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封闭式基金折价率2008年

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发表于 2008-1-5 20:44:43 | 显示全部楼层 |阅读模式
更新时间:2008-01-04

@代码名称交易价净值代码基金净值升贴水值折价率
510880红利ETF4.834495303N4.806-0.0280.58%
510180180ETF12.105491105N3.119-8.986288.11%
510180180ETF12.105491105N3.252-8.853272.26%
510050上证50ETF4.203495001N4.171-0.0320.77%
500058基金银丰1.792500058N2.2210.429-19.32%
500056基金科瑞3.218500056N3.8390.621-16.18%
500038基金通乾2.663500038N3.2540.590-18.15%
500029基金科讯2.404500029N2.5450.141-5.54%
500025基金汉鼎2.586500025N2.7180.132-4.87%
500018基金兴和2.587500018N3.1570.570-18.04%
500015基金汉兴2.135500015N2.7000.565-20.94%
500011基金金鑫2.550500011N3.1570.607-19.23%
500009基金安顺2.630500009N3.1450.515-16.38%
500008基金兴华3.300500008N3.7480.448-11.95%
500007基金景阳3.652500007N3.7870.135-3.55%
500006基金裕阳3.258500006N3.7470.489-13.05%
500005基金汉盛3.128500005N3.7950.667-17.58%
500003基金安信2.753500003N3.3630.610-18.15%
500002基金泰和3.119500002N3.4870.368-10.56%
500001基金金泰3.141500001N3.8080.667-17.52%
184728基金鸿阳2.063184728N2.5490.486-19.06%
184722基金久嘉3.584184722N4.0720.488-11.98%
184721基金丰和2.638184721N2.9950.357-11.92%
184719基金融鑫3.615184719N3.6520.037-1.01%
184713基金科翔5.109184713N5.3460.237-4.44%
184712基金科汇4.828184712N4.8940.066-1.35%
184706基金天华2.250184706N2.5790.329-12.74%
184705基金裕泽3.182184705N3.5030.321-9.16%
184703基金金盛2.791184703N2.9440.153-5.18%
184701基金景福2.433184701N3.0710.638-20.77%
184700基金鸿飞3.482184700N3.5720.090-2.52%
184699基金同盛2.400184699N2.9670.567-19.11%
184698基金天元2.730184698N3.2530.523-16.06%
184693基金普丰2.541184693N3.1500.609-19.33%
184692基金裕隆3.149184692N3.6480.499-13.67%
184691基金景宏2.905184691N3.4900.585-16.75%
184690基金同益2.478184690N3.0060.528-17.57%
184689基金普惠3.126184689N3.8600.734-19.01%
184688基金开元2.823184688N3.2130.390-12.13%
160910大成创新1.341492409N1.336-0.0050.37%
159902中小板ETF3.041491307N3.0420.001-0.03%
159901深100ETF5.582491707N5.519-0.0631.14%
150002大成优选1.048150002N1.1860.138-11.64%
150001瑞福进取1.495150001N1.403-0.0926.56%
@平均值--3.382--3.320-0.0622.12%
@代码名称交易价净值代码基金净值升贴水值折价率
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 楼主| 发表于 2008-1-19 12:34:20 | 显示全部楼层
@代码名称交易价净值代码基金净值升贴水值折价率
510880红利ETF4.650495303N4.6530.003-0.06%
510180180ETF11.936491105N3.119-8.817282.69%
510180180ETF11.936491105N3.265-8.671265.55%
510050上证50ETF4.165495001N4.151-0.0140.34%
500058基金银丰1.833500058N2.3380.505-21.60%
500056基金科瑞3.170500056N4.0590.889-21.91%
500038基金通乾2.608500038N3.4400.832-24.19%
500029基金科讯2.404500029N2.5450.141-5.54%
500025基金汉鼎2.605500025N2.8640.259-9.03%
500018基金兴和2.536500018N3.2900.754-22.92%
500015基金汉兴2.096500015N2.7850.689-24.73%
500011基金金鑫2.494500011N3.2850.791-24.08%
500009基金安顺2.579500009N3.3360.757-22.69%
500008基金兴华3.196500008N3.9350.739-18.77%
500007基金景阳3.652500007N3.7870.135-3.55%
500006基金裕阳3.189500006N3.9050.716-18.33%
500005基金汉盛3.106500005N3.9930.887-22.22%
500003基金安信2.740500003N3.5310.791-22.41%
500002基金泰和3.114500002N3.5990.485-13.47%
500001基金金泰3.085500001N3.9220.837-21.34%
184728基金鸿阳2.015184728N2.6450.630-23.83%
184722基金久嘉3.520184722N4.3200.800-18.52%
184721基金丰和2.655184721N3.1890.534-16.75%
184719基金融鑫2.190184719N3.7001.510-40.80%
184713基金科翔5.134184713N5.5940.460-8.23%
184712基金科汇4.800184712N5.1270.327-6.38%
184706基金天华2.184184706N2.6960.512-19.00%
184705基金裕泽3.116184705N3.6650.549-14.98%
184703基金金盛2.768184703N3.0750.307-9.97%
184701基金景福2.341184701N3.1700.829-26.14%
184700基金鸿飞3.567184700N3.7900.223-5.89%
184699基金同盛2.305184699N3.0460.741-24.33%
184698基金天元2.680184698N3.3930.713-21.01%
184693基金普丰2.494184693N3.3140.820-24.75%
184692基金裕隆3.176184692N3.8570.681-17.65%
184691基金景宏2.849184691N3.6260.777-21.44%
184690基金同益2.382184690N3.1310.749-23.91%
184689基金普惠3.091184689N4.0350.944-23.39%
184688基金开元2.865184688N3.3720.507-15.04%
160910大成创新1.335492409N1.326-0.0090.68%
159902中小板ETF3.048491307N3.047-0.0010.03%
159901深100ETF5.638491707N5.557-0.0811.46%
150002大成优选1.074150002N1.1870.113-9.52%
150001瑞福进取1.328150001N1.155-0.17314.98%
@平均值--3.310--3.4280.117-2.33%
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