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开放式基金每日净值2012-10-19

2012-10-22 8:31:44  文章来源:不详  作者:佚名
关键词:开放式基金每日净值
核心提示: 代码简称最新净值累计净值日增长率%000001华夏成长基金0.92603.0270-0.1079000011华夏大盘精选基金7.412011.0920-0.2959000021华夏优势增长基金1.05002.22000.0000000031华夏复兴基金1.02101.02100.000
代码简称最新净值累计净值日增长率%
000001华夏成长基金0.92603.0270-0.1079
000011华夏大盘精选基金7.412011.0920-0.2959
000021华夏优势增长基金1.05002.22000.0000
000031华夏复兴基金1.02101.02100.0000
000041华夏全球精选qdii基金------
000051华夏沪深300基金0.68500.6850-0.1458
000061华夏盛世精选基金0.71300.71300.0000
000071华夏恒生etf联接qdii1.00501.00500.0000
000075华夏恒生etf联接qdii美元0.15940.15940.4411
001001华夏债券ab类基金1.05701.62700.0000
001003华夏债券c类基金1.05101.60100.0000
001011华夏希望债券a级基金1.07901.28900.0000
001013华夏希望债券c级基金1.07301.27300.0000
001021亚债中国债券a基金1.06201.0620-0.0941
001023亚债中国债券c基金1.05701.05700.0000
001031华夏安康信用优选债券a1.00601.00600.0995
001033华夏安康信用优选债券c1.00601.00600.1992
001057华夏理财30天债券型a------
001058华夏理财30天债券型b------
002001华夏回报基金1.23703.35400.0809
002011华夏红利基金1.34003.8130-0.1490
002021华夏回报二号基金1.05402.36900.0950
002031华夏策略精选基金1.56502.16500.0639
020001国泰金鹰增长基金0.77603.7800-0.1287
020002国泰金龙债券a类基金1.05301.48200.0000
020003国泰金龙行业精选基金0.43003.3880-0.2320
020005国泰金马稳健回报基金0.67902.8390-0.2937
020009国泰金鹏蓝筹价值基金0.77901.7750-0.2561
020010国泰金牛创新成长基金0.94901.1040-0.2103
020011国泰沪深300基金0.48200.6900-0.2070
020012国泰金龙债券c类基金1.04901.46700.0000
020015国泰区位优势基金0.99801.0430-0.2997
020018国泰金鹿保本四期基金1.00601.09900.0000
020019国泰双利债券a基金1.02301.2090-0.1951
020020国泰双利债券c基金1.02001.1920-0.1957
020021国泰上证180金融etf联接0.84100.84100.0000
020022国泰保本混合基金1.01701.01700.0000
020023国泰事件驱动股票基金1.03201.0320-0.3861
020025国泰中小板300etf联接0.97000.9700-0.3083
020026国泰成长优选股票基金0.94500.9450-0.2112
020027国泰信用债券a基金1.01001.01000.0000
020028国泰信用债券c基金1.00901.00900.0000
020029国泰6个月短期理财债券a------
020030国泰6个月短期理财债券b------
040001华安创新基金0.58002.8940-0.1721
040002华安中国a股指数基金0.64802.5950-0.1541
040004华安宝利配置基金0.99003.31500.0000
040005华安宏利基金2.00182.6218-0.2193
040007华安中小盘成长基金0.90162.2165-0.1440
040008华安策略优选基金0.57552.1118-0.3981
040009华安稳定收益a基金1.03501.27000.0193
040010华安稳定收益b基金1.02461.24960.0098
040011华安核心优选基金0.87031.37030.2881
040012华安强债a基金1.05301.1530-0.0949
040013华安强债b基金1.03801.13800.0000
040015华安动态灵活配置基金0.82400.82400.0000
040016华安行业轮动基金0.89450.89450.0559
040018华安香港精选qdii基金------
040019华安稳固收益债券基金1.07701.10700.0929
040020华安升级主题股票基金0.83200.8320-0.3593
040021华安大中华升级股票qdii------
040022华安可转换债a基金0.97800.97800.2049
040023华安可转换债b基金0.97300.97300.1029
040025华安科技动力股票基金0.98700.9870-0.2022
040026华安信用四季红债券1.05901.07500.0000
040035华安逆向策略股票基金1.00101.00100.0000
040036华安安心收益债券a1.00501.00500.0000
040037华安安心收益债券b1.00501.00500.0996
040180华安上证180etf联接0.76500.7650-0.2608
040190华安上证龙头etf联接0.80300.80300.0000
050001博时价值增长基金0.68603.18800.1460
050002博时沪深300基金0.64862.6286-0.1693
050004博时精选基金1.19932.70430.0584
050006博时稳定价值债券b类0.99201.23800.1009
050007博时平衡配置基金0.78002.1950-0.1280
050008博时第三产业成长基金0.99502.6210-0.1004
050009博时新兴成长基金0.50402.4610-0.3953
050010博时特许价值基金0.98001.3250-0.1019
050011博时信用ab基金1.01401.07400.0987
050012博时策略基金0.80300.8270-0.1244
050013博时超大etf联接基金0.66400.66400.0000
050014博时创业成长基金0.89800.9210-0.2222
050015博时大中华亚太精选------
050016博时宏观回报ab基金1.06101.06800.0000
050018博时行业轮动基金0.73700.73700.2721
050019博时转债a基金0.89100.89100.1124
050020博时抗通胀基金------
050021博时深证200etf联接0.69700.6970-0.0287
050022博时回报混合基金1.03101.03100.0000
050023博时天颐债券a基金1.01101.01700.0990
050024博时上证自然资源etf联接0.87040.8704-0.5484
050025博时标普500指数qdii------
050026博时医疗保健行业股票1.01201.0120-0.0987
050027博时信用债纯债债券1.00601.00600.0000
050106博时稳定价值债券a类1.01101.25700.0990
050111博时信用c基金1.00101.06100.1000
050116博时宏观回报c基金1.05501.0570-0.0947
050119博时转债c基金0.88500.88500.2265
050123博时天颐债券c基金1.00901.01400.0992
050201博时价值增长贰号基金0.61902.07400.1618
070001嘉实成长收益基金0.62053.0351-0.0805
070002嘉实理财增长基金4.78705.3880-0.1252
070003嘉实理财稳健基金0.72602.25400.1379
070005嘉实理财债券基金1.40101.8360-0.0713
070006嘉实服务增值基金3.74004.12000.0803
070009嘉实超短债基金1.00761.19180.0000
070010嘉实主题精选基金1.14102.6540-0.0876
070011嘉实策略增长基金1.07301.4750-0.0931
070012嘉实海外qdii基金------
070013嘉实研究精选基金1.35801.72400.0000
070015嘉实多元a基金1.07201.2860-0.0932
070016嘉实多元b基金1.06301.2700-0.0940
070017嘉实量化基金0.82500.9050-0.2418
070018嘉实回报混合基金0.87800.9150-0.1138
070019嘉实价值优势基金0.93200.96400.0000
070020嘉实稳固收益债券基金1.04101.04100.0000
070021嘉实主题新动力基金0.80700.8070-0.2472
070022嘉实领先成长股票基金0.94500.9450-0.2112
070023嘉实深证基本面120etf联接0.80840.80840.0247
070025嘉实信用债券a基金1.02001.08000.0981
070026嘉实信用债券c基金1.01801.07400.0983
070027嘉实周期优选股票基金0.99100.9910-0.2014
070030嘉实中创400联接基金0.94340.9434-0.2538
070031嘉实全球房地产qdii------
070032嘉实优化红利股票基金1.01401.01400.0000
070033嘉实增强收益定期债券1.00201.00200.0000
070035嘉实理财宝7天债券a------
070036嘉实理财宝7天债券b------
070099嘉实优质基金0.89601.79200.0000
080001长盛成长价值基金0.79002.7340-0.1264
080002长盛创新先锋基金0.99291.3629-0.0805
080003长盛积极配置基金1.04291.21590.0672
080005长盛量化红利基金0.83300.87300.0000
080006长盛环球景气qdii基金------
080007长盛同鑫保本混合基金1.01001.04100.0000
080008长盛同祥泛资源基金1.00701.0070-0.3956
080009长盛同禧信用增利债券a0.93600.93600.0000
080010长盛同禧信用增利债券c0.93000.93000.0000
080012长盛电子信息产业股票0.97300.98800.7246
080015长盛同鑫二号保本基金1.00701.00700.0000
080016长盛添利30天理财债券a------
080017长盛添利30天理财债券b------
090001大成价值增长基金0.66463.32460.0150
090002大成债券ab类基金1.04211.56110.0000
090003大成蓝筹稳健基金0.61593.1859-0.1945
090004大成精选增值基金0.75072.75320.0400
090006大成2020生命周期基金0.62402.44600.0000
090007大成策略回报基金0.81901.5130-0.1220
090008大成强化收益债券基金0.94951.14950.0105
090009大成行业轮动基金0.75400.75400.1328
090010大成中证红利基金0.77500.7750-0.3856
090011大成核心双动力基金0.76600.76600.1307
090012大成深证成长40联接0.77300.77300.2594
090013大成保本混合基金1.03801.0380-0.0962
090015大成内需增长基金0.87000.87000.2304
090016大成中证消费指数基金0.97801.02800.1024
090017大成可转债增强债基金1.00901.00900.0992
090018大成新锐产业基金0.97400.97400.0000
090019大成景恒保本混合基金0.99600.99600.0000
090020大成中证500沪市etf联接1.00501.00500.0000
090021大成月添利债券a基金------
091021大成月添利债券b基金------
092002大成债券c类基金1.03131.52630.0000
096001大成标普500qdii基金------
100007富国7天理财债券a------
100016富国天源平衡基金0.89162.35520.3150
100018富国天利增长债券基金1.20412.02910.0332
100020富国天益价值基金0.80823.81950.0991
100022富国天瑞强势地区基金0.72653.1550-0.1237
100026富国天合稳健优选基金0.73872.15620.7776
100029富国天成红利基金1.09561.3366-0.0365
100032富国中证红利指数基金0.95601.5270-0.3128
100035富国优化增强ab基金0.99501.06000.1006
100037富国优化增强c基金0.98101.04600.2043
100038富国沪深300基金0.82600.82600.0000
100039富国通胀通缩主题基金0.86100.8810-0.6920
100050富国全球债券qdii基金------
100051富国可转债基金0.86800.86800.2309
100053富国上证综指etf联接0.76300.76300.0000
100055富国全球顶级消费品------
100056富国低碳环保股票基金0.87100.87100.4614
100058富国产业债基金1.04501.08500.0000
100060富国高新技术产业股票0.98900.9890-0.2018
100061富国中国中小盘股票qdii------
100066富国纯债ab基金------
100068富国纯债c基金------
101007富国7天理财债券b------
110001易方达平稳增长基金1.16302.4230-0.0859
110002易方达策略成长基金3.21204.2020-0.0933
110003易方达50指数基金0.62792.4779-0.0955
110005易方达积极成长基金0.77773.8344-0.4353
110007易方达稳健收益a基金1.11021.30980.0541
110008易方达稳健收益b基金1.11761.32620.0537
110009易方达价值精选基金0.93442.2744-0.1709
110010易方达价值成长基金1.08821.1782-0.4209
110011易方达中小盘基金1.40101.4410-0.2847
110012易方达科汇基金1.08305.2230-0.2762
110013易方达科翔基金1.07705.0450-0.2778
110015易方达行业领先基金1.05401.1340-0.2838
110017易方达增强回报a基金1.11501.3750-0.0896
110018易方达增强回报b基金1.10101.3510-0.0907
110019易方达深证100etf联接0.70300.70300.0569
110020易方达沪深300基金0.73380.7338-0.1497
110021易方达上证中盘etf联接0.76040.7604-0.4060
110022易方达消费行业基金0.85400.8540-0.2336
110023易方达医疗保健行业0.99700.9970-1.0913
110025易方达资源行业基金0.88100.8810-0.4520
110026易方达创业板etf联接0.92720.9272-0.1508
110027易方达安心回报a基金1.04501.04500.1918
110028易方达安心回报b基金1.04101.04100.1925
110029易方达科讯基金0.59623.7976-0.2343
110030易方达量化衍伸基金1.02601.02600.0000
110031易方达h股etf联接qdii人民币1.00921.00920.0893
110032易方达h股etf联接qdii美现汇0.16010.16010.0625
110033易方达h股etf联接qdii美现钞0.16010.16010.0625
110035易方达双债增强债券a1.05101.05100.0952
110036易方达双债增强债券c1.04601.04600.1916
110037易方达纯债a基金1.02201.02200.0000
110038易方达纯债c基金1.02101.02100.0980
112002易方达策略成长二号1.24102.7960-0.0805
118001易方达亚洲精选qdii------
118002易方达标普消费品指数qdii------
121001国投瑞银融华债券基金1.16952.4715-0.0684
121002国投瑞银景气行业基金0.80922.7782-0.0741
121003国投瑞银核心企业基金0.70122.2312-0.4260
121005国投瑞银创新动力基金0.66392.3482-0.2854
121006国投瑞银稳健增长基金0.89501.48500.2240
121007国投瑞银瑞福优先基金1.01101.01100.0000
121008国投瑞银成长优选基金0.60491.9181-0.3295
121009国投瑞银稳定增利基金1.07381.27480.0186
121010国投瑞银瑞源保本混合1.02101.0210-0.0978
121012国投瑞银增强债ab基金1.00301.00300.0998
128112国投瑞银增强债c基金0.99400.99400.1007
150090万家创业成长a基金1.01401.01400.0000
150091万家创业成长b基金1.01601.01600.0000
150100资源a基金1.00401.00400.0000
150101资源b基金0.99200.9920-0.6012
150103银河银泰理财分红基金0.98833.5283-0.2825
150112深证100a基金------
150113深证100b基金------
151001银河银联稳健基金0.91083.09200.0329
151002银河银联收益基金1.58692.19690.0063
159901易方达深证100etf基金0.56342.78860.0710
159902华夏中小板股票etf2.04702.1470-0.2437
159903南方深证成份etf基金0.90000.66410.0111
159905工银深红利etf基金0.68070.68070.0735
159906大成深证成长40etf0.75400.75400.2660
159907广发中小板300etf基金0.79970.7266-0.3116
159908博时深证基本面200etf0.68410.6841-0.0292
159909深证tmt50etf基金2.41200.74200.0830
159910嘉实深证基本面120etf0.77230.77230.0259
159911鹏华深证民营etf基金2.48780.7538-0.3844
159912汇添富深证300etf基金0.84330.8433-0.0711
159913交银深证300价值etf0.88600.88600.2262
159915易方达创业板etf基金0.72360.8289-0.1518
159916深f60etf基金1.52960.83340.0327
159917中小板300etf基金0.99500.9950-0.3006
159918嘉实中创400etf基金0.94000.9400-0.2653
159919嘉实沪深300etf基金0.89200.8920-0.1455
159920恒生etfqdii基金------
160105南方积极配置lof基金0.92842.4204-0.2686
160106南方高增长lof基金1.30032.7473-0.5355
160119南方中证500lof基金0.81610.8861-0.2810
160121南方金砖qdii基金------
160123南方50债alof基金1.06361.0836-0.0188
160124南方50债clof基金1.05741.0774-0.0284
160125南方中国qdiilof基金------
160127南方消费基金0.97900.97900.1022
160128南方金利定期开放债券a1.02101.02100.0000
160129南方金利定期开放债券c1.01901.01900.0000
160211国泰中小盘成长lof0.84201.0050-0.2370
160213国泰纳斯达克100指数------
160215国泰价值经典lof基金0.72800.7280-0.1372
160216国泰大宗商品qdiilof------
160217国泰信用互利分级债券1.06201.06200.0000
160311华夏蓝筹核心lof基金0.70203.14100.0000
160314华夏行业精选lof基金0.81003.7400-0.2463
160415华安深证300指数lof0.84700.8470-0.1179
160416华安标普石油指数qdiilof------
160417华安沪深300指数分级0.98100.9810-0.2035
160505博时主题行业lof基金1.49903.3150-0.0667
160512博时卓越品牌股票lof0.88400.90300.1133
160514博时裕祥分级债券a1.01701.06700.0000
160602鹏华普天债券a类基金1.19101.51000.0000
160603鹏华普天收益基金0.73403.18000.1364
160605鹏华中国50基金1.13203.2320-0.2643
160607鹏华价值优势lof基金0.72102.26100.0000
160608鹏华普天债券b类基金1.13701.45600.0000
160610鹏华动力增长lof基金1.03401.4540-0.1931
160611鹏华优质治理lof基金0.83200.9320-0.2398
160612鹏华丰收债券基金1.03101.34800.0000
160613鹏华创新lof基金1.10001.1300-0.0908
160615鹏华沪深300lof基金0.83900.8990-0.2378
160616鹏华中证500lof基金0.69000.6900-0.2890
160619鹏华丰泽a基金1.01701.04100.0000
160620鹏华资源分级基金0.99800.9980-0.2997
160706嘉实沪深300etf联接lof0.62572.4937-0.1436
160716嘉实基本面50指数lof0.61570.6157-0.1298
160717嘉实h股qdiilof基金------
160718嘉实多利分级债券基金0.98651.02670.0101
160719嘉实黄金lof基金------
160805长盛同智优势成长lof0.71672.08590.0000
160806长盛同庆中证800基金0.90600.7990-0.1103
160807长盛沪深300lof基金0.77900.8290-0.1282
160808长盛同瑞中证200指数分级0.97600.9780-0.2045
160809长盛同辉基金1.03401.03400.0000
160910大成创新成长lof基金0.72901.94000.1374
160916大成优选股票lof基金1.02800.8380-0.1942
161005富国天惠精选成长lof1.28543.04840.0856
161010富国天丰强化收益lof1.03101.32500.0000
161016富国天盈分级债券a1.02001.06700.0000
161017富国500lof基金0.91200.9120-0.2188
161019富国新天锋债券lof1.01101.04400.0000
161116易方达黄金主题基金------
161117易方达永旭添利债券1.00801.0160-0.7874
161118易方达中小板指数分级1.00480.00000.2895
161119易基综债alof基金------
161120易基综债clof基金------
161207国投瑞和沪深300基金1.01100.7090-0.1974
161210国投瑞银新兴市场基金------
161211国投沪深300金融地产指数0.74400.7440-0.1342
161213国投消费服务指数基金0.80600.8060-0.2475
161217国投瑞银中证资源指数lof0.79600.7960-0.6242
161219国投产业混合lof基金1.14301.14300.1753
161506银河通利分级债券a1.02201.02200.0000
161601融通新蓝筹基金0.68122.9762-0.1027
161603融通债券ab基金1.04201.51900.0000
161604融通深证100指数基金0.92102.28400.0000
161605融通蓝筹成长基金0.95702.2370-0.1044
161606融通行业景气基金0.65702.59700.1524
161607融通巨潮100指数lof0.72602.2400-0.1376
161609融通动力先锋基金0.91501.4600-0.1092
161610融通领先成长lof基金0.68402.13500.0000
161611融通内需驱动基金0.64200.76200.0000
161612融通深证成指基金0.72500.72500.0000
161613融通创业板指数基金0.96500.9850-0.1035
161616融通医疗保健行业基金1.02601.0260-0.6776
161618融通岁岁添利定期开放债券基金a------
161619融通岁岁添利定期开放债券基金b------
161693融通债券c基金1.04101.51800.0000
161706招商优质成长lof基金1.03862.9489-0.2880
161714招商标普金砖四国指数------
161715招商中证大宗商品指数分级0.98000.9800-0.5076
161810银华内需精选lof基金0.65700.62500.0000
161811银华沪深300lof基金0.73100.7310-0.1366
161812银华深证100指数分级0.79000.83600.0000
161815银华抗通胀主题基金------
161816银华中证等权90指数分级1.06000.7090-0.0943
161818银华消费分级股票基金0.96300.9670-0.3106
161819银华中证内地资源指数分级0.92200.9240-0.5394
161820银华纯债信用债券lof1.00701.00700.0000
161902万家增强收益债券基金1.03061.7463-0.0097
161903万家公用事业lof基金0.54491.7428-0.4931
161907万家中证红利指数lof0.78960.7896-0.3659
161909万家添利分级a基金1.06401.06400.0000
161910万家创业成长基金1.01501.01500.0000
162006长城久富核心成长lof1.07123.4620-0.1864
162010长城久兆中小300指数分级0.91100.9110-0.3282
162102金鹰中小盘精选基金0.71072.3067-0.3226
162106金鹰持久回报分级债a1.00471.02780.0100
162107金鹰中证500指数分级0.93770.9377-0.2447
162201泰达宏利成长基金0.99522.9102-0.1305
162202泰达宏利周期基金0.80592.85090.0745
162203泰达宏利稳定基金0.64982.5898-0.1690
162204泰达宏利行业精选基金3.35414.4341-0.2676
162205泰达宏利风险预算基金1.09892.4339-0.2270
162207泰达宏利效率优选lof0.79571.9138-0.4504
162208泰达宏利首选企业基金0.99541.31540.1408
162209泰达宏利市值优选基金0.70290.7029-0.0853
162210泰达宏利集利a基金1.05981.1028-0.0283
162211泰达宏利品质基金1.08001.2900-0.3690
162212泰达宏利红利先锋基金1.09001.1420-0.3656
162213泰达宏利中证财富大盘0.82400.8440-0.1212
162214泰达宏利中小盘股票0.85100.8510-0.2345
162216泰达宏利500指数分级0.95800.9600-0.3122
162299泰达宏利集利c基金1.04001.0830-0.0192
162307海富通中证100lof基金0.68500.6850-0.1458
162411华宝油气qdiilof基金------
162509国联安双禧中证1000.86100.8610-0.1160
162510国联安双力中小板基金0.93500.9350-0.3198
162512国联安双佳信用a基金1.01901.01900.0982
162605景顺长城鼎益lof基金0.82402.9240-0.2421
162607景顺长城资源lof基金0.66402.6650-0.3003
162703广发小盘成长lof基金1.66312.9731-0.1801
162711广发中证500lof基金0.74100.7410-0.2692
162714广发深证100指数分级0.87840.87840.0570
162907泰信基本面400指数分级1.00301.00300.0000
163001长信中证央企100lof0.76200.76200.0000
163004长信利鑫分级债券a1.01441.05940.0197
163109申万菱信深证成指分级0.62200.65600.0000
163110申万菱信量化小盘lof0.84000.8400-0.4739
163111申万菱信中小板基金0.93800.9380-0.2128
163208诺安油气能源lof基金------
163209诺安中证创业成长指数分级0.94700.94700.1057
163302大摩华鑫资源lof基金1.67713.1201-0.2083
163402兴全趋势投资lof基金0.81945.0101-0.2799
163406兴全合润分级股票基金0.84480.84480.2373
163407兴全沪深300指数lof0.77090.7709-0.2329
163409兴全绿色投资股票lof0.88600.88600.1130
163411兴全保本混合基金1.00721.0072-0.0199
163412兴全轻资产投资股票lof0.98000.98000.0000
163503天治核心成长lof基金0.48311.9526-0.3095
163801中银中国lof基金1.15533.3653-0.1556
163803中银增长基金0.63382.6267-0.2047
163804中银收益基金0.92512.1251-0.1403
163805中银策略基金0.95841.2884-0.3535
163806中银增利基金1.08501.2550-0.0921
163807中银优选基金0.99551.1855-0.3304
163808中银中证100基金0.69200.70200.0000
163809中银蓝筹精选基金0.90300.9230-0.2210
163810中银价值混合基金0.75800.7780-0.2632
163811中银双利债券a基金1.10301.10300.0000
163812中银双利债券b基金1.09501.09500.0000
163813中银全球策略基金------
163816中银转债增强债券a1.03001.03000.0972
163817中银转债增强债券b1.02501.02500.0977
163818中银中小盘成长股票0.95200.9520-0.3141
163821中银沪深300等权重指数lof0.97100.9710-0.1029
163822中银主题策略股票基金1.00201.0020-0.0997
163823中银保本混合基金1.00601.00600.0995
164205天弘深证成份指数lof0.69400.69400.0000
164207天弘添利a基金1.00501.08300.0000
164209天弘丰利分级债券a1.01941.04340.0098
164701汇添富黄金及贵金属------
164702汇添富季季红定期开放债券1.00501.00500.0996
164809工银中证500指数基金0.92380.9238-0.2699
164810工银纯债定期开放债券0.99900.99900.0000
164811工银深证100指数分级------
165309建信沪深300lof基金0.68000.6800-0.1468
165310建信双利策略主题基金0.88200.8980-0.1133
165508信诚深度价值lof基金0.87500.8750-0.2281
165510信诚四国配置基金------
165511信诚中证500指数基金0.68200.7070-0.1464
165512信诚新机遇股票lof0.94100.9410-0.2121
165513信诚全球商品主题lof------
165515信诚沪深300指数分级0.91400.9140-0.1093
165516信诚周期轮动股票lof1.01801.0180-0.2938
165518信诚双盈分级债券a1.00101.02600.0000
165706诺德双翼分级债券a1.00701.03000.0000
165707诺德深证300指数分级1.04101.0410-0.0960
165806东吴100lof基金0.86200.86200.1161
166001中欧新趋势lof基金0.66280.9228-0.2558
166002中欧蓝筹基金0.88241.46240.2499
166003中欧稳健收益a基金1.05671.17220.0189
166004中欧稳健收益c基金1.05331.15630.0190
166005中欧价值发现基金0.99300.9930-0.1006
166006中欧中小盘lof基金0.78540.83540.1914
166007中欧沪深300指数增强lof0.77800.8230-0.1412
166008中欧增强回报债券lof1.01751.02750.0295
166009中欧新动力股票lof0.97580.9758-0.0717
166010中欧鼎利分级债券基金1.01601.01600.0000
166011中欧盛世成长分级股票0.96200.96200.3128
166013中欧信用增利a基金1.00001.02400.0000
166106信达澳银稳定增利a1.02101.02100.0000
166301华商中证500指数分级1.00201.00200.0000
166801浙商新思维混合基金0.97800.9780-0.2041
166802浙商沪深300指数分级0.90200.9020-0.1107
166902民生加银平稳增利a------
166903民生加银平稳增利c------
180001银华优势企业基金1.00932.6693-0.0792
180002银华保本增值三期基金1.02281.04150.0098
180003银华道琼斯88基金0.72772.5277-0.1920
180010银华优质增长基金1.31492.8749-0.0380
180012银华富裕主题基金0.95461.9076-0.1360
180013银华领先基金0.97441.3544-0.1844
180015银华增强收益基金1.08201.25300.0000
180018银华和谐主题基金1.01101.0910-0.2959
180020银华成长先锋混合基金0.76400.78900.0000
180025银华信用双利a基金1.04101.04100.0000
180026银华信用双利c基金1.03301.03300.0000
180028银华永祥保本混合基金1.07601.0760-0.0929
180029银华永泰积极债券a0.96400.96400.2079
180030银华永泰积极债券c0.95900.95900.2090
180031银华中小盘股票基金0.99900.9990-0.1000
180033银华上证50等权etf联接1.00601.00600.0000
183001银华全球qdii基金------
200001长城久恒基金1.23802.3980-0.0807
200002长城久泰300指数基金0.93163.7916-0.1286
200006长城消费增值基金0.82862.2686-0.3248
200007长城安心回报基金0.67541.8305-0.3100
200008长城品牌优选基金0.63940.63940.1566
200009长城稳健增利基金1.09801.20300.0000
200010长城双动力基金0.91880.9438-0.0870
200011长城景气行业龙头基金0.90300.92800.0000
200012长城中小盘基金0.79200.7920-0.1261
200013长城积极增利a基金1.06001.06000.0000
200015长城优化升级基金1.03701.0370-0.2885
200016长城保本混合型基金1.00501.00500.0000
200113长城积极增利c基金1.05301.05300.0000
202001南方稳健成长基金0.78702.6220-0.2788
202002南方稳健成长贰号基金0.43161.6826-0.3003
202003南方绩优成长基金1.12572.0424-0.2127
202005南方成份精选基金0.81540.8354-0.1836
202007南方隆元基金0.54400.5440-0.5484
202009南方盛元基金0.75500.85300.2656
202011南方价值基金1.01701.5370-0.2941
202015南方沪深300基金0.81220.9722-0.1475
202017南方深证成份etf联接0.68610.68610.0146
202019南方策略基金0.64300.66300.0000
202021南方小康etf联接基金0.71460.7346-0.2791
202023南方优选成长基金0.88500.8850-0.3378
202025南方380基金0.81400.8140-0.2329
202027南方金粮油基金0.99800.99800.0000
202101南方宝元债券基金1.19402.4740-0.1672
202102南方多利债券c基金1.07191.32220.0000
202103南方多利债券a基金1.07491.33340.0000
202105南方广利ab基金1.05001.05000.0000
202107南方广利c基金1.04201.0420-0.0959
202108南方润元纯债ab基金1.00701.00700.0000
202110南方润元纯债c基金1.00601.00600.0000
202202南方避险增值基金2.45903.0980-0.0244
202211南方恒元保本二期基金1.03801.23100.1931
202212南方保本混合基金1.06101.0610-0.0942
202303南方理财14天a基金------
202304南方理财14天b基金------
202305南方理财60天a基金------
202306南方理财60天b基金------
202801南方全球精选qdii基金------
206001鹏华行业成长基金0.83953.4109-0.0357
206002鹏华精选成长基金0.75300.7530-0.2649
206003鹏华信用增利a基金1.09001.09000.0000
206004鹏华信用增利b基金1.08201.08200.0925
206005鹏华上证民企50etf联接0.81100.8110-0.6127
206006鹏华环球基金------
206007鹏华消费优选股票基金0.80500.80500.0000
206008鹏华丰盛基金1.08201.08200.0925
206009鹏华新兴产业股票基金0.96100.9610-0.2077
206010鹏华深证民营etf联接0.77820.7782-0.3585
206011鹏华美国房地产qdii------
206012鹏华价值精选股票基金0.93900.93900.2134
206013鹏华金刚保本混合基金1.00501.00500.0000
206015鹏华纯债债券基金1.00501.00500.0000
210001金鹰成份股优选基金0.55052.2121-0.1994
210002金鹰红利基金0.82851.2165-0.2168
210003金鹰行业优势基金0.67300.7030-0.2224
210004金鹰稳健成长基金0.63600.81600.0000
210005金鹰主题优势股票基金0.62000.6200-0.1610
210006金鹰保本混合基金1.05501.05500.0000
210007金鹰中证技术领先基金0.71200.7120-0.2102
210008金鹰策略配置股票基金0.89010.8901-0.5919
210009金鹰核心资源股票基金0.97000.9700-0.2058
210010金鹰元泰精选信用债债券a------
210011金鹰元泰精选信用债债券c------
213001宝盈鸿利收益基金0.47652.2905-0.1048
213002宝盈泛沿海基金0.37881.8534-0.0264
213003宝盈策略增长基金0.77991.1799-0.1153
213006宝盈核心优势基金0.67730.87730.0591
213007宝盈增强收益ab基金1.03831.29030.2414
213008宝盈资源优选基金0.90151.1655-0.0887
213010宝盈中证100基金0.71900.7190-0.1389
213917宝盈增强收益c基金1.02071.27270.2357
217001招商安泰股票基金0.31953.3235-0.2186
217002招商安泰平衡基金0.97632.3913-0.1942
217003招商安泰债券a类基金1.11871.6352-0.0268
217005招商先锋基金0.57552.5255-0.0868
217008招商安本增利基金1.03011.4401-0.0291
217009招商核心价值基金0.78740.9074-0.2154
217010招商大盘蓝筹基金0.87601.2560-0.2278
217011招商安心收益基金1.06101.2610-0.0942
217012招商行业领先基金0.88200.8820-0.2262
217013招商中小盘精选基金0.82600.8260-0.1209
217015招商全球资源qdii基金------
217016招商深证100指数基金0.79400.79400.0000
217017招商上证消费80etf联接0.80900.8090-0.4920
217018招商安瑞进取基金0.93100.93100.1075
217019招商深证tmt50etf联接0.75000.75000.1335
217020招商安达保本基金1.09001.0900-0.0917
217021招商优势企业混合基金0.95500.9550-0.3132
217022招商产业债券基金1.02101.0490-0.0978
217023招商信用增强债券基金1.00801.00800.0000
217024招商安盈保本混合型0.99900.9990-0.1000
217203招商安泰债券b类基金1.14741.6039-0.0261
229001泰达宏利全球新格局------
229002泰达宏利逆向股票基金1.01301.0130-0.2953
233001摩根士丹利华鑫基础行业0.39431.93930.0000
233005大摩华鑫强收益债券1.12001.15500.0447
233006摩根士丹利华鑫领先优势0.89000.8900-0.3025
233007摩根士丹利华鑫卓越成长0.91950.91950.1307
233008大摩消费领航混合基金0.72810.72810.0137
233009大摩多因子策略股票0.86300.8630-0.1157
233010大摩深证300指数增强0.88800.8880-0.2247
233011大摩主题优选股票基金0.97400.9740-0.1026
233012大摩多元收益债券a1.00501.00500.0996
233013大摩多元收益债券c1.00501.00500.0996
240001华宝兴业宝康消费品1.25963.9752-0.1744
240002华宝兴业宝康配置基金1.22182.9118-0.1879
240003华宝兴业宝康债券基金1.16721.67720.0000
240004华宝兴业动力组合基金0.71023.2202-0.0985
240005华宝兴业多策略增长0.48113.8505-0.3727
240008华宝兴业收益增长基金2.86932.8693-0.2711
240009华宝兴业先进成长基金1.57311.5731-0.2536
240010华宝兴业行业精选基金0.87820.8782-0.1932
240011华宝兴业大盘基金1.30301.3830-0.2068
240012华宝兴业增强收益a1.05291.0729-0.0095
240013华宝兴业增强收益b1.03741.0574-0.0096
240014华宝兴业中证100指数0.69570.6957-0.1292
240016上证180价值etf联接0.80500.83500.0000
240017华宝兴业新兴产业基金0.89900.8990-0.3657
240018华宝兴业可转债基金0.91550.91550.0656
240019上证180成长etf联接0.93400.9340-0.1070
240020华宝医药生物股票基金1.14801.1480-1.0345
240021华宝兴业中证短融501.01001.01000.0000
240022华宝兴业资源优选基金1.01601.0160-0.1965
241001华宝海外中国qdii基金------
241002华宝兴业成熟市场qdii------
253010国联安德盛安心成长0.67801.53600.4444
253020国联安德盛增利a基金1.08501.25700.0923
253021国联安德盛增利b基金1.08001.24000.0000
253030国联安信心增益债券1.03201.07700.0000
253060国联安信心增长债券a1.05301.06600.0951
253061国联安信心增长债券b1.05101.06400.0952
255010国联安德盛稳健基金0.84002.2800-0.1189
257010国联安德盛小盘基金0.70902.83900.2829
257020国联安德盛精选基金0.75902.5530-0.3937
257030国联安德盛优势基金0.85101.1320-0.2345
257040国联安德盛红利基金0.79201.1630-0.2519
257050国联安主题基金0.89300.8930-0.1119
257060国联安商品etf联接0.68200.6820-0.5831
257070国联安优选行业基金0.93100.9310-0.3212
260101景顺长城优选股票基金1.04042.97110.0673
260103景顺长城动力平衡基金0.58512.8751-0.0683
260104景顺长城内需增长基金3.32504.4610-0.2999
260108景顺长城新兴成长基金0.62201.9820-0.1605
260109景顺长城内需增长贰号0.89402.2200-0.2232
260110景顺长城精选蓝筹基金0.66700.6670-0.1497
260111景顺长城公司治理基金0.87201.2200-0.1145
260112景顺长城能源基建基金1.01901.03400.0982
260115景顺长城中小盘基金0.78300.78300.1279
260116景顺长城核心竞争力股票1.06801.2180-0.1869
260117景顺长城支柱产业股票------
261001景顺长城稳定收益a1.02001.02000.0000
261002景顺长城优信增利a1.01501.01500.0000
261101景顺长城稳定收益c1.01401.0140-0.0985
261102景顺长城优信增利c1.01201.01200.0000
262001景顺长城大中华股票qdii------
263001景顺180等权重etf联接0.97800.9780-0.4073
270001广发聚富基金1.07703.3870-0.4621
270002广发稳健增长基金1.29023.0452-0.1007
270005广发聚丰基金0.65183.7770-0.3516
270006广发策略优选基金1.26002.5200-0.1031
270007广发大盘成长基金0.59350.5935-0.3191
270008广发核心基金1.57601.78600.0635
270009广发增强债券基金1.11901.29900.0000
270010广发沪深300指数基金1.02701.3170-0.1944
270021广发聚瑞股票基金1.20801.2080-0.1653
270022广发内需增长基金0.76500.86500.1309
270023广发亚太精选股票qdii------
270024广发聚祥保本基金1.04601.04600.0000
270025广发行业领先股票基金0.81900.8190-0.1220
270026广发中小板300联接0.73530.7353-0.2983
270027广发全球农业指数qdii------
270028广发制造业精选股票1.01701.0170-0.0982
270029广发聚财信用债券a1.02201.0310-0.0978
270030广发聚财信用债券b1.02101.02900.0000
270041广发消费品精选股票0.99400.99400.0000
270042广发纳斯达克100指数qdii------
270044广发双债添利债券a1.00201.00200.0000
270045广发双债添利债券c1.00201.00200.0000
288001华夏经典配置基金0.90303.0430-0.1106
288002华夏收入股票基金2.17903.5790-0.1832
288102中信稳定双利债券基金1.04361.56860.0479
290002泰信先行策略基金0.48242.1192-0.3717
290003泰信双息债券基金1.03271.20200.0678
290004泰信优质生活基金0.71621.3162-0.1534
290005泰信优势增长基金0.82501.2650-0.2418
290006泰信蓝筹精选基金0.74361.1436-0.0134
290007泰信增强收益a基金1.01731.0923-0.0393
290008泰信发展主题基金0.78000.7800-0.3831
290009泰信周期回报基金1.07601.11200.0000
290010泰信中证200基金0.68200.7020-0.1464
290011泰信中小盘精选股基金0.97400.98900.0000
290012泰信保本混合基金1.03601.03600.0000
291007泰信增强收益c基金1.01451.0795-0.0394
310308申万菱信盛利精选基金0.75892.41090.0132
310318申万菱信盛利强化配置0.99461.7856-0.0101
310328申万菱信新动力基金0.55452.2872-0.1441
310358申万菱信新经济基金0.55401.8859-0.3059
310368申万菱信竞争优势基金0.94271.4127-0.0636
310378申万菱信添益宝a基金1.07001.15700.0935
310379申万菱信添益宝b基金1.06101.14200.0000
310388申万菱信消费增长基金0.76600.8510-0.2604
310398申万菱信沪深300基金0.70000.70000.0000
310508申万菱信稳益宝基金1.05901.05900.0000
310518申万菱信可转换债券1.00901.00900.0992
320001诺安平衡基金0.62652.8865-0.3658
320003诺安股票基金0.76162.6451-0.1442
320004诺安优化债券基金1.20331.32290.0582
320005诺安价值增长基金0.71831.6633-0.6088
320006诺安灵活配置基金0.93601.5160-0.3195
320007诺安成长基金0.82101.2660-0.8454
320008诺安增利债券a基金1.07601.09100.0000
320009诺安增利债券b基金1.05801.07300.0000
320010诺安中证100基金0.66800.6680-0.1495
320011诺安中小盘基金0.89700.9570-0.1114
320012诺安主题精选基金0.84000.8400-0.1189
320013诺安全球黄金qdii基金------
320014诺安上证新兴产业etf联接0.66300.66300.0000
320015诺安保本混合基金1.06101.06100.0000
320016诺安多策略股票基金0.77400.7740-0.1290
320017诺安全球收益不动产qdii------
320018诺安新动力混合基金0.97500.9750-0.1025
320020诺安汇鑫保本混合基金1.00801.00800.0000
320021诺安双利债券型发起式------
340001兴全可转债基金1.01342.7554-0.0690
340006兴全全球视野基金2.08043.1904-0.2063
340007兴全社会责任基金1.20301.3930-0.4963
340008兴全有机增长基金1.07051.0705-0.0467
340009兴全磐稳增利基金1.00701.04700.0298
350001天治财富增长基金0.62252.16780.0000
350002天治品质优选基金0.74933.2743-0.4120
350005天治创新先锋基金1.03911.0391-0.3548
350006天治稳健双盈基金1.07861.07860.0000
350007天治趋势精选基金0.90700.9070-0.4391
350008天治成长基金0.94100.9410-0.3178
360001光大保德信量化核心0.71722.7209-0.0557
360005光大保德信红利基金2.08572.74370.0864
360006光大保德信新增长基金0.99352.2735-0.2610
360007光大保德信优势配置0.59920.5992-0.2165
360008光大保德信增利a基金1.03401.22000.0968
360009光大保德信增利c基金1.03201.20100.0000
360010光大保德信均衡精选0.87150.9915-0.1146
360011光大保德信动态优选0.88001.0100-0.1135
360012光大保德信中小盘基金0.83100.8610-0.3358
360013光大保德信信用添益a1.03901.10900.0000
360014光大保德信信用添益c1.03401.10400.0000
360016光大保德信行业轮动1.04701.04700.0000
360019光大保德信添天盈季度理财a------
360020光大保德信添天盈季度理财b------
360021光大保德信添盛双月理财债券型a------
360022光大保德信添盛双月理财债券型b------
370021上投摩根分红添利a1.00701.00700.0000
370022上投摩根分红添利b1.00501.0050-0.0994
370023上投摩根中证消费服务领先指数1.00201.00200.0999
370024上投摩根核心优选股票------
371020上投纯债a基金1.05901.05900.0000
371120上投纯债b基金1.04401.04400.0000
372010上投摩根强化回报债券a1.07201.07200.0934
372110上投摩根强化回报债券b1.06701.06700.1878
373010上投双息平衡基金0.77322.2024-0.0775
373020上投双核平衡基金1.03911.1401-0.1633
375010上投中国优势基金1.65144.72140.5051
376510上投摩根大盘蓝筹基金0.80800.8080-0.2469
377010上投阿尔法基金2.07723.9972-0.2641
377016上投亚太优势qdii基金------
377020上投内需动力基金0.90311.1691-0.4739
377150上投健康品质生活基金1.11201.1120-0.3584
377240上投摩根新兴动力股票1.13401.1340-0.1761
377530上投行业轮动基金0.84700.84700.0000
378006上投摩根全球新兴市场------
378010上投成长先锋基金1.30451.9845-0.3438
378546上投天然资源qdii基金------
379010上投中小盘基金1.26601.3060-0.2364
380001中银理财14天债券a------
380002中银理财14天债券b------
380003中银理财60天债券a------
380004中银理财60天债券b------
393001中海保本混合基金1.00701.00700.0994
395001中海稳健收益基金1.03901.28400.0000
395011中海增强收益债券a1.02401.02400.0978
395012中海增强收益债券c1.01701.01700.0000
398001中海优质成长基金0.47302.6598-0.1688
398011中海分红增利基金0.69932.0993-0.3278
398021中海能源策略基金0.56790.8779-0.0880
398031中海蓝筹基金0.83131.2263-0.0601
398041中海量化策略基金0.88300.9200-0.3386
398051中海环保新能源主题0.77300.77300.0000
398061中海消费主题精选基金1.05401.0940-0.7533
399001中海上证50基金0.68600.6860-0.2907
399011中海上证380基金0.90500.9050-0.1104
400001东方龙基金0.63832.3998-0.0470
400003东方精选基金0.94733.1601-0.0317
400007东方策略成长基金1.27691.2769-0.0626
400009东方稳健回报基金1.05601.1260-0.0946
400011东方核心动力基金0.75790.75790.0396
400013东方保本混合基金1.05501.05500.0000
400015东方增长中小盘混合1.04061.0406-0.2205
400016东方强化收益债券基金------
410001华富竞争力优选基金0.46671.5953-0.4692
410003华富成长趋势基金0.48560.7756-0.1439
410004华富收益增强a基金1.13161.3036-0.0442
410005华富收益增强b基金1.12081.2828-0.0446
410006华富策略精选基金0.73440.8944-0.0816
410007华富价值增长混合基金0.72840.7284-0.2602
410008华富中证100基金0.67840.6784-0.1325
410009华富量子生命力基金0.70690.70690.0000
410010华富中小板指数增强型0.95500.9550-0.2090
420001天弘精选基金0.56711.6768-0.2112
420002天弘永利a基金1.01221.1751-0.0198
420003天弘永定基金0.84201.1770-0.6490
420005天弘周期策略基金0.90000.9420-0.1110
420008天弘债券型发起式a1.00701.00700.0000
420009天弘安康养老混合型------
420102天弘永利b基金1.01391.1948-0.0197
420108天弘债券型发起式b1.00601.00600.0000
450001富兰克林国海收益基金0.47582.0081-0.0420
450002富兰克林国海弹性市值1.19722.5172-0.2250
450003富兰克林国海潜力组合0.87561.2856-0.3301
450004富兰克林国海深化价值1.34371.5437-0.1783
450005富兰克林国海强化收益a1.05991.14290.0378
450006富兰克林国海强化收益c1.05131.13430.0476
450007富兰克林国海成长基金0.85611.03610.3164
450008富兰克林国海沪深3000.86600.8660-0.1153
450009富兰克林国海中小盘0.95000.95000.0000
450010富兰克林策略回报基金0.81800.8180-0.3654
450011富兰克林国海研究精选0.99200.9920-0.1007
450018富兰克林国海恒久信用债券a1.00401.00400.0997
450019富兰克林国海恒久信用债券c1.00301.00300.0000
457001富兰克林亚洲机会qdii------
460001华泰柏瑞盛世中国基金0.50532.3704-0.0198
460002华泰柏瑞积极成长基金0.75790.8079-0.1449
460003华泰柏瑞增利b基金1.05851.2185-0.1132
460005华泰柏瑞价值增长基金0.93931.4493-0.3078
460007华泰柏瑞行业领先基金0.66100.66100.4559
460009华泰柏瑞量化先行基金0.82400.8440-0.1212
460010华泰亚洲领导企业qdii------
460220上证中小盘etf联接0.66000.6600-0.3021
460300华泰柏瑞沪深300etf联接0.97200.9720-0.1028
470006汇添富医药保健基金0.90700.9070-0.8743
470007汇添富上证综指基金0.70900.7090-0.2813
470008汇添富策略回报基金0.93500.9550-0.5319
470009汇添富民营活力基金1.04601.0460-0.8531
470010汇添富多元收益债券a1.00301.00300.0998
470011汇添富多元收益债券c1.00301.00300.0998
470018汇添富保本混合基金1.04301.04300.0000
470028汇添富社会责任基金0.88500.8850-0.1129
470058汇添富可转换债券a0.96100.96100.1042
470059汇添富可转换债券c0.95600.95600.1047
470068汇添富深证300etf联接0.91870.9187-0.0653
470078汇添富增强收益c基金1.02201.2220-0.0978
470088汇添富信用债债券a1.06101.06100.0000
470089汇添富信用债债券c1.05701.05700.0000
470098汇添富逆向投资基金1.00101.0010-0.8911
470888汇添富亚澳优势精选------
471028汇添富理财28天债券a------
472028汇添富理财28天债券b------
481001工银瑞信核心价值基金0.26273.6228-0.1141
481004工银成长基金1.12811.3781-0.6692
481006工银瑞信红利基金0.85760.8976-0.1978
481008工银瑞信大盘蓝筹基金0.75501.1650-0.3958
481009工银沪深300基金0.83221.0272-0.1440
481010工银瑞信中小盘基金0.71000.7100-0.2809
481012工银深证红利etf联接0.69020.69020.0725
481013工银瑞信消费服务行业0.87600.8760-0.3413
481015工银瑞信主题策略基金0.95000.9500-0.8351
481017工银量化策略股票基金0.92000.92000.0000
483003工银平衡基金0.53991.77130.0000
485005工银瑞信增强收益b类1.09121.39620.0275
485007工银瑞信添利b基金1.05871.2937-0.0094
485011工银瑞信双利b基金1.11001.11000.0000
485014工银瑞信添颐债券b1.15301.15300.0000
485018工银7天理财债券b基金------
485019工银信用纯债债券b------
485020工银14天理财债券发起b------
485105工银瑞信增强收益a类1.09841.42340.0273
485107工银瑞信添利a基金1.08041.3154-0.0093
485111工银瑞信双利a基金1.12101.12100.0000
485114工银瑞信添颐债券a1.16301.16300.0000
485118工银7天理财债券a基金------
485119工银信用纯债债券a------
485120工银14天理财债券发起a------
486001工银瑞信全球配置qdii------
486002工银瑞信全球精选qdii------
487016工银瑞信保本混合基金1.04201.0420-0.0959
510010交银上证180公司治理etf0.60200.6700-0.1658
510020博时超大etf基金0.17640.65060.0000
510030华宝兴业上证180价值etf2.15200.7370-0.0464
510050华夏上证50etf基金1.67702.1720-0.1191
510060工银上证央企etf基金1.04150.6662-0.1342
510070鹏华上证民企etf基金0.93600.8020-0.6369
510080长盛全债指数增强基金1.10971.91970.0451
510081长盛动态精选基金0.86752.76750.0346
510090建信上证社会责任etf0.76600.9140-0.1304
510110海富通周期etf基金2.03000.8150-0.2457
510120非周etf基金1.67700.7060-0.1786
510130易方达上证中盘etf2.14510.7378-0.4455
510150招商上证消费80etf2.43500.8030-0.4090
510160小康etf基金0.31770.7904-0.2825
510170国联安上证大宗商品etf2.17400.6740-0.5944
510180华安上证180etf基金0.51301.9840-0.1946
510190华安上证龙头etf基金2.05500.78700.0000
510210富国上证综指etf基金2.20100.7530-0.0454
510220华泰柏瑞中小etf基金2.38300.6510-0.3346
510230国泰上证180金融etf2.87800.8170-0.0347
510260新兴etf基金0.64500.64500.0000
510270上证国有企业100etf0.69100.8060-0.2886
510280上证180成长etf基金0.90300.9030-0.1106
510290380etf基金0.80810.8081-0.2469
510300华泰柏瑞沪深300etf2.36900.8790-0.1686
510410博时上证自然资源etf0.87060.8706-0.5824
510420上证180等权重etf基金0.94300.9430-0.4224
510430银华上证50等权etf1.03701.0370-0.1925
510440中证500沪市etf基金1.03901.0390-0.2879
510880华泰柏瑞上证红利etf1.75101.2280-0.3415
510900易方达h股etfqdii基金1.01571.01570.2467
519001银华核心价值优选基金1.14503.92130.1837
519003海富通收益增长混合0.63502.2500-0.1572
519005海富通股票基金0.53302.4820-0.1873
519007海富通强化回报混合0.59402.0900-0.1681
519008汇添富优势精选基金2.13164.3116-0.2200
519011海富通精选混合基金0.55893.5233-0.0536
519013海富通风格优势股票0.77801.8840-0.1284
519015海富通精选贰号混合0.60300.92300.0000
519017大成积极成长基金0.79301.9110-0.1259
519018汇添富均衡增长基金0.63342.2349-0.2048
519019大成景阳基金0.62903.66700.0000
519021国泰金鼎价值精选基金0.57801.7480-0.3448
519023海富通稳健添利债券c1.06401.15500.0000
519024海富通稳健添利债券a1.07101.1620-0.0933
519025海富通领先成长股票0.85701.0070-0.2328
519026海富通中小盘基金0.93000.9300-0.3215
519027海富通上证etf联接0.74700.7470-0.2670
519029华夏稳增基金1.21801.9230-0.1639
519030海富通稳固收益债券1.04701.04700.0000
519032海富通上证非周期etf联接0.72600.7260-0.2747
519033海富通国策导向股票0.97300.9730-0.3074
519034海富通中证内地低碳指数0.91400.9140-0.1093
519035富国天博创新主题基金0.72032.61800.9389
519039长盛同德基金0.71912.06060.0557
519066汇添富蓝筹稳健基金1.15901.4790-0.4296
519068汇添富成长焦点基金1.07321.3132-0.2417
519069汇添富价值精选基金1.09101.56100.0000
519078汇添富增强收益a基金1.03201.2320-0.0968
519087新华优选分红基金0.71592.34260.1259
519089新华优选成长基金1.16281.86280.0086
519091新华泛资源基金0.91700.91700.0000
519093新华钻石品质基金0.85300.85300.0000
519095新华行业周期轮换基金1.14401.14400.2629
519097新华中小市值基金0.82800.82800.1209
519099新华灵活主题基金0.89500.8950-0.1116
519100长盛中证100指数基金0.68821.3082-0.1451
519110浦银价值基金0.75700.7570-0.2635
519111浦银收益a基金1.09701.10700.0000
519112浦银收益c基金1.08401.09400.0000
519113浦银生活基金0.85400.9140-0.2336
519115浦银红利基金0.79000.7900-0.2525
519116浦银沪深300基金0.75800.7580-0.1318
519117浦银中证锐联基本面4000.94000.9400-0.2123
519118浦银幸福a基金1.00301.00300.0998
519119浦银幸福b基金1.00301.00300.0998
519150新华优选消费股票基金0.99400.99400.0000
519180万家上证180指数基金0.52922.8692-0.2262
519181万家和谐增长基金0.48001.1138-0.4356
519183万家双引擎基金0.85681.3468-0.2445
519185万家精选基金0.84130.92130.0357
519186万家稳增a基金1.06431.1743-0.0188
519187万家稳增c基金1.05111.1611-0.0095
519188万家恒a基金1.00221.00220.0799
519189万家恒c基金1.00191.00190.0799
519300大成沪深300指数基金0.72512.1351-0.1515
519519华泰柏瑞增利a基金1.07471.2347-0.1208
519601海富通中国海外股票------
519602海富通大中华股票qdii------
519666银河银信添利b基金1.01231.3093-0.0099
519667银河银信添利a基金1.01471.3287-0.0099
519668银河竞争优势基金1.04901.60400.1815
519670银河行业优选基金0.96901.3290-0.1031
519671银河沪深300价值基金0.69000.69000.0000
519672银河蓝筹精选基金0.77000.7700-0.2591
519674银河创新成长基金0.93740.9374-0.1704
519676银河保本混合基金1.05601.0560-0.0946
519678银河消费驱动基金1.01701.0170-0.5865
519679银河主题策略股票1.00001.00000.0000
519680交银增利ab基金1.00271.27970.0499
519682交银增利c类基金0.99821.25820.0501
519683交银双利债券ab基金1.01501.06000.0986
519685交银双利债券c基金1.00901.05400.0992
519686交银治理etf联接基金0.68800.6880-0.1451
519688交银施罗德精选基金0.69492.84070.1008
519690交银施罗德稳健配置1.28942.74440.1398
519692交银施罗德成长基金2.52692.77190.1427
519694交银施罗德蓝筹基金0.68700.7020-0.0146
519696交银环球qdii基金------
519697银行业混合基金1.06301.10300.0000
519698交银先锋基金1.05811.11310.1135
519700交银主题优选基金0.86200.87700.2326
519702交银趋势基金0.76700.76700.0000
519704交银施罗德先进制造0.84500.84500.3563
519706交银价值基金0.88100.88100.2275
519709交银全球资源股票qdii------
519710交银施罗德荣安保本1.01201.01200.0000
519712交银阿尔法核心股票1.01101.0110-0.0988
519714交银施罗德沪深300行业分层等权------
519976长信可转债债券c基金1.01821.01820.2560
519977长信可转债债券a基金1.02081.02080.2554
519979长信内需成长基金0.95500.9550-0.8307
519981长信美国标普100qdii------
519983长信量化先锋基金0.71400.7140-0.2793
519985长信中短债基金1.07461.07460.0000
519987长信恒利基金0.71000.7100-0.1406
519989长信利丰基金1.04401.1640-0.2865
519991长信双利优选基金0.84101.1410-0.4734
519993长信增利动态策略基金0.61871.8577-0.2901
519995长信金利趋势基金0.62041.91120.0484
519997长信银利精选基金0.58002.5000-0.2751
530001建信恒久价值基金0.48842.37270.0820
530003建信优选成长基金0.74922.1992-0.1067
530005建信优化配置基金0.73411.28410.0545
530006建信精选基金1.00901.67400.0992
530008建信稳定增利基金1.12801.38300.0000
530009建信收益增强a基金1.14501.14500.0000
530010上证社会责任etf联接0.88400.8840-0.1130
530011建信内生基金0.85900.85900.1166
530012建信保本混合基金1.03101.03100.0000
530014建信双周理财a基金------
530015建信深证基本面60etf联接0.83210.83210.0361
530016建信恒稳价值混合基金1.00801.0080-0.2967
530017建信双息红利债券基金1.03301.03300.1940
530018建信深证100指数增强0.87060.87060.0115
530019建信社会责任股票基金1.00101.00100.0000
530020建信转债增强债券a1.01201.01200.0989
530021建信纯债a基金------
531009建信收益增强c基金1.13001.13000.0000
531014建信双周理财b基金------
531020建信转债增强债券c1.01001.01000.0991
531021建信纯债c基金------
539001建信全球机遇qdii基金------
539002建信新兴市场股票qdii------
539003建信全球资源股票qdii------
540001汇丰晋信2016生命周期1.37812.0281-0.1015
540002汇丰晋信龙腾基金1.13652.0025-0.1669
540003汇丰晋信动态策略基金0.88081.0008-0.3169
540004汇丰晋信2026生命周期1.08561.4056-0.6770
540005汇丰晋信平稳增利a1.02221.03230.0294
540006汇丰晋信大盘基金0.99181.0518-0.1309
540007汇丰晋信中小盘基金0.70510.7251-0.5781
540008汇丰晋信低碳先锋股票0.83460.9346-0.7492
540009汇丰晋信消费红利基金0.83660.8366-0.2385
540010汇丰晋信科技先锋基金0.89800.8980-0.1335
540012汇丰晋信恒生a股基金0.99710.9971-0.0601
541005汇丰晋信平稳增利c1.02301.05940.0391
550001信诚四季红基金0.74221.9542-0.0942
550002信诚精萃成长基金0.55341.7852-0.1444
550003信诚盛世蓝筹基金1.73001.7300-0.2882
550004信诚三得益a基金0.99201.11500.0000
550005信诚三得益b基金0.98201.09500.0000
550006信诚经典优债a基金1.02201.1460-0.0978
550007信诚经典优债b基金1.01901.1260-0.0980
550008信诚优胜精选基金0.83600.8360-0.1195
550009信诚中小盘基金0.69700.82700.2878
560002益民红利成长基金0.40931.3212-0.0976
560003益民创新优势基金0.67870.6987-0.1471
560005益民多利基金1.01751.1215-0.0098
560006益民核心增长混合基金1.00201.00200.0999
570001诺德价值优势基金0.78940.78940.0253
570005诺德成长优势基金0.89100.8910-0.2240
570006诺德中小盘基金0.92000.95000.1088
570007诺德优选30基金0.71600.7160-0.2786
570008诺德周期策略基金0.93200.93200.0000
571002诺德灵活配置基金1.06581.0658-0.2340
573003诺德增强收益基金0.99201.01900.1009
580001东吴嘉禾优势基金0.68412.4041-0.2042
580002东吴价值成长双动力1.13541.7154-0.7778
580003东吴行业轮动基金0.69180.7718-0.4604
580005东吴进取策略基金0.83270.9027-0.1678
580006东吴新经济基金0.88600.8860-0.4494
580007东吴新创业基金0.90100.9610-0.7709
580008东吴新产业股票基金0.92300.92300.0000
582001东吴优信稳健a基金1.02461.03660.0000
582002东吴增利债券a基金1.01701.05700.0000
582003东吴保本混合基金1.00401.00400.1996
582201东吴优信稳健c基金1.01231.02430.0000
582202东吴增利债券c基金1.01101.0510-0.0988
585001东吴中证新兴产业基金0.65400.65400.0000
590001中邮核心优选基金0.88442.10440.0339
590002中邮核心成长基金0.45090.4509-0.0886
590003中邮核心优势基金0.80400.9840-0.1242
590005中邮核心主题基金0.72000.8800-0.2770
590006中邮中小盘灵活配置0.78500.78500.2554
590007中邮上证380基金0.90800.9680-0.1100
590008中邮战略新兴产业基金1.01901.0190-0.0980
590009中邮稳定收益债券型a------
590010中邮稳定收益债券型c------
610001信达澳银领先增长基金0.94311.2231-0.2116
610002信达澳银精华灵活配置0.99501.4150-0.1004
610003信达稳定价值a基金1.13301.13300.0000
610004信达澳银中小盘基金0.78000.7800-0.2558
610005信达澳银红利回报基金0.72300.74300.0000
610006信达澳银产业升级股票0.80900.8090-0.1235
610007信达澳银消费优选股票1.00601.0060-0.0993
610103信达稳定价值b基金1.11601.11600.0897
620001金元惠理宝石动力基金0.80130.8613-0.0374
620002金元惠理成长动力基金0.78001.00000.0000
620003金元惠理丰利债券基金0.92600.94800.1081
620004金元惠理价值增长基金0.78600.7860-0.1271
620005金元惠理核心动力基金0.69300.69300.0000
620006金元惠理消费主题股票0.83100.8310-0.3597
620007金元惠理保本混合基金1.02701.0470-0.0973
620008金元惠理新经济主题股票1.00301.00300.0000
630001华商领先企业基金0.92941.0344-0.0860
630002华商盛世成长基金1.68171.9467-0.5970
630003华商收益增强a基金1.02601.20100.0000
630005华商动态阿尔法基金0.87300.87300.2296
630006华商产业升级基金0.66300.6630-0.1506
630007华商稳健双利a基金1.01701.01700.0984
630008华商策略精选基金0.72200.7220-0.6878
630009华商稳定增利a基金1.01801.01800.0000
630010华商价值精选基金0.86900.8690-0.2296
630011华商主题精选股票基金0.98200.98200.1019
630103华商收益增强b基金1.02101.18300.0980
630107华商稳健双利b基金1.00801.00800.0993
630109华商稳定增利c基金1.01001.0100-0.0989
660001农银成长基金1.08521.6852-0.2482
660002农银增利a基金1.07241.12840.0560
660003农银双利基金0.93081.0408-0.1395
660004农银策略基金0.99820.9982-0.4686
660005农银中小盘基金1.02551.0255-0.4659
660006农银大盘蓝筹基金0.80630.8063-0.2227
660008农银沪深300指数基金0.72560.7256-0.1651
660009农银汇理增强收益债券a1.05211.0871-0.0760
660010农银汇理策略精选股票0.94250.9425-0.2223
660011农银汇理中证500基金0.89860.8986-0.2664
660012农银汇理消费主题股票1.02391.02390.1565
660014农银汇理深证100指数增强型1.00251.00250.0999
660015农银汇理行业轮动股票------
660102农银增利c基金1.06541.06840.0563
660109农银汇理增强收益债券c1.04721.0822-0.0763
671010纽银策略优选股票基金0.71800.7180-0.2778
673010纽银新动向混合基金0.84200.8420-0.1186
675011纽银稳健双利债券a1.00301.00300.0000
675013纽银稳健双利债券c1.00201.00200.0000
686868浙商聚盈信用债债券a1.00401.00400.0997
686869浙商聚盈信用债债券c1.00401.00400.0997
688888浙商聚潮产业成长基金0.85800.8580-0.1164
690001民生蓝筹基金0.87100.9010-0.3432
690002民生增强收益a基金1.14801.17800.0872
690003民生精选基金0.70500.7050-0.2829
690004民生稳健成长基金0.67200.6720-0.2967
690005民生加银内需增长基金0.74100.7410-0.2692
690006民生加银信用双利a1.02301.02300.0000
690007民生加银景气行业基金1.10001.1000-0.2720
690008民生中证内地资源基金0.91600.9160-0.4348
690009民生加银红利回报基金1.00001.0000-0.2991
690202民生增强收益c基金1.13301.16300.1768
690206民生加银信用双利c1.01901.0190-0.0980
700001平安大华行业先锋股票0.85600.85600.0000
700002平安大华深证300基金0.91500.9950-0.1092
700003平安大华策略先锋混合1.01401.0140-0.1969
700004平安大华保本混合基金1.00201.00200.0000
700005平安大华添利债券a------
700006平安大华添利债券c------
710001富安达优势成长股票0.85500.8550-0.1285
710002富安达策略精选混合0.96040.9604-0.2078
710301富安达增强收益债券a1.00511.00510.0199
710302富安达增强收益债券c1.00411.00410.0199
720001财通价值动量混合基金0.95201.0120-0.1049
720002财通多策略稳健增长1.00601.00600.0000
730001方正富邦创新动力股票1.00601.0060-0.4946
740001长安宏观策略基金0.92000.9200-0.1086
740101长安沪深300非周期1.00201.0020-0.0997
750001安信灵活配置混合基金1.00601.00600.0000
750002安信目标收益债券a1.00301.00300.0998
750003安信目标收益债券c1.00201.00200.0000
762001国金通用国鑫发起基金1.00161.0016-0.0299
770001德邦优化配置股票1.00181.00180.0499

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