银河封闭式基金评级(07.07.13)

2007年07月16日13:46 来源: 中国银河证券基金研究中心 
计算截止日:2007-7-13
序号基金代码基金简称份额净值 (元)份额累计净值(元)过去一周过去一年(52周) 
净值增长率排序净值增长率排序银河星级评价
1184688开元3.26624.80522.46%15152.17%8★★★★
2500001金泰2.88943.89441.81%25117.56%33
3500008兴华2.94874.59772.91%9121.64%30★★
4500003安信2.76044.64242.19%21126.04%26★★
5500006裕阳2.94734.38432.94%8156.25%6★★★★★
6184689普惠2.97673.92072.55%14143.86%9★★★★
7184690同益2.88224.18622.20%20138.22%13★★★★
8500002泰和3.17094.30591.72%27189.16%1★★★★★
9184691景宏3.09413.78412.80%10160.07%5★★★★★
10500005汉盛2.95553.75813.25%4135.03%17★★★★
11184692裕隆2.86963.75864.12%2161.33%4★★★★★
12500009安顺2.59544.10341.71%28128.37%24★★★
13184693普丰2.43713.09311.44%31118.47%32★★
14500018兴和2.59763.33661.41%32123.15%29★★
15184698天元2.98393.93892.10%22143.37%10★★★★
16500011金鑫2.51942.99141.14%3391.56%38
17184699同盛2.5673.12952.34%17136.31%16★★★
18500007景阳3.16674.06072.64%12131.61%20★★★
19184701景福2.71273.13675.14%1156.06%7★★★★★
20500015汉兴2.092.48162.62%13104.41%36
21184705裕泽2.84773.58771.09%34141.60%11★★★★★
22184703金盛3.08043.65621.85%24124.87%28★★
23500025汉鼎2.29642.5439-0.03%3991.41%39
24184718兴安3.02833.51531.67%30137.83%15★★★★
25184710隆元3.19683.29682.42%16172.74%2★★★★★
26184712科汇3.49344.60091.00%36138.06%14★★★★
27184713科翔3.9184.6581.77%26133.44%19★★★
28500029科讯2.79773.88270.96%37130.26%22★★★
29500038通乾2.56222.91522.69%11125.50%27★★
30184706天华2.04972.54973.21%6109.11%35
31500039同德2.71933.39633.07%7128.13%25★★★
32184728鸿阳2.18342.56491.93%2395.08%37
33184700鸿飞2.69773.02772.34%18134.17%18★★★★
34500056科瑞3.08313.72511.03%35120.39%31★★
35184721丰和3.01223.55520.03%38163.49%3★★★★★
36184709安久2.93963.15963.21%5138.37%12★★★
37184722久嘉2.91493.55493.52%3130.37%21★★
38500058银丰2.1933.1032.24%19128.73%23★★★
39184719融鑫2.91553.46831.70%29110.58%34
  2.18%--133.05%----

 

[发表评论] [复制链接] [收藏此文] [我要提问] [打印]

我来说两句
谁在说
用户名: 密码:   匿名发表 全部评论>>
相关新闻/评论
进入基金评级
看过此页的网友也看过了
热点新闻
热门评论
热门事件