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05年6月20日中信证券封闭式基金评级结果一览


http://finance.sina.com.cn 2005年06月20日 14:15 中信证券

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

20

基金景宏

★★★

0.459

-1.71%

-20.73%

0.8675

0.41%

0.03%

-47.09%

0.69%

15.78%

20

基金鸿阳

★★★

0.48

-2.83%

-20.79%

0.8984

-0.51%

-5.46%

-46.57%

1.00%

19.66%

30

基金景福

★★

0.45

-1.53%

-23.86%

0.838

-1.24%

-8.45%

-46.30%

1.39%

13.90%

30

基金普丰

★★★

0.465

-1.06%

-16.06%

0.8635

-0.93%

-2.59%

-46.15%

1.77%

22.50%

20

基金同益

★★★

0.51

-0.20%

-16.12%

0.9462

-1.09%

-1.30%

-46.10%

2.18%

24.14%

30

基金汉兴

★★★

0.443

-3.49%

-24.27%

0.8205

0.04%

-6.93%

-46.01%

0.95%

16.59%

30

基金兴和

0.482

-0.62%

-22.13%

0.8919

-0.52%

-8.26%

-45.96%

1.80%

27.00%

30

基金丰和

★★★

0.529

-0.19%

-14.70%

0.9781

-0.14%

-2.41%

-45.92%

2.12%

36.40%

30

基金金鑫

0.49

-1.41%

-20.20%

0.9059

-0.44%

-7.98%

-45.91%

1.18%

16.46%

30

基金同盛

★★

0.474

-1.25%

-16.84%

0.8708

-1.16%

-3.86%

-45.57%

0.96%

14.99%

20

基金久嘉

★★★★

0.55

-3.34%

-13.93%

1.0084

-1.13%

-1.14%

-45.46%

1.61%

53.28%

20

基金普惠

0.494

-1.00%

-18.48%

0.9011

-0.16%

-4.28%

-45.18%

1.15%

12.08%

30

基金裕隆

0.499

-0.40%

-16.69%

0.9086

-1.13%

-5.91%

-45.08%

1.66%

25.11%

30

基金天元

★★★

0.549

-1.79%

-18.91%

0.9988

-1.64%

-4.96%

-45.03%

0.77%

12.11%

20

基金金泰

★★★

0.514

-1.91%

-18.90%

0.9335

-1.27%

-6.76%

-44.94%

0.82%

13.72%

30

基金银丰

★★

0.511

-1.73%

-22.76%

0.925

-1.60%

-7.49%

-44.76%

1.55%

33.61%

20

基金泰和

★★

0.519

-2.08%

-16.43%

0.9389

-0.63%

-5.51%

-44.72%

0.33%

13.64%

20

基金通乾

★★★

0.496

-3.31%

-22.24%

0.8945

-1.82%

-10.97%

-44.55%

0.61%

10.57%

20

基金汉盛

★★★★

0.529

-2.04%

-14.95%

0.9483

-0.98%

-4.40%

-44.22%

0.27%

11.67%

20

基金裕阳

★★

0.523

-0.95%

-20.36%

0.9314

-0.88%

-6.89%

-43.85%

0.88%

17.31%

20

基金开元

★★★

0.561

-1.41%

-18.58%

0.9891

-0.73%

-4.20%

-43.28%

0.45%

13.78%

30

基金安顺

★★★★

0.566

-1.22%

-14.19%

0.9979

-1.21%

-0.38%

-43.28%

0.44%

11.32%

20

基金兴华

★★★

0.555

-3.14%

-24.01%

0.9488

0.08%

-6.46%

-41.51%

0.97%

34.52%

30

基金科瑞

★★★★★

0.662

-0.15%

-14.25%

1.1313

0.24%

-0.17%

-41.48%

1.36%

32.64%

25

基金天华

★★

0.468

-3.31%

-14.60%

0.7886

-0.79%

-7.22%

-40.65%

1.04%

28.72%

20

基金安信

★★★★

0.617

-1.75%

-8.44%

0.9913

-3.20%

-2.05%

-37.76%

0.33%

15.87%

15

基金裕元

★★★

0.752

-1.05%

-4.38%

0.999

-0.08%

-2.57%

-24.72%

1.03%

22.57%

10

基金景博

★★

0.655

-0.15%

-1.95%

0.8601

-0.38%

-5.19%

-23.85%

0.83%

27.21%

10

基金景阳

★★★

0.737

-1.07%

3.37%

0.9673

-2.35%

-0.87%

-23.81%

0.99%

43.00%

5

基金金盛

★★★★

0.663

-1.04%

-12.44%

0.9548

-0.81%

-6.20%

-30.56%

1.83%

31.85%

5

基金裕泽

★★★★★

0.767

-0.90%

-4.04%

1.0777

-0.77%

-0.65%

-28.83%

1.03%

33.41%

5

基金汉鼎

★★

0.611

-2.40%

-11.32%

0.847

-1.64%

-5.13%

-27.86%

0.48%

19.18%

8

基金科翔

★★★★★

0.858

-1.15%

0.26%

1.1433

0.38%

1.89%

-24.95%

0.74%

52.63%

8

基金融鑫

★★★

0.748

1.77%

-2.73%

0.9783

-1.00%

-6.08%

-23.54%

1.15%

26.23%

8

基金科汇

★★★★★

0.927

-1.59%

0.86%

1.2057

-0.88%

0.53%

-23.12%

2.84%

88.26%

5

基金鸿飞

★★

0.661

-2.79%

-10.92%

0.8585

-1.62%

-13.25%

-23.01%

0.25%

19.19%

5

基金兴安

★★★★

0.759

-0.78%

-3.19%

0.9753

-1.84%

-1.88%

-22.18%

0.48%

14.53%

5

基金裕华

★★★

0.787

-0.51%

-1.94%

1.0048

-0.75%

-0.93%

-21.68%

0.43%

20.95%

8

基金科讯

★★★★

0.854

-1.27%

1.37%

1.0902

-1.25%

-2.14%

-21.67%

0.74%

28.30%

5

基金同德

★★★★★

0.801

-0.74%

0.62%

1.0176

-1.01%

-1.14%

-21.29%

0.37%

30.40%

5

基金普润

★★★

0.686

-0.44%

-3.38%

0.8713

-0.27%

-2.71%

-21.27%

0.39%

21.59%

5

基金安久

★★

0.619

-1.12%

-10.94%

0.7823

-2.65%

-10.12%

-20.87%

0.34%

54.28%

5

基金普华

0.555

-0.18%

-6.57%

0.6993

-0.29%

-5.01%

-20.63%

0.61%

22.84%

5

基金金鼎

★★★

0.742

-0.67%

-1.07%

0.9275

-0.09%

-1.58%

-20.00%

0.30%

15.03%

5

基金汉博

★★★★

0.695

-0.86%

-4.27%

0.8667

-1.08%

-5.35%

-19.81%

0.23%

17.36%

5

基金兴科

★★★

0.812

3.31%

-0.18%

0.9932

-1.06%

-0.85%

-18.24%

1.52%

17.96%

5

基金景业

★★★★

0.669

-1.62%

1.06%

0.8134

-0.61%

-4.82%

-17.75%

0.56%

39.99%

5

基金通宝

★★

0.695

-0.29%

-5.57%

0.844

-0.66%

-9.66%

-17.65%

0.46%

16.90%

5

基金久富

★★★

0.75

2.32%

-4.46%

0.9095

-1.16%

-6.27%

-17.54%

0.94%

20.20%

5

基金安瑞

0.67

3.72%

-7.59%

0.8124

-1.98%

-10.29%

-17.53%

1.00%

13.57%

5

基金金元

★★★★

0.771

-1.78%

0.92%

0.933

-1.40%

-2.20%

-17.36%

0.38%

20.31%

5

基金隆元

★★★

0.689

-0.14%

-1.29%

0.8281

-4.55%

-4.65%

-16.80%

0.25%

25.50%

5

基金同智

★★★★

0.86

0.23%

2.19%

1.0295

-0.76%

-1.55%

-16.46%

0.47%

27.58%

5

基金兴业

★★★

0.711

-0.56%

-0.14%

0.8066

-2.19%

-5.15%

-11.85%

0.42%

25.71%

817

基金指数

 

756.68

-1.30%

-14.39%

0.9308

-0.90%

-4.69%

-39.78%

1.07%

23.09%

680

大型基金

 

748.23

-1.54%

-17.31%

0.9277

-0.85%

-4.82%

-43.55%

1.12%

21.70%

137

小型基金

 

626.53

-0.42%

-2.74%

0.9460

-1.16%

-4.04%

-21.11%

0.79%

29.96%

 

中标 300

 

710.13

-2.10%

-13.03%

           
 

基金总市值

   

458.60

(亿元)

 

基金总净值

760.43

(亿元)

   
资料来源:中信证券研究咨询部 胡浩 截至:2005-06-17  制表:新浪财经


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