4 |
0.1167% | 4 |
0.3856% | 4 |
平均 | -- |
-- | 0.0364% |
0.0374% | -- |
0.1404% | -- |
0.4800% | -- |
制表:中国银河证券基金研究中心。 截至:2006-05-26
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。 |
基金
代码 |
收益结转方式 |
基金
名称 |
万份基金单位收益(元) |
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 |
(一)货币型基金A |
270004 |
按月结转 |
广发货币 |
0.34790 |
0.9324% |
17 |
1.8940% |
-- |
0.1072% |
-- |
0.7469% |
16 |
1.8940% |
163802 |
按月结转 |
中银国际货币 |
0.20590 |
0.9480% |
12 |
1.6265% |
-- |
0.0934% |
-- |
0.7547% |
11 |
1.6265% |
519518 |
按月结转 |
汇添富货币 |
0.25010 |
0.3065% |
-- |
0.3065% |
-- |
0.1331% |
-- |
0.3065% |
-- |
0.3065% |
162206 |
按月结转 |
湘财荷银货币 |
0.35260 |
0.9591% |
-- |
1.0329% |
-- |
0.1013% |
-- |
0.7657% |
-- |
1.0329% |
320002 |
按月结转 |
诺安货币 |
0.41240 |
0.9548% |
8 |
1.9950% |
4 |
0.0914% |
低 |
0.7629% |
7 |
3.2595% |
161608 |
按月结转 |
融通易支付货币 |
0.33030 |
0.6536% |
-- |
0.6536% |
-- |
0.1538% |
-- |
0.6536% |
-- |
0.6536% |
200003 |
按日结转 |
长城货币 |
0.39755 |
0.9496% |
10 |
1.9247% |
-- |
0.0874% |
-- |
0.7570% |
10 |
1.9247% |
080011 |
按日结转 |
长盛货币 |
0.39810 |
0.8809% |
-- |
0.8809% |
-- |
0.1227% |
-- |
0.7744% |
-- |
0.8809% |
050003 |
按日结转 |
博时现金收益 |
0.42540 |
0.9617% |
4 |
1.9915% |
5 |
0.0985% |
中 |
0.7670% |
3 |
5.4988% |
202301 |
按月结转 |
南方现金增利 |
0.49790 |
0.9990% |
1 |
2.0332% |
1 |
0.1078% |
高 |
0.7726% |
1 |
5.4712% |
360003 |
按日结转 |
光大保德信货币 |
0.35290 |
0.9590% |
6 |
1.7868% |
-- |
0.1053% |
-- |
0.7636% |
6 |
1.7868% |
482002 |
按日结转 |
工银瑞信货币 |
0.32750 |
0.2942% |
-- |
0.2942% |
-- |
0.1127% |
-- |
0.2942% |
-- |
0.2942% |
260102 |
按月结转 |
景顺长城货币 |
0.37920 |
0.8913% |
22 |
1.6066% |
-- |
0.0931% |
-- |
0.7141% |
22 |
1.6066% |
290001 |
按月结转 |
泰信天天收益 |
0.32280 |
0.9295% |
20 |
1.9508% |
10 |
0.0973% |
中 |
0.7426% |
17 |
5.3196% |
150005 |
按日结转 |
银河银富货币 |
0.33590 |
0.9693% |
3 |
1.9832% |
7 |
0.1079% |
高 |
0.7645% |
5 |
3.2884% |
217004 |
按日结转 |
招商现金增值 |
0.35500 |
0.8454% |
23 |
1.7847% |
12 |
0.0912% |
低 |
0.6815% |
23 |
5.4416% |
288101 |
按日结转 |
中信现金优势 |
0.35730 |
0.9399% |
14 |
1.9497% |
-- |
0.0966% |
-- |
0.7481% |
15 |
2.1744% |
519999 |
按日结转 |
长信利息收益 |
0.37130 |
0.9488% |
11 |
1.9883% |
6 |
0.1012% |
中 |
0.7541% |
12 |
5.0708% |
003003 |
按日结转 |
华夏现金增利 |
0.38400 |
0.9780% |
2 |
2.0227% |
2 |
0.1048% |
高 |
0.7673% |
2 |
5.1168% |
040003 |
按月结转 |
华安现金富利 |
0.49095 |
0.9615% |
5 |
2.0030% |
3 |
0.1126% |
高 |
0.7652% |
4 |
5.8600% |
180008 |
按日结转 |
银华货币A |
0.40000 |
0.9299% |
18 |
1.9249% |
11 |
0.0972% |
低 |
0.7144% |
21 |
2.9274% |
020007 |
按月结转 |
国泰货币 |
0.27730 |
0.9564% |
7 |
1.7308% |
-- |
0.1033% |
-- |
0.7628% |
8 |
1.7308% |
070008 |
按月结转 |
嘉实货币 |
0.42640 |
0.9527% |
9 |
1.9426% |
-- |
0.1003% |
-- |
0.7570% |
9 |
2.4654% |
160606 |
按月结转 |
鹏华货币 |
0.33760 |
0.9405% |
13 |
1.9659% |
-- |
0.0871% |
-- |
0.7492% |
13 |
2.2316% |
110006 |
按月结转 |
易方达货币 |
0.17810 |
0.9298% |
19 |
1.9565% |
8 |
0.1018% |
中 |
0.7289% |
19 |
2.8253% |
519588 |
按月结转 |
交银施罗德货币 |
0.33120 |
0.4819% |
-- |
0.4819% |
-- |
0.0979% |
-- |
0.4819% |
-- |
0.4819% |
090005 |
按日结转 |
大成货币A |
0.36100 |
0.9381% |
15 |
1.8997% |
-- |
0.0889% |
-- |
0.7491% |
14 |
1.8997% |
240006 |
按日结转 |
华宝兴业现金宝A |
0.33710 |
0.9352% |
16 |
1.8971% |
-- |
0.0944% |
-- |
0.7261% |
20 |
2.2903% |
530002 |
按日结转 |
建信货币 |
0.34170 |
0.1231% |
-- |
0.1231% |
-- |
0.1842% |
-- |
0.1231% |
-- |
0.1231% |
340005 |
按月结转 |
兴业货币 |
0.33300 |
0.1270% |
-- |
0.1270% |
-- |
0.3158% |
-- |
0.1270% |
-- |
0.1270% |
519505 |
按月结转 |
海富通货币 |
0.24360 |
0.9242% |
21 |
1.9528% |
9 |
0.0941% |
低 |
0.7363% |
18 |
3.1924% |
370010 |
按月结转 |
上投摩根货币A |
0.24740 |
0.6222% |
24 |
1.0759% |
-- |
0.0707% |
-- |
0.5140% |
24 |
1.1970% |
平均 |
-- |
0.9291% |
-- |
1.9656% |
-- |
-- |
-- |
0.7375% |
-- |
-- |
(二)货币型基金B |
180009 |
按日结转 |
银华货币B |
0.46640 |
1.0511% |
3 |
2.1696% |
1 |
0.1104% |
高 |
0.8114% |
3 |
3.2465% |
091005 |
按日结转 |
大成货币B |
0.42710 |
1.0606% |
1 |
2.1414% |
-- |
0.1022% |
-- |
0.8472% |
1 |
2.1414% |
240007 |
按日结转 |
华宝兴业现金宝B |
0.40250 |
1.0562% |
2 |
2.1418% |
-- |
0.1076% |
-- |
0.8230% |
2 |
2.5745% |
37001b |
按月结转 |
上投摩根货币B |
0.31010 |
0.7424% |
4 |
1.3187% |
-- |
0.0830% |
-- |
0.6102% |
4 |
1.4784% |
平均 |
-- |
0.9776% |
-- |
2.1696% |
-- |
-- |
-- |
0.7730% |
-- |
-- |
制表:中国银河证券基金研究中心。 截至:2006-05-26
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。 |
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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