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Sunday, April 1, 2007

3.31-开放式基金净值一览表(2)

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〖10:00〗股票型基金净值最近一周增长龙虎榜(20070330)(中财网)
更新时间:2007-03-31



@代码基金名称单位净值累计净值日增长周增长
491201N南方稳健成长1.1222.7370.32%3.77%
491704N易方达积极成长1.0362.872-0.16%3.65%
492901N金鹰优选2.0012.0910.84%3.44%
493404N景顺长城内需增长2.7893.479-0.18%3.37%
493408N景顺长城内需增长2号1.6371.637-0.37%3.22%
493503N长城消费增值1.1941.6940.12%3.05%
494303N天治核心1.0582.0680.30%3.02%
491904N长盛中证1001.2341.274-0.51%3.01%
491205N南方高增长基金1.4642.3680.30%2.98%
491207N南稳贰号1.8261.8261.09%2.94%
492303N嘉实理财稳健1.5232.1860.86%2.84%
491901N长盛成长价值1.1382.3420.35%2.80%
491208N南方绩优成长1.4571.4570.09%2.75%
495402N富兰克林国海弹性1.1021.8120.46%2.50%
493802N诺安股票1.2732.346-0.29%2.38%
491807N融通动力先锋1.3441.444-0.37%2.21%
495301N友邦盛世1.3292.334-0.05%2.17%
491504N鹏华中国50开放式1.1992.7290.00%2.13%
493104N华宝兴业多策略增长2.1892.309-0.12%2.12%
491204N南方积极配置1.0472.102-0.45%2.02%
494203N兴业全球视野1.8821.8820.29%1.97%
492408N大成积极成长1.0371.739-0.38%1.97%
493401N景顺优选股票基金1.0162.8270.00%1.89%
492104N博时主题行业1.4422.363-0.12%1.89%
494801N长信银利精选1.1142.2440.26%1.84%
494103N泰信优质生活1.1571.2470.17%1.82%
492201N银华优势企业1.3182.3080.11%1.77%
492103N博时精选股票1.0572.447-0.16%1.76%
493406N景顺长城资源垄断1.5602.220-0.19%1.76%
491301N华夏成长1.1562.3370.09%1.76%
491401N国泰金鹰增长1.8802.643-0.16%1.75%
492503N万家公用事业1.1521.882-0.10%1.74%
492401N大成价值增长1.0962.756-0.01%1.71%
491801N融通新蓝筹1.0492.614-0.11%1.68%
491403N国泰金龙精选1.7182.5500.29%1.67%
494501N光大保德信量化核心2.3222.402-0.06%1.62%
492804N国投瑞银创新动力1.5401.6200.24%1.62%
491804N融通蓝筹成长1.0292.159-0.29%1.48%
493405N景顺长城鼎益LOF1.6102.5300.06%1.45%
491708N易方达价值精选1.7551.8150.29%1.45%
493804N诺安价值增长1.2971.397-0.45%1.42%
492205N银华优质增长1.8281.828-0.44%1.41%
493107N华宝兴业先进成长1.5071.507-0.07%1.40%
494502N光大保德信红利2.0682.2080.21%1.35%
492003N宝盈策略增长1.0211.021-0.23%1.34%
492902N金鹰中小盘精选1.2711.8911.23%1.34%
496001N建信恒久价值1.8552.0050.04%1.32%
492302N嘉实理财增长2.7713.112-0.04%1.32%
492301N嘉实成长收益1.1172.6670.08%1.29%
496601N中欧新趋势1.0511.0510.00%1.28%
492204N银华优选股票基金2.6772.897-0.31%1.28%
491309N华夏优势增长1.2031.323-0.08%1.26%
494404N上投摩根成长先锋1.5851.585-0.09%1.23%
492704N泰达荷银行业精选2.8452.915-0.15%1.22%
495801N交银精选1.0032.658-0.44%1.19%
495603N工银瑞信稳健成长1.1491.149-0.31%1.16%
496002N建信优选成长1.3041.6540.05%1.12%
495502N汇添富均衡增长1.6721.772-0.54%1.11%
496701N信达澳银领先增长1.0171.017-0.07%1.08%
491506N鹏华价值优势1.8161.866-0.06%1.06%
492206N银华富裕主题1.3751.400-0.45%1.05%
493902N中信红利1.3392.7390.19%1.02%
493101N华宝兴业宝康消费品1.0012.658-0.50%1.00%
493205N国联安德盛优势1.0221.0220.00%0.99%
492605N招商优质成长1.0142.924-0.08%0.98%
492803N国投瑞银核心企业1.7831.873-0.28%0.97%
492305N嘉实服务增值行业2.3952.515-0.54%0.97%
491606N富国天合稳健优选1.3661.416-0.73%0.92%
493604N广发聚丰2.5942.794-0.37%0.92%
493105N华宝兴业动力组合基金1.3002.380-0.46%0.83%
492701N泰达荷银成长1.3012.3810.29%0.81%
494503N光大新增长1.6491.7490.12%0.79%
492601N招商安泰股票2.3742.5990.31%0.79%
494401N上投摩根中国优势2.9283.3780.52%0.76%
496003N建信优化配置1.0311.031-0.08%0.75%
494402N上投摩根股票基金3.1913.231-0.32%0.74%
492702N泰达荷银周期1.0802.5550.48%0.74%
491304N华夏大盘精选3.6063.7860.50%0.73%
491501N鹏华行业成长2.3942.544-0.09%0.71%
496401N中邮创业核心优选1.4681.8880.51%0.67%
492703N泰达荷银稳定1.0492.549-0.48%0.66%
491603N富国天益价值1.8592.816-0.72%0.64%
493407N景顺长城新兴成长1.7771.897-0.11%0.62%
493603N广发小盘成长1.7802.7400.04%0.56%
496202N汇丰晋信龙腾1.5781.578-0.42%0.56%
495803N交银成长1.5181.518-0.62%0.53%
493301N海富通精选2.5992.949-0.37%0.52%
495503N汇添富成长焦点1.0081.008-0.19%0.51%
495601N工银瑞信股票基金2.2362.636-0.67%0.51%
495202N华富成长趋势1.0041.004-0.06%0.50%
493303N海富通股票基金1.0422.294-0.57%0.48%
494603N中海能源策略1.0081.008-0.29%0.40%
491702N易方达策略成长2.9233.3930.03%0.31%
495403N富兰克林国海潜力1.0021.002-0.07%0.27%
493305N海富通风格优势1.0851.541-0.73%0.18%
491503N鹏华普天收益1.1612.4710.00%0.17%
493505N长城久富核心成长1.0082.888-0.08%0.08%
494803N长信增利动态策略1.4821.6420.13%0.07%
494902N中银国际持续增长1.6691.919-0.17%0.02%
492707N泰达荷银首选企业1.1231.173-0.55%0.01%
491105N华安宏利1.8781.958-0.54%0.00%
492002N宝盈泛沿海区域增长1.3352.185-0.14%-0.17%
493204N国联安德盛精选1.1572.467-0.43%-0.17%
493701N巨田基础行业1.5591.8190.40%-0.23%
492001N宝盈鸿利收益1.1412.4310.06%-0.24%
494001N申万巴黎盛利精选1.0632.113-0.83%-0.30%
494601N中海优质成长1.3922.282-0.85%-0.32%
494802N长信金利趋势1.7651.825-0.25%-0.40%
491101N华安创新2.4122.642-0.41%-0.50%
496102N信诚精萃成长1.2361.356-0.28%-0.99%
494003N申万巴黎新动力1.5862.476-0.35%-1.44%
495102N东吴价值成长双动力1.1601.1600.19%-1.68%
@平均值--1.5422.114-0.08%1.20%
@代码基金名称单位净值累计净值日增长周增长


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