2020-12-12 04:30:32 作者: 基金净值排行
基金代码 |
基金简称 |
出资方针 |
单位净值 |
累计净值 |
交易日 |
日增加% |
周增加% |
月增加% |
季增加% |
年增加% |
006396 |
长信双利E |
生长型—活跃生长型 |
1.372 |
1.391 |
20190726 |
0.957% |
2.849% |
0.957% |
3.236% |
23.588% |
000649 |
长城久鑫灵敏 |
生长型—稳健生长型 |
1.025 |
1.255 |
20190726 |
0.956% |
1.970% |
-2.826% |
0.500% |
1.596% |
001417 |
汇添富医疗 |
生长型—稳健生长型 |
1.057 |
1.057 |
20190726 |
0.955% |
1.732% |
0.763% |
4.861% |
24.207% |
512810 |
华宝军工ETF |
指数型 |
0.744 |
0.744 |
20190726 |
0.950% |
2.267% |
5.158% |
0.977% |
27.738% |
001815 |
华泰鼓励A |
生长型—活跃生长型 |
1.386 |
1.451 |
20190726 |
0.947% |
1.316% |
-0.072% |
3.665% |
33.141% |
001998 |
工银新焦点C |
生长型—稳健生长型 |
1.070 |
1.070 |
20190726 |
0.943% |
3.582% |
3.884% |
5.523% |
5.315% |
007188 |
嘉实养老2050 |
生长型—稳健生长型 |
1.038 |
1.038 |
20190724 |
0.943% |
1.052% |
1.675% |
-- |
3.790% |
005777 |
广发科技动力 |
生长型—稳健生长型 |
1.106 |
1.106 |
20190726 |
0.940% |
3.404% |
4.826% |
4.716% |
34.268% |
001628 |
招商体育文明 |
生长型—稳健生长型 |
0.860 |
0.860 |
20190726 |
0.939% |
1.415% |
-0.116% |
2.017% |
33.748% |
003000 |
招商丰德A |
生长型—稳健生长型 |
0.959 |
0.959 |
20190726 |
0.937% |
2.435% |
-1.083% |
-3.277% |
7.101% |
512660 |
国泰军工ETF |
指数型 |
0.778 |
0.778 |
20190726 |
0.935% |
2.844% |
5.438% |
0.439% |
26.382% |
161628 |
融通军工 |
指数型 |
0.867 |
0.630 |
20190726 |
0.931% |
2.120% |
4.837% |
0.464% |
25.652% |
003001 |
招商丰德C |
生长型—稳健生长型 |
0.943 |
0.943 |
20190726 |
0.931% |
2.422% |
-1.091% |
-3.331% |
6.975% |
003401 |
工银可转债 |
债券型 |
1.096 |
1.096 |
20190726 |
0.931% |
2.040% |
2.431% |
4.095% |
17.986% |
000126 |
招商安润 |
生长型—稳健生长型 |
1.175 |
1.519 |
20190726 |
0.928% |
8.077% |
5.495% |
-- |
12.668% |
000471 |
富国乡镇 |
生长型—活跃生长型 |
1.306 |
1.806 |
20190726 |
0.927% |
3.898% |
2.512% |
6.179% |
32.859% |
006307 |
嘉实养老方针 |
生长型—稳健生长型 |
0.991 |
0.991 |
20190724 |
0.927% |
1.040% |
1.673% |
-1.989% |
-0.930% |
200006 |
长城消费 |
生长型—活跃生长型 |
0.982 |
2.422 |
20190726 |
0.925% |
2.090% |
-0.848% |
6.787% |
24.705% |
260112 |
景顺动力 |
生长型—稳健生长型 |
1.419 |
2.282 |
20190726 |
0.925% |
1.793% |
-0.211% |
4.109% |
10.514% |
163809 |
中银蓝筹 |
生长型—稳健生长型 |
1.424 |
1.444 |
20190726 |
0.921% |
6.987% |
7.148% |
6.667% |
34.087% |
512560 |
易方达军工ETF |
指数型 |
0.844 |
0.844 |
20190726 |
0.920% |
2.191% |
4.986% |
0.036% |
24.436% |
160524 |
博时弘泰 |
生长型—稳健生长型 |
1.196 |
1.196 |
20190726 |
0.920% |
0.920% |
1.952% |
0.690% |
13.950% |
004845 |
南华瑞盈A |
生长型—稳健生长型 |
0.727 |
0.727 |
20190726 |
0.917% |
3.123% |
2.382% |
9.660% |
30.127% |
002810 |
金信立异 |
生长型—稳健生长型 |
0.882 |
0.882 |
20190726 |
0.915% |
5.755% |
0.000 |
1.147% |
20.164% |
005304 |
嘉实医药C |
生长型—稳健生长型 |
1.037 |
1.037 |
20190726 |
0.915% |
2.197% |
1.966% |
6.205% |
34.400% |
001717 |
工银前沿 |
生长型—稳健生长型 |
1.545 |
1.545 |
20190726 |
0.914% |
2.726% |
-0.129% |
5.317% |
36.364% |
002082 |
华泰鼓励C |
生长型—活跃生长型 |
1.546 |
1.611 |
20190726 |
0.914% |
1.244% |
-0.129% |
3.550% |
32.818% |
005303 |
嘉实医药A |
生长型—稳健生长型 |
1.051 |
1.051 |
20190726 |
0.912% |
2.208% |
2.019% |
6.399% |
34.886% |
002395 |
鹏华丰尚A |
债券型 |
0.999 |
1.014 |
20190726 |
0.909% |
0.909% |
1.319% |
2.252% |
0.807% |
000408 |
民生乡镇 |
生长型—稳健生长型 |
1.669 |
2.564 |
20190726 |
0.907% |
2.708% |
4.052% |
6.509% |
48.224% |
000596 |
前海中证军工A |
指数型 |
1.227 |
1.227 |
20190726 |
0.905% |
3.632% |
5.867% |
1.238% |
24.190% |
233011 |
大摩主题 |
生长型—稳健生长型 |
2.125 |
2.605 |
20190726 |
0.902% |
5.564% |
5.094% |
6.891% |
29.731% |
002448 |
江信汇福 |
债券型 |
0.996 |
1.022 |
20190726 |
0.902% |
0.902% |
1.313% |
0.820% |
7.657% |
004846 |
南华瑞盈C |
生长型—稳健生长型 |
0.718 |
0.718 |
20190726 |
0.900% |
3.102% |
2.338% |
9.503% |
29.749% |
001048 |
富国新式工业 |
生长型—活跃生长型 |
1.234 |
1.234 |
20190726 |
0.899% |
2.662% |
4.665% |
7.679% |
28.945% |
502003 |
易方达军工 |
指数型 |
1.224 |
0.337 |
20190726 |
0.899% |
2.112% |
4.646% |
0.578% |
25.220% |
217021 |
招商优势 |
生长型—稳健生长型 |
2.134 |
2.134 |
20190726 |
0.898% |
2.154% |
0.613% |
-0.513% |
23.353% |
160211 |
国泰小盘 |
生长型—活跃生长型 |
2.024 |
3.020 |
20190726 |
0.897% |
2.793% |
1.862% |
0.447% |
27.778% |
002628 |
招商安博A |
生长型—稳健生长型 |
1.204 |
1.204 |
20190726 |
0.897% |
5.922% |
5.246% |
7.733% |
23.292% |
002629 |
招商安博C |
生长型—稳健生长型 |
1.183 |
1.183 |
20190726 |
0.896% |
5.911% |
5.205% |
7.598% |
22.947% |
001104 |
华安新丝路 |
生长型—稳健生长型 |
1.239 |
1.239 |
20190726 |
0.896% |
3.164% |
3.595% |
8.021% |
43.403% |
001480 |
财通优选 |
生长型—稳健生长型 |
1.016 |
1.016 |
20190726 |
0.894% |
8.779% |
11.404% |
6.835% |
40.332% |
005402 |
广发资源 |
生长型—稳健生长型 |
0.975 |
0.975 |
20190726 |
0.890% |
1.078% |
0.723% |
6.838% |
16.448% |
160605 |
鹏华50 |
归纳型 |
1.476 |
3.846 |
20190726 |
0.889% |
2.429% |
1.934% |
7.974% |
57.524% |
000297 |
鹏华可转债 |
债券型 |
0.911 |
0.911 |
20190726 |
0.886% |
1.902% |
2.130% |
0.663% |
16.496% |
501070 |
广发睿阳 |
生长型—稳健生长型 |
1.109 |
1.109 |
20190726 |
0.883% |
2.166% |
1.903% |
9.904% |
10.860% |
519173 |
浦银睿智C |
生长型—稳健生长型 |
1.029 |
1.029 |
20190726 |
0.882% |
1.379% |
0.097% |
3.939% |
36.291% |
001701 |
中融工业 |
生长型—稳健生长型 |
1.032 |
1.032 |
20190726 |
0.880% |
2.891% |
2.687% |
-4.178% |
22.857% |
000117 |
广发轮动 |
生长型—稳健生长型 |
1.728 |
1.728 |
20190726 |
0.876% |
2.128% |
0.174% |
3.784% |
41.523% |
519773 |
交银数据 |
生长型—稳健生长型 |
0.922 |
0.922 |
20190726 |
0.875% |
5.977% |
5.977% |
4.892% |
41.195% |