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中国银河证券·开放式基金净值增长率排行榜(二)


http://finance.sina.com.cn 2006年07月10日 05:37 中国证券报

  序号基金

  代码基金简称收益结转 方式日万份基金单位收益(元)七日年化 收益率过去一周过去一个月 (4周)过去三个月 (13周)过去六个月 (26周)今年以来过去一年 (52周)过去两年 (104周)过去三年 (156周)成立以来累计净值增长率

  净值增长率排序净值增长率排序净值增长率排序净值增长率排序净值增长率排序净值增长率排序净值增长率排序净值增长率排序

  5.1 货币市场基金-货币市场(A级)

  1040003华安现金富利按月结转0.515751.927%0.0370%100.1502%80.4676%110.9506%80.9865%71.9587%34.8936%2----6.0924%

  2217004招商现金增值按日结转0.41441.906%0.0362%160.1452%150.4573%160.8759%230.9007%231.7403%144.6039%7----5.6711%

  3050003博时现金收益按日结转0.48432.204%0.0418%20.1534%60.4884%30.9571%40.9954%41.9405%54.7452%4----5.7380%

  4290001泰信天天收益按月结转0.44851.84%0.0353%190.1413%180.4559%170.9218%140.9579%151.9011%114.7053%5----5.5447%

  5202301南方现金增利按月结转0.751552.18%0.0418%10.1653%20.4991%10.9792%11.0129%12.0050%14.9726%1----5.7227%

  6519999长信利息收益按日结转0.41621.827%0.0347%210.1410%200.4578%150.9309%130.9690%131.9320%64.6646%6----5.2951%

  7003003华夏现金增利按日结转0.35561.975%0.0375%60.1591%30.4906%20.9668%21.0012%21.9819%24.8039%3----5.3671%

  8320002诺安货币按月结转0.470332.029%0.0389%30.1544%40.4847%40.9629%30.9963%31.9549%4--------3.4988%

  9150005银河银富货币按日结转0.34571.775%0.0337%250.1370%250.4536%190.9406%110.9753%111.9215%7--------3.5044%

  10519505海富通货币按月结转0.42681.914%0.0367%140.1459%130.4449%240.9132%190.9516%181.9090%10--------3.4129%

  11180008银华货币(A级)按日结转0.49851.917%0.0364%150.1397%220.4482%230.8917%210.9248%211.8921%12--------3.1424%

  12110006易方达货币按月结转0.57711.786%0.0343%220.1413%190.4604%140.9154%180.9496%191.9126%9--------3.0868%

  13070008嘉实货币按月结转0.30762.003%0.0384%40.1537%50.4743%60.9512%60.9848%81.9170%8--------2.6971%

  14240006华宝兴业现金宝(A级)按日结转0.36941.514%0.0288%290.1289%270.4244%250.8836%220.9207%221.8680%13--------2.4879%

  15160606鹏华货币按月结转0.37961.756%0.0337%260.1363%260.4527%220.9197%160.9564%161.9080%----------2.4418%

  16370010上投摩根货币(A类)按月结转0.28011.36%0.0261%300.1062%280.3327%260.6489%240.6724%241.1460%----------1.3565%

  17288101中信现金优势按日结转0.48381.851%0.0352%200.1401%210.4533%200.9212%150.9601%141.9078%----------2.3894%

  18270004广发货币按月结转0.36961.558%0.0299%280.1374%240.4540%180.9180%170.9546%171.8850%----------2.1041%

  19200003

长城货币按日结转0.700131.954%0.0371%80.1469%120.4700%100.9414%100.9763%101.9289%----------2.1466%

  20090005大成货币(A级)按日结转1.61292.014%0.0382%50.1667%10.4818%50.9511%70.9890%61.9367%----------2.1424%

  21163802中银国际货币按月结转0.3671.919%0.0368%130.1441%160.4610%130.9384%120.9723%121.7519%----------1.8459%

  22360003光大保德信货币按日结转0.33141.94%0.0369%120.1519%70.4738%70.9561%50.9915%51.9050%----------2.0184%

  23020007国泰货币按月结转0.35921.843%0.0353%180.1488%90.4624%120.9488%90.9831%91.8828%----------1.9532%

  24260102景顺长城货币按月结转0.38681.661%0.0319%270.1382%230.4530%210.8952%200.9255%20------------1.8199%

  25162206泰达荷银货币按月结转0.4051.953%0.0375%70.1486%100.4733%80.9539%--0.9900%--------------1.2579%

  26080011长盛货币按日结转0.45671.899%0.0361%170.1480%110.4729%90.9503%--0.9849%--------------1.0917%

  27161608融通易支付货币按月结转0.23931.924%0.0369%110.1459%140.4703%--0.8731%--0.8731%--------------0.8731%

  28519588交银施罗德货币按月结转0.38671.929%0.0370%90.1420%170.4187%--0.6991%--0.6991%--------------0.6991%

  29482002工银瑞信货币按日结转0.39481.793%0.0341%230.1418%--0.4277%--0.5065%--0.5065%--------------0.5065%

  30519518汇添富货币按月结转0.21891.77%0.0339%240.1379%--0.4508%--0.5219%--0.5219%--------------0.5219%

  31530002建信货币按日结转0.41731.833%0.0348%--0.1331%--0.3205%--0.3205%--0.3205%--------------0.3205%

  32340005兴业货币按月结转0.32611.798%0.0345%--0.1341%--0.3174%--0.3174%--0.3174%--------------0.3174%

  33519508万家货币按月结转0.34531.812%0.0348%--0.1382%--0.2201%--0.2201%--0.2201%--------------0.2201%

  34100025富国天时货币按月结转0.44881.877%0.0360%--0.1596%--0.1596%--0.1596%--0.1596%--------------0.1596%

  35410002华富货币按月结转0.56851.532%0.0294%--0.0669%--0.0669%--0.0669%--0.0669%--------------0.0669%

  平 均0.0354%--0.1449%--0.4595%--0.9200%--0.9545%--1.9168%--4.7699%--------

  5.2 货币市场基金-货币市场(B级)

  1180009银华货币(B级)按日结转0.5622.165%0.0411%20.1581%20.5088%21.0131%21.0501%22.1367%1--------3.4909%

  2240007华宝兴业现金宝(B级)按日结转0.43571.761%0.0335%30.1474%30.4850%31.0048%31.0459%32.1127%2--------2.8012%

  337001b上投摩根货币(B类)按月结转0.34411.595%0.0306%40.1246%40.3926%40.7690%40.7965%41.3886%----------1.6663%

  4091005大成货币(B级)按日结转1.67752.248%0.0426%10.1852%10.5425%11.0733%11.1157%12.1829%----------2.4132%

  平 均0.0370%--0.1538%--0.4822%--0.9651%--1.0021%--2.1247%------------

  制表:中国银河证券基金研究中心

  计算截止日:2006-7-7数据来源:中国银河证券基金研究中心

  序号基金

  代码基金简称份额净值 (元)份额累计净值(元)过去一周过去一个月(4周)过去三个月(13周)过去六个月(26周)今年以来过去一年(52周)过去两年(104周)过去三年(156周)成立以来累计净值增长率

  净值增长率排序净值增长率排序净值增长率排序净值增长率排序净值增长率排序净值增长率排序银河

  星级评价净值增长率排序银河

  星级评价净值增长率排序银河

  星级评价

  21100022富国天瑞强势地区1.49151.63150.85%218.32%1829.23%1752.93%1362.09%980.51%4★★★★------------69.26%

  22398011国联分红增利1.06351.41350.07%277.22%2327.92%2040.13%2145.82%2147.83%----------------46.87%

  23002011华夏红利1.631.681.43%1310.36%639.67%464.64%570.00%570.90%----------------70.90%

  24519008汇添富优势精选1.77351.82350.98%209.85%1034.94%772.60%282.12%2------------------84.89%

  25519087新世纪优选分红1.08911.39312.86%37.58%2228.78%1936.74%2340.58%23------------------41.98%

  26163302巨田资源优选1.47321.65821.45%1210.21%730.80%1366.17%470.24%4------------------73.56%

  27161005富国天惠精选成长1.53211.65212.13%89.91%932.46%1062.20%--66.60%--------------------70.40%

  28400003东方精选1.11591.50390.26%237.91%2141.57%--54.06%--54.06%--------------------54.06%

  29550001信诚四季红1.06161.0616-0.11%--7.30%--6.16%--6.16%--6.16%--------------------6.16%

  30162207泰达荷银效率优选1.03511.03511.40%--7.24%--3.51%--3.51%--3.51%--------------------3.51%

  31270006广发策略优选1.02211.02210.81%--3.35%--2.21%--2.21%--2.21%--------------------2.21%

  32240008华宝兴业收益增长1.02111.02110.78%--2.11%--2.11%--2.11%--2.11%--------------------2.11%

  平均1.36%--9.02%--31.50%--52.40%--57.94%--72.10%----53.18%----44.21%------

  2.2 混合基金-平衡型

  1110001易方达平稳增长1.6061.876-0.50%113.81%1124.68%843.11%649.52%661.42%7--63.37%4--87.06%1--101.63%

  2217002招商安泰平衡1.29331.48830.81%75.90%923.65%935.87%938.44%944.99%9--41.03%7--51.27%----53.25%

  3240002华宝兴业宝康配置1.52491.67491.25%46.83%721.56%1042.17%747.71%771.39%5--60.94%5--------74.27%

  4002001华夏回报1.4291.8180.49%810.59%337.29%165.64%370.37%384.47%3--82.74%2--------95.39%

  5260103景顺长城动力平衡1.58141.74141.53%311.08%235.46%559.17%463.62%566.27%6--68.06%3--------82.18%

  6270001广发聚富1.72481.98480.81%67.57%536.75%268.01%175.48%197.11%1--110.99%1--------118.19%

  7288001中信经典配置1.34021.39021.61%27.41%625.62%740.45%844.75%859.40%8--46.06%6--------40.50%

  8270002广发稳健增长1.7411.9110.15%106.24%836.45%467.10%273.44%292.74%2--------------101.78%

  9040004华安宝利配置1.6611.8012.15%110.13%433.98%659.03%564.46%482.99%4--------------85.84%

  10420001天弘精选1.0351.1350.39%94.16%108.62%1113.30%1014.07%--------------------14.05%

  11163402兴业趋势投资1.56651.66651.06%511.48%136.62%364.21%--69.33%--------------------72.21%

  12373010上投摩根双息平衡1.05771.05771.54%--7.45%--5.77%--5.77%--5.77%--------------------5.77%

  13519007海富通强化回报1.0351.0351.57%--3.29%--3.50%--3.50%--3.50%--------------------3.50%

  14050007博时平衡配置1.0171.0170.39%--2.21%--1.70%--1.70%--1.70%--------------------1.70%

  15519690交银施罗德稳健配置1.02361.02361.19%--2.36%--2.36%--2.36%--2.36%--------------------2.36%

  平均0.96%--7.75%--29.15%--49.39%--58.64%--73.42%----67.60%----69.17%------

  2.3 混合基金-偏债型

  1121001国投瑞银融华债券1.32891.47890.26%64.51%616.86%528.79%432.17%441.21%4--41.95%1--49.81%----52.11%

  2519003海富通收益增长1.2371.2970.98%46.55%522.02%331.75%336.30%244.75%3--36.29%2--------30.56%

  3340001兴业可转债1.11781.41880.48%56.77%422.60%136.11%141.54%151.18%2--48.25%----------47.63%

  4350001天治财富增长1.30171.38172.36%29.37%122.57%231.85%236.01%352.63%1--40.21%----------40.09%

  5310318申万巴黎盛利配置1.07641.10340.19%72.34%87.41%810.87%812.04%814.26%6--------------10.45%

  6162205泰达荷银风险预算1.25111.31612.63%17.23%218.31%426.53%528.19%533.77%5--------------33.31%

  7450001富兰克林国海收益1.25621.3012-0.40%83.96%716.52%623.57%626.57%629.85%----------------31.05%

  8253010国联安德盛安心成长1.2031.2231.69%36.84%316.12%719.54%720.31%7------------------22.65%

  平均1.02%--5.95%--17.80%--26.13%--29.14%--39.63%----41.68%----49.81%------

  3.1 债券基金-债券型

  1202101南方宝元债券1.1331.353-0.33%143.12%34.69%513.16%515.89%525.58%4★★★★28.15%4★★★★33.74%1--39.34%

  2001001华夏债券(A/B类)1.0361.1660.10%90.48%91.94%84.94%95.92%910.62%7★★★13.40%8★★★14.04%2--17.57%

  3217003招商安泰债券(A类)1.02451.1360.07%100.33%101.37%102.63%113.25%117.75%12★12.00%9★★13.78%----14.09%

  4090002大成债券(A/B类)1.00621.1887-0.03%120.19%120.74%111.16%123.05%129.56%9★★13.60%7★★★20.01%----20.25%

  5070005嘉实

理财通债券1.1461.2360.26%41.05%512.45%117.25%218.10%326.25%3★★★★28.20%3★★★★24.48%----24.48%

  6160602鹏

华普天债券(A类)1.0171.1020.10%60.30%110.69%123.07%105.62%1010.46%8★★★10.11%11★10.36%----10.36%

  7240003华宝兴业宝康债券1.02011.16510.36%30.89%63.91%67.96%67.73%78.17%11★9.08%12★------17.35%

  8151002银河银联收益1.20691.31690.19%52.64%410.69%317.90%119.30%230.23%1★★★★★33.27%1★★★★★------33.71%

  9161603融通债券1.031.2050.10%70.59%81.84%97.01%79.99%614.78%6★★★15.00%6★★★------21.79%

  10510080长盛债券1.15821.31820.42%24.39%110.91%214.93%417.20%423.18%5★★★★27.50%5★★★★------35.18%

  11100018富国天利增长债券1.13541.27541.19%13.91%29.57%417.02%319.40%128.65%2★★★★★29.99%2★★★★★------29.91%

  12020002国泰金龙债券1.0871.129-0.18%130.83%72.26%75.95%87.69%89.24%10★★11.23%10★★------13.22%

  13001003华夏债券(C类)1.0341.1640.10%80.39%--1.85%--2.24%--2.24%--------------------2.24%

  14217203招商安泰债券(B类)1.02361.13510.07%--0.30%--1.26%--1.26%--1.26%--------------------1.26%

  15092002大成债券(C类)1.0051.1875-0.04%--0.14%--0.43%--0.43%--0.43%--------------------0.43%

  16160608鹏华普天债券(B类)1.0161.1010.00%--0.20%--0.30%--0.30%--0.30%--------------------0.30%

  平均0.15%--1.56%--5.09%--9.42%--11.10%--17.04%----19.29%----19.40%------

  3.2 债券基金-中短债型

  1050006博时稳定价值债券1.0011.01850.03%10.14%30.50%11.02%11.05%2------------------1.86%

  2110007易方达月月收益(A级)1.00131.0150.02%20.14%20.33%30.88%30.93%3------------------1.51%

  3110008易方达月月收益(B级)1.00151.01690.02%30.16%10.38%20.99%21.05%1------------------1.70%

  4202102南方多利中短债1.00261.00390.01%40.25%--0.36%--0.39%--0.39%--------------------0.39%

  5519519友邦华泰中短债1.00131.00130.03%--0.03%--0.13%--0.13%--0.13%--------------------0.13%

  6070009嘉实超短债1.00031.00180.01%--0.02%--0.18%--0.18%--0.18%--------------------0.18%

  7290003泰信中短债1.0011.0010.03%--0.10%--0.10%--0.10%--0.10%--------------------0.10%

  平均0.02%--0.15%--0.40%--0.96%--1.01%----------------------

  4.1 其他基金-保本型

  1180002银华保本增值1.09421.13820.46%41.82%56.33%510.24%510.91%513.36%4--15.88%2--------14.20%

  2161902万家保本增值1.12921.19420.77%22.71%47.80%411.58%312.02%314.60%2--------------20.18%

  3020006国泰金象保本1.121.165-0.27%53.23%38.21%312.37%213.04%214.48%3--------------17.00%

  4070007嘉实浦安保本1.1461.1660.88%13.62%28.32%211.15%412.01%412.35%5--------------16.85%

  5020008国泰金鹿保本1.0091.009-0.10%--0.60%--0.90%--0.90%--0.90%--------------------0.90%

  平均0.35%--2.85%--7.67%--11.34%--12.00%--13.70%----15.88%------------

  4.2 其他基金-特殊策略

  1540001汇丰晋信生命周期1.02381.02380.50%--2.40%--2.38%--2.38%--2.38%--------------------2.38%


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