var closepubdate = '2009-12-01';
var closefundarray = new Array();
closefundarray[0] = "184688|基金开元|0.891|0.91%|1.09|-0.20|-18.31%|20.00|";
closefundarray[1] = "184689|基金普惠|1.486|1.78%|1.77|-0.29|-16.25%|20.00|";
closefundarray[2] = "184690|基金同益|1.263|1.53%|1.54|-0.28|-17.98%|20.00|";
closefundarray[3] = "184691|基金景宏|1.288|0.86%|1.60|-0.31|-19.44%|20.00|";
closefundarray[4] = "184692|基金裕隆|1.183|1.46%|1.45|-0.27|-18.51%|30.00|";
closefundarray[5] = "184693|基金普丰|1.129|1.35%|1.43|-0.30|-20.95%|30.00|";
closefundarray[6] = "184698|基金天元|1.154|1.32%|1.42|-0.27|-18.84%|30.00|";
closefundarray[7] = "184699|基金同盛|0.918|0.88%|1.19|-0.27|-22.75%|30.00|";
closefundarray[8] = "184701|基金景福|1.195|1.27%|1.51|-0.31|-20.86%|30.00|";
closefundarray[9] = "184705|基金裕泽|1.161|2.38%|1.24|-0.08|-6.43%|2.00|";
closefundarray[10] = "184721|基金丰和|0.725|1.54%|0.95|-0.23|-23.90%|30.00|";
closefundarray[11] = "184722|基金久嘉|0.816|0.87%|1.03|-0.21|-20.68%|20.00|";
closefundarray[12] = "184728|基金鸿阳|0.632|1.44%|0.83|-0.20|-23.82%|20.00|";
closefundarray[13] = "500001|基金金泰|1.092|1.20%|1.31|-0.22|-16.67%|20.00|";
closefundarray[14] = "500002|基金泰和|0.931|1.31%|1.13|-0.20|-17.35%|20.00|";
closefundarray[15] = "500003|基金安信|1.416|1.87%|1.62|-0.20|-12.48%|20.00|";
closefundarray[16] = "500005|基金汉盛|1.485|2.06%|1.78|-0.30|-16.72%|20.00|";
closefundarray[17] = "500006|基金裕阳|1.544|1.85%|1.75|-0.21|-11.91%|20.00|";
closefundarray[18] = "500008|基金兴华|1.497|1.77%|1.64|-0.14|-8.75%|20.00|";
closefundarray[19] = "500009|基金安顺|1.703|2.10%|1.85|-0.15|-8.11%|30.00|";
closefundarray[20] = "500011|基金金鑫|0.951|0.74%|1.21|-0.26|-21.62%|30.00|";
closefundarray[21] = "500015|基金汉兴|1.217|2.01%|1.53|-0.31|-20.34%|30.00|";
closefundarray[22] = "500018|基金兴和|1.116|0.72%|1.39|-0.28|-19.86%|30.00|";
closefundarray[23] = "500038|基金通乾|1.310|1.79%|1.62|-0.31|-19.08%|20.00|";
closefundarray[24] = "500056|基金科瑞|1.154|1.23%|1.44|-0.29|-19.88%|30.00|";
closefundarray[25] = "500058|基金银丰|1.022|1.39%|1.28|-0.26|-20.09%|30.00|";
