债券型基金净值最近一周增长龙虎榜(20090703)

时间:2009年07月04日 09:26:00 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
491202N南方宝元1.1612.3810.65%2.73%
492209N银华增强收益1.0891.0890.64%2.45%
491315N华夏希望C类1.1391.1990.26%1.70%
491314N华夏希望A类1.1441.2040.35%1.69%
491511N鹏华丰收1.1441.1640.35%1.69%
492314N嘉实多元A1.0851.1160.55%1.69%
492315N嘉实多元B1.0831.1120.46%1.59%
494102N泰信双息双利1.0581.1630.33%1.57%
495806N交银增利A/B1.0911.1620.38%1.51%
495805N交银增利C1.0901.1560.39%1.50%
493507N长城债券1.1131.1380.09%1.46%
491114N华安强债B1.0191.0190.39%1.39%
491113N华安强债A1.0201.0200.39%1.39%
492412N大成强债1.0891.1390.41%1.20%
495104N东吴优信A1.0241.0360.18%1.15%
495106N东吴优信C1.0241.0360.18%1.14%
497003N金元比联丰利债券1.0241.0240.20%1.09%
494805N长信利丰债券1.0411.0410.38%1.07%
492607N招商安本增利1.1561.2560.61%1.05%
495302N友邦增利A1.1081.1880.27%1.05%
495305N友邦增利B1.1031.1830.26%1.04%
492304N嘉实债券1.2431.6680.24%0.97%
496105N信诚三得益B1.0351.0530.29%0.88%
496104N信诚三得益A1.0391.0570.19%0.87%
496106N信诚经典优债A1.0191.0190.20%0.79%
491602N富国天利1.2881.8530.23%0.77%
496904N华商收益增强B1.0521.0650.19%0.77%
496903N华商收益增强A1.0531.0670.19%0.77%
492610N招商安心收益1.0531.0530.09%0.77%
496107N信诚经典优债B1.0171.0170.10%0.69%
496803N诺德增强收益1.0221.0220.20%0.69%
493111N华宝增强收益A1.0161.0160.23%0.67%
493112N华宝增强收益B1.0141.0140.23%0.66%
491902N长盛全债基金1.2451.9150.22%0.66%
493002N银河收益1.6252.0050.07%0.65%
496005N建信稳定增利1.1451.1600.09%0.62%
495203N华富债A1.1051.1650.06%0.60%
495204N华富债B1.1001.1600.06%0.59%
493903N中信双利1.0591.4020.02%0.59%
491713N易增强回报B1.0401.1000.10%0.58%
491712N易增强回报A1.0461.1060.10%0.58%
161010N富国天丰1.0541.0900.09%0.57%
491306N华夏债券C类1.1121.5020.09%0.54%
491302N华夏债券A/B类1.1261.5160.18%0.54%
492709N泰达荷银集利A1.0171.0350.11%0.53%
497202N农银增利1.0021.0020.11%0.53%
491110N华安收益A1.0681.0980.06%0.52%
492710N泰达荷银集利C1.0141.0320.11%0.52%
491907N长盛积极债券1.0501.0500.16%0.51%
491111N华安收益B1.0631.0930.06%0.50%
494305N天治稳健双盈1.0241.0240.02%0.50%
496604N中欧稳C1.0061.0060.19%0.49%
496603N中欧稳A1.0071.0070.18%0.49%
492807N国投瑞银稳定1.0591.1140.05%0.43%
495608N工银添利A1.1321.1720.10%0.42%
496205N汇丰晋信平稳增利1.0031.0030.11%0.41%
495609N工银添利B1.1261.1660.10%0.41%
493208N国联安增利B1.0041.0040.10%0.40%
493207N国联安增利A1.0061.0060.10%0.40%
496007N建信收益增强A1.0081.0080.00%0.40%
496008N建信收益增强C1.0081.0080.10%0.40%
495405N国富债A1.0341.0440.13%0.35%
495406N国富债C1.0331.0430.13%0.34%
495903N天弘永利B1.0051.0800.01%0.34%
495902N天弘永利A1.0051.0740.01%0.33%
492502N万家债券1.0761.5810.14%0.29%
495504N汇添富增收1.0421.0920.10%0.29%
494604N中海稳健收益1.0631.1230.09%0.28%
491505N鹏华普天债券B1.0931.2920.09%0.28%
493607N广发强债基金1.1001.1300.00%0.27%
491502N鹏华普天债券A1.1221.3210.09%0.27%
492603N招商安泰债券A1.1141.4310.04%0.26%
492606N招商安泰债券B1.0981.4140.04%0.26%
494704N东方债券0.9990.9990.00%0.20%
493006N银河银信添利A1.0601.2320.04%0.20%
493309N海富通债券A1.0261.0260.10%0.20%
493308N海富通债券C1.0291.0290.10%0.19%
493004N银河银信添利B1.0561.2280.04%0.19%
491802N融通债券1.1151.4400.00%0.18%
495604N工银强债A1.1431.2430.05%0.14%
495605N工银强债B1.1321.2320.05%0.13%
491609N富国优化强债A/B1.0011.0010.00%0.10%
491611N富国优化强债C1.0011.0010.00%0.10%
497102N浦银收益1.0101.0100.00%0.10%
491411N国泰金龙债券C类1.0121.3410.00%0.10%
491402N国泰金龙债券A类1.0161.3450.00%0.10%
491413N国泰双利债券C1.0161.0260.00%0.10%
492110N博时稳定A类1.1081.2160.00%0.09%
492004N宝盈增强A/B1.1001.1070.05%0.01%
494505N光大增利A1.0081.0080.00%0.00%
494506N光大增利C1.0061.0060.00%0.00%
494905N中银增利1.0041.0040.00%0.00%
494006N申万巴黎添益宝A0.9950.995-0.10%0.00%
494007N申万巴黎添益宝B0.9930.9930.00%0.00%
492005N宝盈增强C类1.0971.1040.05%0.00%
492402N大成债券A/B1.0241.414-0.01%0.00%
491412N国泰双利债券A1.0171.027-0.10%0.00%
496703N信达澳银稳定价值A1.0011.0010.00%0.00%
496704N信达澳银稳定价值B1.0001.0000.00%0.00%
493807N诺安增利1.0001.0000.00%0.00%
492113N博时信用A/B1.0001.0000.00%0.00%
492115N博时信用C1.0001.0000.00%0.00%
492406N大成债券C1.0041.394-0.01%-0.01%
493103N华宝宝康债券1.1601.610-0.03%-0.02%
496503N益民多利债券1.0331.0740.00%-0.07%
494409N上投摩根纯债A1.0001.0000.00%-10000.00%
494410N上投摩根纯债B1.0001.0000.00%-10000.00%
@平均值--1.0641.1630.13%-186.35%
@代码基金名称单位净值累计净值日增长周增长


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