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% |
006720 |
安全中心A |
生长型—稳健生长型 |
1.036 |
1.036 |
20190726 |
0.818% |
2.262% |
1.262% |
4.112% |
3.550% |
590005 |
中邮主题 |
生长型—稳健生长型 |
1.480 |
1.640 |
20190726 |
0.817% |
2.281% |
0.886% |
-2.568% |
24.057% |
510810 |
汇添富国企ETF |
指数型 |
0.977 |
1.007 |
20190726 |
0.815% |
2.517% |
2.809% |
1.380% |
27.415% |
660012 |
农银消费A |
生长型—稳健生长型 |
2.230 |
2.310 |
20190726 |
0.814% |
3.408% |
4.719% |
1.562% |
23.071% |
005043 |
国寿健康A |
生长型—稳健生长型 |
0.968 |
0.968 |
20190726 |
0.813% |
2.326% |
0.373% |
-0.021% |
12.667% |
006796 |
富国消费晋级 |
生长型—活跃生长型 |
1.081 |
1.081 |
20190726 |
0.812% |
1.265% |
-0.019% |
2.660% |
8.070% |
004818 |
国寿方针A |
生长型—稳健生长型 |
0.783 |
0.783 |
20190726 |
0.811% |
3.134% |
2.072% |
-4.043% |
14.150% |
660001 |
农银生长A |
生长型—稳健生长型 |
2.028 |
2.628 |
20190726 |
0.810% |
3.074% |
3.978% |
-1.534% |
17.005% |
163402 |
兴全趋势 |
归纳型 |
0.776 |
9.592 |
20190726 |
0.805% |
2.524% |
2.891% |
3.771% |
31.370% |
006721 |
安全中心C |
生长型—稳健生长型 |
1.027 |
1.027 |
20190726 |
0.805% |
2.240% |
1.143% |
3.812% |
2.680% |
001677 |
中银战略 |
生长型—稳健生长型 |
1.378 |
1.378 |
20190726 |
0.805% |
6.245% |
2.759% |
8.847% |
36.842% |
206013 |
鹏华微观 |
生长型—稳健生长型 |
1.128 |
1.572 |
20190726 |
0.804% |
2.639% |
2.267% |
4.155% |
9.197% |
005545 |
中银变革 |
生长型—稳健生长型 |
1.154 |
1.154 |
20190726 |
0.804% |
2.488% |
2.461% |
4.436% |
21.191% |
002199 |
前海中证军工C |
指数型 |
0.627 |
1.587 |
20190726 |
0.804% |
3.636% |
5.734% |
1.129% |
23.913% |
050009 |
博时新式 |
生长型—活跃生长型 |
0.628 |
2.926 |
20190726 |
0.803% |
1.618% |
1.618% |
-3.533% |
35.637% |
004819 |
国寿方针C |
生长型—稳健生长型 |
0.780 |
0.780 |
20190726 |
0.801% |
3.121% |
2.068% |
-4.072% |
14.073% |
002244 |
景顺低碳 |
生长型—稳健生长型 |
1.007 |
1.057 |
20190726 |
0.801% |
4.137% |
5.556% |
2.965% |
25.561% |
270050 |
广发新经济 |
生长型—稳健生长型 |
2.023 |
2.023 |
20190726 |
0.797% |
4.386% |
2.847% |
0.797% |
14.748% |
398051 |
中海新动力 |
生长型—稳健生长型 |
0.892 |
0.892 |
20190726 |
0.791% |
2.529% |
3.842% |
-1.218% |
14.213% |
003017 |
广发军工ETF联接A |
指数型 |
0.765 |
0.765 |
20190726 |
0.791% |
3.018% |
5.302% |
0.844% |
24.528% |
000979 |
景顺沪港深 |
生长型—稳健生长型 |
1.149 |
1.149 |
20190726 |
0.790% |
1.862% |
0.790% |
4.265% |
15.594% |
519679 |
银河主题 |
生长型—稳健生长型 |
3.194 |
3.762 |
20190726 |
0.789% |
3.366% |
3.668% |
3.769% |
32.696% |
001766 |
上投医疗 |
生长型—稳健生长型 |
1.152 |
1.152 |
20190726 |
0.787% |
2.400% |
1.409% |
8.782% |
37.470% |
005207 |
南边高端C |
生长型—稳健生长型 |
1.537 |
1.912 |
20190726 |
0.787% |
7.332% |
6.885% |
5.708% |
27.870% |
217013 |
招商小盘 |
生长型—稳健生长型 |
1.538 |
1.538 |
20190726 |
0.786% |
8.234% |
6.584% |
8.616% |
28.919% |
001559 |
天弘医疗C |
生长型—稳健生长型 |
0.873 |
0.873 |
20190726 |
0.785% |
1.042% |
0.727% |
2.166% |
31.614% |
007041 |
前海联合泳涛C |
生长型—稳健生长型 |
1.065 |
1.065 |
20190726 |
0.785% |
1.168% |
0.122% |
-4.354% |
0.623% |
004634 |
前海联合泳涛A |
生长型—稳健生长型 |
1.067 |
1.067 |
20190726 |
0.784% |
1.176% |
0.150% |
-4.244% |
16.888% |
470058 |
汇添富可转债A |
债券型 |
1.417 |
1.629 |
20190726 |
0.782% |
1.650% |
2.016% |
4.808% |
21.735% |
006365 |
招商丰韵C |
生长型—稳健生长型 |
1.082 |
1.082 |
20190726 |
0.782% |
5.580% |
5.539% |
8.458% |
8.230% |
007382 |
国融融信C |
生长型—稳健生长型 |
1.006 |
1.006 |
20190726 |
0.782% |
0.782% |
0.429% |
-- |
0.590% |
007381 |
国融融信A |
生长型—稳健生长型 |
1.006 |
1.006 |
20190726 |
0.781% |
0.781% |
0.439% |
-- |
0.610% |
006364 |
招商丰韵A |
生长型—稳健生长型 |
1.085 |
1.085 |
20190726 |
0.780% |
5.594% |
5.594% |
8.670% |
8.540% |
161826 |
银华转债 |
优化指数型 |
1.037 |
1.130 |
20190726 |
0.778% |
1.567% |
1.866% |
0.974% |
13.582% |
202027 |
南边高端A |
生长型—稳健生长型 |
1.557 |
1.932 |
20190726 |
0.777% |
7.379% |
6.937% |
5.918% |
28.465% |
005693 |
广发军工ETF联接C |
指数型 |
0.766 |
0.766 |
20190726 |
0.777% |
3.000% |
5.280% |
0.803% |
24.524% |
000969 |
前海大安全 |
生长型—稳健生长型 |
1.039 |
1.039 |
20190726 |
0.776% |
5.697% |
6.783% |
4.317% |
17.667% |
001558 |
天弘医疗A |
生长型—稳健生长型 |
0.884 |
0.884 |
20190726 |
0.776% |
1.052% |
0.753% |
2.268% |
31.915% |
519026 |
海富通小盘 |
生长型—中小企业生长型 |
0.780 |
0.780 |
20190726 |
0.775% |
2.362% |
3.175% |
4.418% |
29.568% |
257050 |
国联安主题 |
生长型—稳健生长型 |
1.418 |
1.418 |
20190726 |
0.775% |
2.214% |
0.861% |
4.405% |
27.256% |
000977 |
长城环保 |
生长型—稳健生长型 |
0.976 |
0.976 |
20190726 |
0.775% |
4.768% |
4.442% |
0.743% |
25.042% |
270007 |
广发大盘 |
生长型—稳健生长型 |
1.275 |
1.275 |
20190726 |
0.775% |
1.351% |
-1.900% |
6.232% |
43.366% |
163411 |
兴全精选 |
生长型—稳健生长型 |
1.732 |
2.010 |
20190726 |
0.774% |
4.421% |
3.515% |
2.827% |
29.691% |
000529 |
广发竞赛 |
生长型—稳健生长型 |
1.954 |
1.954 |
20190726 |
0.774% |
1.877% |
-0.812% |
7.540% |
45.821% |
003194 |
汇添富国企ETF联接 |
指数型 |
0.983 |
0.983 |
20190726 |
0.769% |
2.384% |
2.652% |
1.319% |
25.806% |
000586 |
景顺创业板 |
生长型—活跃生长型 |
1.444 |
1.444 |
20190726 |
0.768% |
3.513% |
4.486% |
0.979% |
19.536% |
001210 |
天弘互联网 |
生长型—活跃生长型 |
0.657 |
0.657 |
20190726 |
0.767% |
8.475% |
7.393% |
6.730% |
33.266% |
000336 |
农银研讨 |
生长型—稳健生长型 |
1.145 |
1.145 |
20190726 |
0.766% |
4.347% |
0.783% |
-0.495% |
24.023% |
000854 |
鹏华工业 |
生长型—活跃生长型 |
1.978 |
1.978 |
20190726 |
0.764% |
2.860% |
2.700% |
8.147% |
58.876% |
660005 |
农银中小盘 |
生长型—活跃生长型 |
1.982 |
2.344 |
20190726 |
0.763% |
3.391% |
4.409% |
2.440% |
25.356% |