计算截止日:2008-11-7 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 基金管理公司简称 基金规模 (亿份) 到期日 剩余期限(年) 份额净值 (元) 收盘价 (元) 周净值涨跌幅度及排序 周价格涨跌幅度及排序 折价(-)/溢价(+)及排序 折价率 变化 剩余期限收益率及排序 剩余期限年平均收益率及排序 周换手率及排序
1 184713 科翔 易方达 8 2008-12-13 0.10 1.1907 1.107 1.52% 1 -30.81% 34 -7.03% 32 -23.57% 7.56% 31 107.28% 1 10.94% 1
2 500025 汉鼎 富国 5 2008-12-31 0.15 1.0443 1.146 0.5% 8 0% 28 9.74% 33 -0.55% -8.87% 33 -46.18% 34 0% 33
3 184706 天华 银华 25 2009-07-11 0.67 0.7089 0.632 -0.23% 21 4.46% 8 -10.85% 31 4% 12.17% 30 18.69% 2 3.87% 11
4 184703 金盛 国泰 5 2009-11-30 1.06 0.9186 0.801 0.93% 4 3.89% 12 -12.8% 30 2.48% 14.68% 29 13.8% 3 2.68% 18
5 184705 裕泽 博时 5 2011-05-31 2.56 0.7512 0.643 0.36% 12 0.16% 27 -14.4% 29 -0.17% 16.83% 28 6.26% 11 0.77% 32
6 150001 瑞福进取(参考) 国投瑞银 30 2012-07-17 3.69 0.24 0.484 -0.83% 30 -2.81% 33 101.67% 34 -4.12% -50.41% 34 -17.31% 33 8.01% 2
7 150002 大成优选 大成 47 2012-08-01 3.73 0.476 0.395 1.06% 3 0.77% 25 -17.02% 26 -0.25% 20.51% 25 5.13% 21 1.51% 25
8 150003 建信优势动力 建信 46 2013-03-19 4.36 0.508 0.394 -1.55% 34 0% 29 -22.44% 22 1.2% 28.93% 21 6% 15 1.61% 23
9 184688 开元 南方 20 2013-03-26 4.38 0.6639 0.558 0% 17 2.76% 16 -15.95% 28 2.26% 18.98% 27 4.05% 27 1.49% 26
10 500001 金泰 国泰 20 2013-03-26 4.38 0.7688 0.555 0.29% 14 5.11% 3 -27.81% 15 3.31% 38.52% 14 7.72% 4 4.08% 10
11 500008 兴华 华夏 20 2013-04-27 4.47 0.9072 0.741 -0.66% 28 2.21% 19 -18.32% 25 2.29% 22.43% 24 4.63% 24 1.06% 31
12 500003 安信 华安 20 2013-06-21 4.62 1.1849 0.929 -0.91% 31 1.64% 23 -21.6% 24 1.97% 27.55% 23 5.41% 20 1.94% 22
13 500006 裕阳 博时 20 2013-07-24 4.71 1.1153 0.869 0.85% 5 0.35% 26 -22.08% 23 -0.39% 28.34% 22 5.44% 19 1.24% 29
14 184689 普惠 鹏华 20 2014-01-05 5.16 1.1114 0.807 -0.82% 29 5.35% 2 -27.39% 17 4.25% 37.72% 16 6.4% 10 5.63% 3
15 184690 同益 长盛 20 2014-04-07 5.42 0.8253 0.583 0.39% 10 2.1% 20 -29.36% 11 1.18% 41.56% 10 6.62% 7 3.08% 14
16 500002 泰和 嘉实 20 2014-04-07 5.42 0.6204 0.52 -0.13% 20 3.38% 14 -16.18% 27 2.85% 19.31% 26 3.31% 31 1.21% 30
17 184691 景宏 大成 20 2014-05-03 5.49 1.0983 0.764 -0.52% 26 4.37% 9 -30.44% 8 3.26% 43.76% 7 6.83% 5 4.14% 8
18 500005 汉盛 富国 20 2014-05-09 5.50 1.2681 0.964 0.63% 7 3.88% 13 -23.98% 21 2.38% 31.55% 20 5.11% 22 4.69% 6
19 184692 裕隆 博时 30 2014-06-14 5.60 0.8313 0.61 0.69% 6 0% 30 -26.62% 18 -0.51% 36.28% 17 5.68% 17 1.29% 27
20 500009 安顺 华安 30 2014-06-14 5.60 0.9919 0.732 -0.47% 25 2.66% 17 -26.2% 19 2.26% 35.51% 18 5.58% 18 1.59% 24
21 184693 普丰 鹏华 30 2014-07-13 5.68 0.8983 0.621 0.49% 9 4.72% 7 -30.87% 6 2.79% 44.65% 5 6.72% 6 4.28% 7
22 500018 兴和 华夏 30 2014-07-13 5.68 0.8146 0.587 -0.06% 19 4.08% 10 -27.94% 13 2.87% 38.77% 12 5.94% 16 1.25% 28
23 184698 天元 南方 30 2014-08-25 5.80 0.9414 0.669 -0.93% 32 -0.15% 32 -28.94% 12 0.55% 40.72% 11 6.07% 13 2.38% 19
24 500011 金鑫 国泰 30 2014-10-20 5.95 0.636 0.448 -0.02% 18 1.82% 21 -29.56% 10 1.27% 41.96% 9 6.07% 14 2.18% 21
25 184699 同盛 长盛 30 2014-11-04 5.99 0.6718 0.459 0.01% 16 2.91% 15 -31.68% 4 1.92% 46.36% 3 6.57% 8 4.14% 9
26 184701 景福 大成 30 2014-12-29 6.15 0.9155 0.631 -0.38% 24 4.82% 5 -31.08% 5 3.41% 45.09% 4 6.24% 12 3.33% 13
27 500015 汉兴 富国 30 2014-12-29 6.15 1.0705 0.729 0.28% 15 4.74% 6 -31.9% 2 2.9% 46.84% 1 6.45% 9 5.03% 5
28 500038 通乾 融通 20 2016-08-28 7.81 0.934 0.638 -0.61% 27 4.93% 4 -31.69% 3 3.61% 46.39% 2 5% 23 5.25% 4
29 184728 鸿阳 宝盈 20 2016-12-09 8.09 0.5531 0.413 -0.36% 22 1.47% 24 -25.33% 20 1.35% 33.92% 19 3.68% 30 2.95% 17
30 500056 科瑞 易方达 30 2017-03-11 8.35 0.8264 0.574 -0.37% 23 5.9% 1 -30.54% 7 4.12% 43.97% 6 4.46% 25 3.49% 12
31 184721 丰和 嘉实 30 2017-03-21 8.37 0.5932 0.429 -1.31% 33 1.66% 22 -27.68% 16 2.12% 38.28% 15 3.95% 28 3.02% 16
32 184722 久嘉 长城 20 2017-07-04 8.66 0.6087 0.439 0.38% 11 2.57% 18 -27.88% 14 1.54% 38.66% 13 3.85% 29 3.05% 15
33 500058 银丰 银河 30 2017-08-14 8.77 0.733 0.514 1.24% 2 4.05% 11 -29.88% 9 1.89% 42.61% 8 4.13% 26 2.28% 20