偏股型基金净值最近一周增长龙虎榜(20090703)

时间:2009年07月04日 09:29:00 中财网
更新时间:2009-07-04

@代码基金名称单位净值累计净值日增长周增长
491805N融通行业景气0.9782.9182.25%9.03%
492404N大成精选增值1.0232.9231.68%7.60%
492403N大成蓝筹稳健0.7663.3361.66%7.12%
493605N广发优选基金1.7852.4651.74%6.90%
491709N易基策略二号1.4632.9981.57%6.79%
492706N泰达荷银效率优选0.7791.8741.77%6.72%
494101N泰信先行策略0.7242.6501.74%6.66%
496101N信诚四季红0.9152.0762.17%6.41%
495501N汇添富优势2.9014.4611.90%6.33%
494602N中海分红增利0.7982.1981.87%6.29%
494302N天治品质优选0.7773.2871.38%6.21%
493702N摩根士丹利资源优选1.7723.0071.27%6.18%
492107N博时贰号0.7472.2021.47%5.96%
491305N华夏红利3.1353.9681.21%5.77%
493003N银河银泰0.8523.3921.31%5.60%
492604N招商先锋0.7752.7251.11%5.47%
494901N中银中国1.6483.1281.31%5.38%
491903N长盛动态精选1.1012.8011.35%5.23%
493001N银河稳健0.9043.0481.33%4.88%
491601N富国天源0.9942.2551.37%4.88%
491407N国泰金鹏蓝筹1.0321.9170.97%4.67%
493801N诺安平衡0.7663.0261.07%4.43%
493106N华宝收益增长2.9782.9780.99%4.26%
491605N富国天惠1.4042.9040.72%4.18%
492101N博时增长0.7783.2801.16%4.15%
493501N长城久恒1.4372.5470.77%3.98%
491604N富国天瑞0.8083.0880.36%3.75%
494903N中银收益0.8622.0420.94%3.67%
491404N国泰金马稳健0.8223.4090.73%3.53%
495101N东吴嘉禾0.7492.4691.08%3.17%
493201N国联安稳健1.6752.4450.84%3.08%
493202N国联安小盘0.8382.9680.95%2.70%
492802N国投瑞银景气0.8232.7920.47%2.54%
494702N东方精选0.8722.9540.55%2.29%
495701N新世纪分红0.6962.3100.24%2.26%
494701N东方龙基金0.5882.3490.31%1.85%
495201N华富竞争力0.7562.126-0.05%0.60%
492309N嘉实主题精选1.0062.5140.00%-0.40%
@平均值--1.1512.7851.15%4.74%
@代码基金名称单位净值累计净值日增长周增长


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