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楼主: 股道难

2010年封闭式基金周龙虎榜

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 楼主| 发表于 2010-7-11 18:30:47 | 显示全部楼层

0702-0709封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184701N基金景福净值1.08561.1435.29%
500038N基金通乾净值1.30781.37545.17%
184691N基金景宏净值1.10731.1614.85%
184693N基金普丰净值0.98311.02824.59%
184705N基金裕泽净值0.96361.00664.46%
500056N基金科瑞净值0.93030.97174.45%
500008N基金兴华净值1.03021.07584.43%
500001N基金金泰净值1.06131.10764.36%
184698N基金天元净值0.93220.97134.19%
500002N基金泰和净值0.9831.02414.18%
184692N基金裕隆净值1.00281.04354.06%
500009N基金安顺净值1.08691.13094.05%
500058N基金银丰净值0.9390.9774.05%
184728N基金鸿阳净值0.68220.70943.99%
184699N基金同盛净值0.99871.03823.96%
500011N基金金鑫净值0.99091.02963.95%
184689N基金普惠净值1.05251.09333.88%
500018N基金兴和净值1.02911.0683.78%
184721N基金丰和净值0.92710.96093.65%
500005N基金汉盛净值1.3111.35863.63%
500003N基金安信净值1.06361.10073.49%
184690N基金同益净值0.99751.03043.30%
500006N基金裕阳净值0.88620.91473.22%
500015N基金汉兴净值1.07491.10843.12%
184722N基金久嘉净值0.88950.91723.11%
184688N基金开元净值0.92350.94242.05%

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 楼主| 发表于 2010-7-3 13:19:46 | 显示全部楼层

0625-0702封闭式基金周龙虎榜

名称上期净值本期净值增长率%
500015N基金汉兴净值1.12011.0749-4.04%
500038N基金通乾净值1.36631.3078-4.28%
184688N基金开元净值0.96510.9235-4.31%
184722N基金久嘉净值0.93490.8895-4.86%
500005N基金汉盛净值1.37991.311-4.99%
500002N基金泰和净值1.03670.983-5.18%
184693N基金普丰净值1.03840.9831-5.33%
184705N基金裕泽净值1.01870.9636-5.41%
184690N基金同益净值1.05560.9975-5.50%
184698N基金天元净值0.98680.9322-5.53%
500001N基金金泰净值1.12411.0613-5.59%
184692N基金裕隆净值1.06331.0028-5.69%
500018N基金兴和净值1.09231.0291-5.79%
184689N基金普惠净值1.11941.0525-5.98%
184699N基金同盛净值1.06240.9987-6.00%
500003N基金安信净值1.13391.0636-6.20%
184721N基金丰和净值0.98840.9271-6.20%
500011N基金金鑫净值1.05790.9909-6.33%
500058N基金银丰净值1.0040.939-6.47%
500009N基金安顺净值1.16621.0869-6.80%
184728N基金鸿阳净值0.73310.6822-6.94%
500008N基金兴华净值1.10781.0302-7.00%
184691N基金景宏净值1.19091.1073-7.02%
500056N基金科瑞净值1.00210.9303-7.17%
500006N基金裕阳净值0.97210.8862-8.84%
184701N基金景福净值1.19091.0856-8.84%

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 楼主| 发表于 2010-7-17 12:17:22 | 显示全部楼层

0709-0716封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500005N基金汉盛净值1.35861.35860%
500015N基金汉兴净值1.10841.10840%
184699N基金同盛净值1.03821.035-0.31%
184698N基金天元净值0.97130.9674-0.40%
500002N基金泰和净值1.02411.0169-0.70%
184692N基金裕隆净值1.04351.0353-0.79%
500001N基金金泰净值1.10761.0986-0.81%
500011N基金金鑫净值1.02961.0211-0.86%
184722N基金久嘉净值0.91720.9087-0.93%
500018N基金兴和净值1.0681.0581-0.93%
184690N基金同益净值1.03041.0204-0.97%
500038N基金通乾净值1.37541.3599-1.13%
184693N基金普丰净值1.02821.0163-1.16%
500006N基金裕阳净值0.91470.9037-1.20%
184691N基金景宏净值1.1611.1464-1.26%
500003N基金安信净值1.10071.0864-1.30%
184721N基金丰和净值0.96090.948-1.34%
184688N基金开元净值0.94240.9295-1.37%
184689N基金普惠净值1.09331.0771-1.48%
500009N基金安顺净值1.13091.1133-1.56%
500056N基金科瑞净值0.97170.9561-1.61%
184728N基金鸿阳净值0.70940.698-1.61%
500058N基金银丰净值0.9770.961-1.64%
184705N基金裕泽净值1.00660.9888-1.77%
184701N基金景福净值1.1431.1226-1.78%
500008N基金兴华净值1.07581.0535-2.07%

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 楼主| 发表于 2013-12-22 19:28:24 | 显示全部楼层

0723-0730封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500038N基金通乾净值1.40881.45243.09%
500006N基金裕阳净值0.95890.98762.99%
184701N基金景福净值1.18451.21992.99%
184689N基金普惠净值1.13381.16692.92%
500058N基金银丰净值0.9991.0282.90%
184693N基金普丰净值1.05651.08562.75%
500003N基金安信净值1.14141.17032.53%
184691N基金景宏净值1.21141.2422.53%
500002N基金泰和净值1.06191.08682.34%
500009N基金安顺净值1.17921.20662.32%
184688N基金开元净值0.96280.9842.20%
184692N基金裕隆净值1.08711.11062.16%
500018N基金兴和净值1.11151.13512.12%
500008N基金兴华净值1.11241.13552.08%
184721N基金丰和净值0.98921.00972.07%
184722N基金久嘉净值0.93960.95882.04%
500005N基金汉盛净值1.39681.42532.04%
184698N基金天元净值1.01361.03381.99%
500001N基金金泰净值1.15751.18021.96%
184690N基金同益净值1.07041.09081.91%
500011N基金金鑫净值1.08291.10241.80%
184705N基金裕泽净值1.04621.0651.80%
184699N基金同盛净值1.09221.11151.77%
500015N基金汉兴净值1.14161.15941.56%
500056N基金科瑞净值1.0091.03561%
184728N基金鸿阳净值000.00%

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 楼主| 发表于 2010-7-25 11:48:48 | 显示全部楼层

0716-0723封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500006N基金裕阳净值0.90370.95896.11%
500011N基金金鑫净值1.02111.08296.05%
500009N基金安顺净值1.11331.17925.92%
184705N基金裕泽净值0.98881.04625.81%
184691N基金景宏净值1.14641.21145.67%
500008N基金兴华净值1.05351.11245.59%
184699N基金同盛净值1.0351.09225.53%
184701N基金景福净值1.12261.18455.51%
500001N基金金泰净值1.09861.15755.36%
184689N基金普惠净值1.07711.13385.26%
500003N基金安信净值1.08641.14145.06%
500018N基金兴和净值1.05811.11155.05%
184692N基金裕隆净值1.03531.08715.00%
184690N基金同益净值1.02041.07044.90%
184698N基金天元净值0.96741.01364.78%
500002N基金泰和净值1.01691.06194.43%
184721N基金丰和净值0.9480.98924.35%
184693N基金普丰净值1.01631.05653.96%
500058N基金银丰净值0.9610.9993.95%
500038N基金通乾净值1.35991.40883.60%
184688N基金开元净值0.92950.96283.58%
184722N基金久嘉净值0.90870.93963.40%
500015N基金汉兴净值1.10841.14163.00%
500005N基金汉盛净值1.35861.39682.81%
184728N基金鸿阳净值0.69800%
500056N基金科瑞净值0.956100%

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