找回密码
 立即注册
楼主: 股道难

2009年封闭式基金周龙虎榜

[复制链接]
 楼主| 发表于 2009-10-17 15:29:13 | 显示全部楼层

1009-1016封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500056N基金科瑞净值1.34091.39614.12%
184722N基金久嘉净值0.96260.99313.17%
500008N基金兴华净值1.50191.54122.62%
184689N基金普惠净值1.64051.68042.43%
184721N基金丰和净值0.88970.912.28%
184693N基金普丰净值1.34391.37412.25%
184691N基金景宏净值1.51711.55062.21%
500018N基金兴和净值1.30011.32882.21%
184701N基金景福净值1.43261.46222.07%
500009N基金安顺净值1.72961.76151.84%
184705N基金裕泽净值1.17591.19611.72%
184698N基金天元净值1.34171.36461.71%
500002N基金泰和净值1.04191.05951.69%
500001N基金金泰净值1.211.23021.67%
500006N基金裕阳净值1.69331.72071.62%
500011N基金金鑫净值1.12321.141.50%
500003N基金安信净值1.50921.531.38%
500058N基金银丰净值1.2051.221.24%
184703N基金金盛净值1.09111.10030.84%
184692N基金裕隆净值1.37921.38720.58%
184688N基金开元净值1.02781.03030.24%
500038N基金通乾净值1.50621.50950.22%
184690N基金同益净值1.39861.39860%
184699N基金同盛净值1.10331.10330%
500005N基金汉盛净值1.69821.6907-0.44%
500015N基金汉兴净值1.44991.4389-0.76%
184728N基金鸿阳净值0.79060-298.77%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-3-28 19:28:19 | 显示全部楼层

0320-0327封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500056N基金科瑞净值1.08281.13014.37%
500002N基金泰和净值0.82430.85974.29%
500058N基金银丰净值0.9410.9773.83%
184722N基金久嘉净值0.76810.79593.62%
184701N基金景福净值1.20461.24743.55%
500006N基金裕阳净值1.46461.51553.48%
184705N基金裕泽净值0.95340.9853.31%
184703N基金金盛净值1.23931.27953.24%
184706N基金天华净值0.87020.89833.23%
500018N基金兴和净值1.02981.06133.06%
500011N基金金鑫净值0.87260.8993.03%
184728N基金鸿阳净值0.72430.74572.95%
184692N基金裕隆净值1.11051.1422.84%
500003N基金安信净值1.47721.51882.82%
500009N基金安顺净值1.35781.39492.73%
500038N基金通乾净值1.34641.38252.68%
184689N基金普惠净值1.36481.40072.63%
500005N基金汉盛净值1.62791.66832.48%
500008N基金兴华净值1.15461.18312.47%
184693N基金普丰净值1.11181.13892.44%
184698N基金天元净值1.20431.2322.30%
184691N基金景宏净值1.41671.44742.17%
184688N基金开元净值0.87640.89532.16%
500001N基金金泰净值0.95960.982.13%
184690N基金同益净值1.08551.10812.08%
500015N基金汉兴净值1.29711.31771.59%
184699N基金同盛净值0.86290.87361.24%
184721N基金丰和净值0.78710.79140.55%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-7-18 17:33:28 | 显示全部楼层

0710-0717封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500056N基金科瑞净值1.45481.5053.45%
184722N基金久嘉净值1.02851.06183.24%
500008N基金兴华净值1.5781.6293.23%
500003N基金安信净值1.52281.57093.16%
184728N基金鸿阳净值0.83170.85592.91%
184721N基金丰和净值0.9420.96752.71%
500018N基金兴和净值1.3761.41172.59%
184698N基金天元净值1.54461.58312.49%
184693N基金普丰净值1.3931.42372.20%
500009N基金安顺净值1.68931.72472.10%
184699N基金同盛净值1.10231.12462.02%
500011N基金金鑫净值1.13881.16131.98%
184701N基金景福净值1.54441.57371.90%
184705N基金裕泽净值1.24551.26741.76%
184691N基金景宏净值1.54911.57591.73%
184690N基金同益净值1.41311.43491.54%
500001N基金金泰净值1.22931.2481.52%
500002N基金泰和净值1.06631.08211.48%
500015N基金汉兴净值1.3811.40041.40%
500038N基金通乾净值1.53821.55961.39%
184689N基金普惠净值1.71251.7341.26%
184692N基金裕隆净值1.4191.43661.24%
500058N基金银丰净值1.2361.2511.21%
184703N基金金盛净值1.58281.60081.14%
500006N基金裕阳净值1.67831.69310.88%
500005N基金汉盛净值1.67481.68930.87%
184688N基金开元净值1.02831.03220.38%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-3-14 11:14:01 | 显示全部楼层

0306-0313封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184691N基金景宏净值1.3731.3561-1.23%
500009N基金安顺净值1.31771.3012-1.25%
184728N基金鸿阳净值0.69340.6836-1.41%
500003N基金安信净值1.45021.4249-1.74%
184721N基金丰和净值0.76960.7557-1.81%
184690N基金同益净值1.0631.0428-1.90%
184699N基金同盛净值0.84210.8256-1.96%
184705N基金裕泽净值0.93160.9131-1.99%
184703N基金金盛净值1.21131.187-2.01%
500015N基金汉兴净值1.29511.2691-2.01%
500056N基金科瑞净值1.05571.034-2.06%
184693N基金普丰净值1.08971.0673-2.06%
500001N基金金泰净值0.93870.9193-2.07%
184701N基金景福净值1.16761.1407-2.30%
184692N基金裕隆净值1.0891.0637-2.32%
500011N基金金鑫净值0.85560.8354-2.36%
184689N基金普惠净值1.34361.3112-2.41%
184706N基金天华净值0.83580.8155-2.43%
500002N基金泰和净值0.80910.7871-2.72%
500008N基金兴华净值1.13161.1005-2.75%
500005N基金汉盛净值1.60661.5615-2.81%
500018N基金兴和净值1.00620.9768-2.92%
184698N基金天元净值1.18261.1474-2.98%
500038N基金通乾净值1.34191.3006-3.08%
500058N基金银丰净值0.9150.886-3.17%
500006N基金裕阳净值1.44731.3999-3.28%
184688N基金开元净值0.8780.8484-3.37%
184722N基金久嘉净值0.7430.716-3.63%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-3-8 11:05:07 | 显示全部楼层

0227-0306封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184688N基金开元净值0.82370.8786.59%
184706N基金天华净值0.78920.83585.90%
184701N基金景福净值1.10271.16765.89%
184691N基金景宏净值1.29911.3735.69%
500002N基金泰和净值0.76650.80915.56%
500056N基金科瑞净值1.00081.05575.49%
500009N基金安顺净值1.25121.31775.31%
184722N基金久嘉净值0.70570.7435.29%
184703N基金金盛净值1.15081.21135.26%
500018N基金兴和净值0.95731.00625.11%
184692N基金裕隆净值1.03611.0895.11%
500006N基金裕阳净值1.37891.44734.96%
500003N基金安信净值1.38171.45024.96%
184699N基金同盛净值0.8030.84214.87%
500038N基金通乾净值1.27961.34194.87%
500005N基金汉盛净值1.53281.60664.81%
500001N基金金泰净值0.89620.93874.74%
184689N基金普惠净值1.2831.34364.72%
500011N基金金鑫净值0.81730.85564.69%
184690N基金同益净值1.01611.0634.62%
184705N基金裕泽净值0.89060.93164.60%
500008N基金兴华净值1.08651.13164.15%
184721N基金丰和净值0.73920.76964.11%
184693N基金普丰净值1.04711.08974.07%
184698N基金天元净值1.13711.18264.00%
500058N基金银丰净值0.880.9153.98%
500015N基金汉兴净值1.2591.29512.87%
184728N基金鸿阳净值0.68380.69341.40%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-1-17 22:03:41 | 显示全部楼层

0109-0116封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500009N基金安顺净值1.15031.19233.65%
184688N基金开元净值0.76080.78733.48%
500011N基金金鑫净值0.75490.77532.70%
500002N基金泰和净值0.70260.72152.69%
184698N基金天元净值1.04051.06532.38%
184703N基金金盛净值1.0751.0992.25%
500038N基金通乾净值1.13031.15572.25%
184705N基金裕泽净值0.83240.84972.08%
500003N基金安信净值1.311.33652.02%
500018N基金兴和净值0.90320.92081.95%
500001N基金金泰净值0.85160.8671.81%
500008N基金兴华净值1.02331.04081.71%
184692N基金裕隆净值0.95140.96761.70%
500056N基金科瑞净值0.97690.99351.70%
500006N基金裕阳净值1.25991.28111.68%
184721N基金丰和净值0.66990.6811.66%
184728N基金鸿阳净值0.62160.63141.58%
500058N基金银丰净值0.8320.8451.56%
184699N基金同盛净值0.76780.7791.46%
500005N基金汉盛净值1.44381.46421.41%
184693N基金普丰净值0.99221.00551.34%
184706N基金天华净值0.77050.77981.21%
184701N基金景福净值1.03531.0461.04%
184690N基金同益净值0.95150.96070.97%
184691N基金景宏净值1.26520.27650.89%
184722N基金久嘉净值0.6830.68720.61%
500015N基金汉兴净值1.20791.21170.31%
184689N基金普惠净值1.231.23050.04%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-1-24 21:54:32 | 显示全部楼层

0116-0123封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500002N基金泰和净值0.72150.742.56%
500038N基金通乾净值1.15571.18022.12%
184728N基金鸿阳净值0.63140.64432.04%
184688N基金开元净值0.78730.80281.97%
500009N基金安顺净值1.19231.21411.83%
184705N基金裕泽净值0.84970.86381.66%
184698N基金天元净值1.06531.08241.61%
500018N基金兴和净值0.92080.93391.42%
500005N基金汉盛净值1.46421.48481.41%
184706N基金天华净值0.77980.79051.37%
184703N基金金盛净值1.0991.11331.28%
184691N基金景宏净值1.27651.29271.27%
500006N基金裕阳净值1.28111.29731.26%
500008N基金兴华净值1.04081.05341.21%
184692N基金裕隆净值0.96760.97911.19%
184693N基金普丰净值1.00551.01741.18%
184690N基金同益净值0.96070.97071.04%
500001N基金金泰净值0.8670.87591.03%
184689N基金普惠净值1.23051.24220.95%
500003N基金安信净值1.33651.3490.94%
184699N基金同盛净值0.7790.78560.85%
500011N基金金鑫净值0.77530.78130.77%
184721N基金丰和净值0.6810.68620.76%
500056N基金科瑞净值0.99351.00080.73%
184722N基金久嘉净值0.68720.69110.57%
184701N基金景福净值1.0461.05110.49%
500015N基金汉兴净值1.21171.21210.03%
500058N基金银丰净值0.8450.842-0.36%

回复 支持 反对

使用道具 举报

发表于 2009-1-28 22:24:13 | 显示全部楼层
谢谢欢迎光临博罗论坛,网址:http://BLBBS.net
回复 支持 反对

使用道具 举报

发表于 2009-1-30 15:28:19 | 显示全部楼层

谢谢股道难兄的辛勤奉献,想提一个建议,能否同时提供市价和折价率,以及到期日期?似乎金融界有一个现成表,请供参考:

http://fund.jrj.com.cn/netvalue/#2

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-2-7 10:50:22 | 显示全部楼层

0123-0206封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184688N基金开元净值0.80280.86788.10%
184692N基金裕隆净值0.97911.05697.95%
184721N基金丰和净值0.68620.73867.64%
500006N基金裕阳净值1.29731.3957.53%
184701N基金景福净值1.05111.12617.14%
184690N基金同益净值0.97071.03887.02%
184698N基金天元净值1.08241.15756.94%
500058N基金银丰净值0.8420.96.89%
500038N基金通乾净值1.18021.26016.77%
500002N基金泰和净值0.740.78826.51%
500011N基金金鑫净值0.78130.83036.27%
184699N基金同盛净值0.78560.83376.12%
500009N基金安顺净值1.21411.28796.08%
500018N基金兴和净值0.93390.98915.91%
184722N基金久嘉净值0.69110.73195.90%
500056N基金科瑞净值1.00081.05975.89%
184689N基金普惠净值1.24221.31495.85%
184703N基金金盛净值1.11331.17545.56%
184705N基金裕泽净值0.86380.91175.55%
500003N基金安信净值1.3491.42235.43%
184706N基金天华净值0.79050.83135.16%
184691N基金景宏净值1.29271.35895.12%
500001N基金金泰净值0.87590.92025.03%
500005N基金汉盛净值1.48481.55774.91%
184728N基金鸿阳净值0.64430.67574.87%
500008N基金兴华净值1.05341.10474.87%
500015N基金汉兴净值1.21211.26834.64%
184693N基金普丰净值1.01741.06414.59%

回复 支持 反对

使用道具 举报

您需要登录后才可以回帖 登录 | 立即注册

本版积分规则

Archiver|手机版|小黑屋|徐星官网 ( 粤ICP备14047400号 )

粤公网安备 44030402005841号

GMT+8, 2025-7-5 11:34 , Processed in 0.022179 second(s), 12 queries .

Powered by Discuz! X3.4

Copyright © 2001-2021, Tencent Cloud.

快速回复 返回顶部 返回列表