|
基金代码
|
简称
|
发布日期
|
累计分红(元)
|
最新净值(元)
|
上期净值(元)
|
净值增长率(%)
|
最近一季度净值增长率(%)
|
累计净值(元)
|
|
500003
|
基金安信
|
20040618
|
1.177
|
1.0411
|
1.0663
|
-2.3633
|
-10.8036
|
2.2181
|
|
500008
|
基金兴华
|
20040618
|
1.034
|
1.1723
|
1.1963
|
-2.0062
|
0.4369
|
2.2063
|
|
500006
|
基金裕阳
|
20040618
|
0.943
|
1.0882
|
1.1262
|
-3.3742
|
-6.7683
|
2.0312
|
|
500001
|
基金金泰
|
20040618
|
0.68
|
1.0333
|
1.0668
|
-3.1402
|
-11.4719
|
1.7133
|
|
500002
|
基金泰和
|
20040618
|
0.525
|
1.0122
|
1.0593
|
-4.4463
|
-13.2796
|
1.5372
|
|
500009
|
基金安顺
|
20040618
|
0.487
|
1.0946
|
1.1216
|
-2.4073
|
-6.22
|
1.5816
|
|
500005
|
基金汉盛
|
20040618
|
0.483
|
0.9749
|
1.0097
|
-3.4466
|
-16.4753
|
1.4579
|
|
500016
|
基金裕元
|
20040618
|
0.448
|
1.1141
|
1.1731
|
-5.0294
|
-4.5493
|
1.5621
|
|
500018
|
基金兴和
|
20040618
|
0.423
|
1.03
|
1.063
|
-3.1044
|
-11.7546
|
1.453
|
|
500007
|
基金景阳
|
20040618
|
0.293
|
1.0075
|
1.0403
|
-3.1529
|
-13.6823
|
1.3005
|
|
500011
|
基金金鑫
|
20040618
|
0.272
|
1.0525
|
1.0882
|
-3.2806
|
-9.8269
|
1.3245
|
|
500015
|
基金汉兴
|
20040618
|
0.17
|
0.8953
|
0.9179
|
-2.4621
|
-23.2951
|
1.0653
|
|
500013
|
基金安瑞
|
20040618
|
0.07
|
0.9417
|
0.9641
|
-2.3234
|
-19.3197
|
1.0117
|
|
500058
|
基金银丰
|
20040618
|
0.04
|
1.082
|
1.123
|
-3.6509
|
-7.2995
|
1.122
|
|
500021
|
基金金鼎
|
20040618
|
0.034
|
0.9721
|
1.0089
|
-3.6475
|
-16.7152
|
1.0061
|
|
500010
|
基金金元
|
20040618
|
0.031
|
0.9494
|
0.9813
|
-3.2508
|
-18.66
|
0.9804
|
|
500038
|
基金通乾
|
20040618
|
0.03
|
1.0055
|
1.0434
|
-3.6324
|
-13.8537
|
1.0355
|
|
500056
|
基金科瑞
|
20040618
|
0.012
|
1.1402
|
1.1727
|
-2.7714
|
-2.3132
|
1.1522
|
|
500035
|
基金汉博
|
20040618
|
0.01
|
0.8945
|
0.9184
|
-2.6024
|
-23.3636
|
0.9045
|
|
500025
|
基金汉鼎
|
20040618
|
0.006
|
0.9207
|
0.959
|
-3.9937
|
-21.1189
|
0.9267
|
|
500028
|
基金兴业
|
20040618
|
0
|
0.8635
|
0.8854
|
-2.4735
|
-26.0195
|
0.8635
|
|
500029
|
基金科讯
|
20040618
|
0
|
1.0799
|
1.1129
|
-2.9652
|
-7.4794
|
1.0799
|
|
500017
|
基金景业
|
20040618
|
0
|
0.8227
|
0.8533
|
-3.5861
|
-29.5151
|
0.8227
|
|
500019
|
基金普润
|
20040618
|
0
|
0.9387
|
0.9624
|
-2.4626
|
-19.5768
|
0.9387
|
|
500039
|
基金同德
|
20040618
|
0
|
0.9976
|
1.0361
|
-3.7159
|
-14.5305
|
0.9976
|
|