债券型基金净值最近一周增长龙虎榜(20081009)

时间:2008年10月10日 09:56:00 中财网
更新时间:2008-10-10

@代码基金名称单位净值累计净值日增长周增长
495806N交银增利A/B1.0841.0841.11%3.06%
495805N交银增利C1.0821.0821.11%3.05%
493607N广发强债1.0721.0721.04%2.88%
491411N国泰金龙债券C1.0791.3281.03%2.86%
492412N大成强债A1.0411.0410.86%2.84%
491315N华夏希望债券C1.0631.0630.95%2.71%
491314N华夏希望债券A1.0651.0651.04%2.70%
491402N国泰金龙债券1.0801.3290.92%2.56%
494604N中海稳健收益1.0671.0670.95%2.50%
493507N长城稳健增利1.0381.0380.87%2.27%
495608N工银添利A1.0591.0590.85%2.25%
495609N工银添利B1.0571.0570.86%2.24%
492406N大成债券C1.0721.3720.68%2.09%
492402N大成债券投资基金1.0881.3880.68%2.09%
491110N华安收益A1.0491.0490.89%2.05%
495504N汇添富增强收益1.0551.0550.86%2.03%
495604N工银强债A1.1521.1720.84%2.03%
491111N华安收益B1.0471.0470.89%2.03%
495605N工银强债B1.1451.1650.85%2.02%
491511N鹏华丰收债券1.0481.0480.87%1.95%
496005N建信稳定增利1.0391.0390.68%1.86%
491712N易方达增强回报A1.0641.0640.66%1.82%
492110N博时稳定价值债券A类1.1271.1650.71%1.81%
491713N易方达增强回报B1.0611.0610.66%1.73%
493903N中信稳定双利1.0691.3080.87%1.63%
492502N万家债券1.0541.4930.54%1.41%
492304N嘉实理财债券1.1921.6020.54%1.30%
495305N友邦增利B1.0461.0790.63%1.29%
495302N友邦增利1.0491.0820.61%1.27%
495203N华富收益增强A1.0381.0380.50%1.25%
495204N华富收益增强B1.0361.0360.49%1.23%
495903N天弘永利债券B1.0441.0440.52%1.23%
495902N天弘永利债券A1.0421.0420.52%1.21%
493006N银河银信添利A1.0421.1480.50%1.18%
491602N富国天利增长债券1.2311.7560.47%1.14%
493004N银河银信添利B1.0411.1470.48%1.11%
496503N益民多利1.0281.0280.54%1.07%
492807N国投瑞银稳定增利1.0511.0510.56%1.06%
493002N银河收益1.4441.8240.58%0.90%
492603N招商安泰债券A1.1721.4090.37%0.90%
492606N招商安泰债券B1.1601.3970.37%0.89%
494102N泰信双息双利1.0551.0790.24%0.81%
492004N宝盈增强收益1.0401.0400.45%0.80%
491306N华夏债券C1.1141.4440.79%0.79%
491302N华夏债券1.1241.4540.69%0.77%
491802N融通债券基金1.1711.3960.16%0.74%
492607N招商安本增利债券1.1171.2170.34%0.71%
493103N华宝兴业宝康债券1.1611.5610.38%0.68%
492314N嘉实多元A1.0081.0080.20%0.50%
492315N嘉实多元B1.0081.0080.30%0.50%
491902N长盛债券基金1.1461.8160.29%0.38%
491505N鹏华普天债券B1.1141.2430.36%0.36%
491502N鹏华普天债券A1.1361.2650.25%0.34%
491202N南方宝元债券型0.9782.198-0.01%-0.70%
496104N信诚三得益A1.0051.0050.30%-10000.00%
496105N信诚三得益B1.0051.0050.30%-10000.00%
@平均值--1.0831.2170.63%-355.68%
@代码基金名称单位净值累计净值日增长周增长


  中财网
各版头条