股票型开基净值一览
发表日期: 2008-01-15 00:00:00 来源: 信息时报
代码 简称净值日增长率
000001华夏成长基金2.3590.30%
000011华夏大盘基金8.0221.01%
000021华夏优势基金2.7070.33%
020001国泰金鹰基金3.7041.06%
020003国泰精选基金3.6141.12%
020010国泰金牛基金1.3721.18%
020011国泰300基金1.0170.30%
020011国泰300基金1.0170.30%
040002华安A股基金4.8750.64%
040005华安宏利基金3.4070.70%
040007华安中小盘1.73190.74%
040008华安优选基金1.11310.13%
050001博时价值增长1.0850.37%
050002博时裕富基金1.5040.60%
050004博时精选基金2.2950.40%
050008博时第三产业1.5710.48%
050009博时新兴成长1.1760.34%
070006嘉实服务基金4.5970.75%
070099嘉实优质基金1.0960.83%
090001大成价值基金1.06040.26%
090001大成价值基金1.06040.26%
100020富国天益基金1.18790.95%
100026富国天合基金1.13960.64%
110029易方达科讯1.01150.31%
121003国投核心基金1.41550.56%
121005国投创新基金1.73170.55%
121008国投成长基金2.3891---
159902中小板ETF3.0951.44%
160105南方积配基金2.12380.58%
160106南方高增基金3.11990.35%
160311华夏蓝筹基金1.5160.59%
160314华夏行业基金1.040.11%
160314华夏行业基金1.040.11%
160505博时主题基金2.670.19%
160603鹏华收益基金1.1130.54%
160605鹏华50基金2.3350.43%
160611鹏华治理基金1.5410.65%
160706嘉实300基金1.4190.57%
161601融通新蓝筹1.13390.11%
161604融通100基金2.1160.76%
161606融通行业基金1.4590.48%
161607融通巨潮基金1.9020.48%
161609融通动力基金2.9750.95%
161610融通领先基金1.6160.82%
161706招商成长基金1.99370.12%
161903万家公用基金1.9442-0.08%
162006长城久富基金1.90670.50%
162201合丰成长基金2.32461.09%
162202合丰周期基金2.10080.84%
162203合丰稳定基金1.76160.19%
162204荷银精选基金5.97310.52%
162208荷银首选基金2.20070.37%
162209荷银市值基金1.15770.77%
162605景顺鼎益基金1.6960.30%
162607景顺资源基金1.2260.57%
162703广发小盘基金3.26380.45%
163503天治核心基金0.99610.53%
163503天治核心基金0.99610.53%
163803中银增长基金1.22921.01%
166001中欧趋势基金1.7159-0.01%
180003银华88基金1.44470.57%
180010银华优质基金2.44880.41%
180012银华富裕基金1.34280.47%
200002长城久泰基金2.09510.53%
200006长城消费基金1.1484-0.36%
200008长城品牌基金1.2655-0.13%
202003南方绩优基金3.20730.35%
202005南方成份基金1.52090.34%
202007南方隆元基金1.1090.45%
206001鹏华成长基金4.1760.36%
213002宝盈泛沿海1.11890.88%
213003宝盈策略基金1.75490.76%
217001招商股票基金1.10030.16%
217005招商先锋基金1.10040.15%
240004华宝动力基金2.72670.22%
240005华宝策略基金1.02260.37%
240005华宝策略基金1.02260.04%
240009华宝先进基金2.98870.28%
240010华宝精选基金1.40490.50%
257020德盛精选基金1.420.78%
257030德盛优势基金1.868-0.05%
260101景顺优选基金1.79030.29%
260104景顺增长基金5.0520.54%
260108景顺成长基金1.5281.13%
260109景顺增长贰3.1740.57%
260110景顺精选基金1.3580.37%
270005广发聚丰基金1.11210.36%
288002中信红利基金2.77940.11%
290004泰信优质基金1.74350.57%
310328新动力基金1.51510.09%
320003诺安股票基金1.51020.23%
320005诺安价值基金1.33950.57%
340006兴业全球基金3.85290.35%
360001量化核心基金1.6310.26%
360005光大红利基金4.36130.27%
360007光大优势基金1.13290.41%
377010上投α基金6.79120.57%
377020上投动力基金1.60470.75%
378010上投先锋基金3.47760.89%
398001中海成长基金0.9890.28%
398001中海成长基金0.9890.28%
450002国富弹性基金2.43830.34%
450003国富潜力基金1.8770
460001友邦盛世基金1.08310.41%
481001工银价值基金1.16610.59%
481004工银成长基金2.17070.41%
485105工银强债基金1.114-0.08%
510050华夏50ETF4.4250.36%
510081长盛精选基金1.74360.17%
510180华安180ETF 12.6810.59%
510880红利ETF基金5.0010.99%
519001银华优选基金1.67690.48%
519005海富股票基金1.0830.28%
519013海富优势基金2.1040.10%
519017大成成长基金1.9330.73%
519018添富均衡基金1.14720.76%
519035富国天博基金1.20310.61%
519039长盛同德基金1.14180.24%
519068添富焦点基金1.67940.94%
519100长盛100基金2.42190.37%
519180万家180基金1.3080.53%
519300大成300基金1.87290.53%
519688交银精选基金1.49340.41%
519692交银成长基金2.95050.41%
519694交银蓝筹基金1.13640.47%
519993长信增利基金1.43340.65%
519994长信金利基金1.34470.57%
519996长信银利基金1.15650.35%
530001建信价值基金1.72750.66%
530003建信成长基金1.46580.66%
540002汇丰龙腾基金3.1620.26%
570001诺德价值基金1.53911.09%
590001中邮优选基金2.17570.82%
590002中邮成长基金1.22560.81%
610001信达澳银领先 1.92380.46%
数据仅供参考,应以公司公布为准。
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