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楼主: 股道难

封闭式基金周龙虎榜

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 楼主| 发表于 2007-8-25 10:10:00 | 显示全部楼层

20070817-0824封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
150002N大成优选净值1.0031.16115.75%
184706N基金天华净值2.34392.628412.14%
500038N基金通乾净值2.9933.334811.42%
184703N基金金盛净值3.62634.037511.34%
184691N基金景宏净值2.96143.291611.15%
500007N基金景阳净值3.53043.92411.15%
500008N基金兴华净值3.40773.786511.12%
184722N基金久嘉净值3.42653.803811.01%
184692N基金裕隆净值3.41933.489810.84%
184719N基金融鑫净值3.32583.444310.48%
500056N基金科瑞净值3.64474.024410.42%
184705N基金裕泽净值3.36163.407110.28%
184689N基金普惠净值3.4693.824210.24%
500001N基金金泰净值3.28793.623510.21%
500003N基金安信净值3.1823.503510.10%
500029N基金科讯净值3.24073.56419.98%
500039N基金同德净值2.64122.90169.86%
184693N基金普丰净值2.84233.12129.81%
500015N基金汉兴净值2.33522.5559.41%
184699N基金同盛净值2.51662.75069.30%
500011N基金金鑫净值2.84443.10819.27%
500005N基金汉盛净值3.39673.70969.21%
184713N基金科翔净值4.64975.07459.14%
184710N基金隆元净值3.67454.00849.09%
184728N基金鸿阳净值2.49922.7248.99%
184721N基金丰和净值2.69062.92878.85%
184718N基金兴安净值3.55113.86538.85%
500018N基金兴和净值2.98533.24438.68%
184701N基金景福净值2.76042.99978.67%
500002N基金泰和净值2.90993.16218.67%
184712N基金科汇净值4.1084.45498.44%
184690N基金同益净值2.93283.17638.30%
500009N基金安顺净值2.93193.1738.22%
184700N基金鸿飞净值3.11133.367.99%
500058N基金银丰净值2.4692.6637.86%
500006N基金裕阳净值3.36393.41447.45%
184698N基金天元净值3.053.34136.27%
184688N基金开元净值3.1823.37686.12%
500025N基金汉鼎净值2.58812.7154.90%

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 楼主| 发表于 2007-9-1 12:21:00 | 显示全部楼层

20070824-0831封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500029N基金科讯净值3.56413.69073.55%
500001N基金金泰净值3.62353.70552.26%
184718N基金兴安净值3.86533.952.19%
184700N基金鸿飞净值3.363.4231.88%
184703N基金金盛净值4.03754.11221.85%
184712N基金科汇净值4.45494.53121.71%
500011N基金金鑫净值3.10813.15381.47%
500058N基金银丰净值2.6632.251.39%
184722N基金久嘉净值3.80383.85091.24%
184692N基金裕隆净值3.48983.53081.17%
184728N基金鸿阳净值2.7242.75591.17%
500007N基金景阳净值3.9243.96971.16%
500009N基金安顺净值3.1733.20971.16%
500018N基金兴和净值3.24433.28141.14%
184706N基金天华净值2.62842.65691.08%
500039N基金同德净值2.90162.93261.07%
184693N基金普丰净值3.12123.15251.00%
184699N基金同盛净值2.75062.77440.87%
184705N基金裕泽净值3.40713.43640.86%
184698N基金天元净值3.34133.36930.84%
184701N基金景福净值2.99973.02380.80%
184688N基金开元净值3.37683.40350.79%
184690N基金同益净值3.17633.20140.79%
184713N基金科翔净值5.07455.11410.78%
150002N大成优选净值1.1611.170.78%
184719N基金融鑫净值3.44433.47080.77%
500006N基金裕阳净值3.41443.43280.54%
500008N基金兴华净值3.78653.80460.48%
500056N基金科瑞净值4.02444.02880.11%
500015N基金汉兴净值2.5552.45710.08%
500003N基金安信净值3.50353.5005-0.09%
500005N基金汉盛净值3.70963.4375-0.19%
500038N基金通乾净值3.33483.3243-0.31%
184689N基金普惠净值3.82423.8083-0.42%
184721N基金丰和净值2.92872.9089-0.68%
500025N基金汉鼎净值2.7152.4375-0.76%
184710N基金隆元净值4.00843.9733-0.88%
184691N基金景宏净值3.29163.2603-0.95%
500002N基金泰和净值3.16213.1202-1.33%

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 楼主| 发表于 2007-9-8 16:43:00 | 显示全部楼层

200780831-0907封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184718N基金兴安净值3.954.08223.35%
500006N基金裕阳净值3.43283.50972.24%
184721N基金丰和净值2.90892.97082.13%
184692N基金裕隆净值3.53083.59131.71%
500025N基金汉鼎净值2.43752.47411.50%
500058N基金银丰净值2.252.2771.20%
500003N基金安信净值3.50053.54131.17%
184698N基金天元净值3.36933.40511.06%
500002N基金泰和净值3.12023.15251.04%
184689N基金普惠净值3.80833.84751.03%
184693N基金普丰净值3.15253.18431.01%
184712N基金科汇净值4.53124.57620.99%
184722N基金久嘉净值3.85093.88340.84%
500039N基金同德净值2.93262.95510.77%
500038N基金通乾净值3.32433.0350.32%
184713N基金科翔净值5.11415.12760.26%
184710N基金隆元净值3.97333.98220.22%
500009N基金安顺净值3.20973.21680.22%
184705N基金裕泽净值3.43643.43940.09%
184699N基金同盛净值2.77442.7750.02%
184688N基金开元净值3.40353.4029-0.02%
184728N基金鸿阳净值2.75592.7548-0.04%
184719N基金融鑫净值3.47083.4599-0.31%
500005N基金汉盛净值3.43753.4213-0.47%
500018N基金兴和净值3.28143.0628-0.57%
500056N基金科瑞净值4.02884.0048-0.60%
184703N基金金盛净值4.11224.0859-0.64%
500011N基金金鑫净值3.15383.1321-0.69%
500001N基金金泰净值3.70553.6797-0.70%
184700N基金鸿飞净值3.4233.399-0.70%
500008N基金兴华净值3.80463.5254-0.77%
184690N基金同益净值3.20143.1735-0.87%
500015N基金汉兴净值2.45712.4319-1.03%
500029N基金科讯净值3.69073.6448-1.24%
500007N基金景阳净值3.96973.9034-1.67%
184701N基金景福净值3.02382.9641-1.97%
184706N基金天华净值2.65692.5987-2.19%
184691N基金景宏净值3.26033.1361-3.81%

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 楼主| 发表于 2007-9-15 12:58:00 | 显示全部楼层

20070907-0914封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184718N基金兴安净值4.08224.27554.74%
184692N基金裕隆净值3.59133.70483.16%
500008N基金兴华净值3.52543.63623.14%
184703N基金金盛净值4.08594.20923.02%
184722N基金久嘉净值3.88343.99922.98%
184705N基金裕泽净值3.43943.53382.74%
500007N基金景阳净值3.90344.00842.69%
184712N基金科汇净值4.57624.69322.56%
184728N基金鸿阳净值2.75482.81842.31%
184719N基金融鑫净值3.45993.53842.27%
500038N基金通乾净值3.0353.1032.24%
500039N基金同德净值2.95513.02122.24%
184689N基金普惠净值3.84753.93162.19%
184693N基金普丰净值3.18433.25382.18%
500002N基金泰和净值3.15253.21271.91%
500001N基金金泰净值3.67973.74851.87%
184713N基金科翔净值5.12765.2191.78%
184699N基金同盛净值2.7752.82431.78%
500018N基金兴和净值3.06283.11681.76%
184701N基金景福净值2.96413.00861.50%
184706N基金天华净值2.59872.63681.47%
184698N基金天元净值3.40513.4551.47%
500006N基金裕阳净值3.50973.56091.46%
500011N基金金鑫净值3.13213.16631.09%
184710N基金隆元净值3.98224.02491.07%
500056N基金科瑞净值4.00484.04741.06%
500003N基金安信净值3.54133.57821.04%
184691N基金景宏净值3.13613.1681.02%
500029N基金科讯净值3.64483.68141.00%
184721N基金丰和净值2.97083.00061.00%
184700N基金鸿飞净值3.3993.42430.74%
500005N基金汉盛净值3.42133.43480.39%
184688N基金开元净值3.40293.4110.24%
500015N基金汉兴净值2.43192.43740.23%
500009N基金安顺净值3.21683.2063-0.33%
184690N基金同益净值3.17353.1563-0.54%
500025N基金汉鼎净值2.47412.4377-1.47%
500058N基金银丰净值2.27700%

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 楼主| 发表于 2007-9-29 13:52:38 | 显示全部楼层

20070921-0928封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184698N基金天元净值3.48863.55744.84%
500038N基金通乾净值3.12773.27734.78%
184691N基金景宏净值3.15993.29434.25%
500056N基金科瑞净值4.01744.18674.21%
184722N基金久嘉净值4.02844.1924.06%
184700N基金鸿飞净值3.4353.57354.03%
184710N基金隆元净值3.9914.13523.61%
500002N基金泰和净值3.22793.33963.46%
184713N基金科翔净值5.13765.30993.35%
184701N基金景福净值3.02113.12193.34%
184712N基金科汇净值4.60764.75733.25%
184705N基金裕泽净值3.55483.66022.97%
184703N基金金盛净值4.20984.33082.87%
184721N基金丰和净值3.00423.09042.87%
184692N基金裕隆净值3.76463.90072.82%
500006N基金裕阳净值3.60173.70292.81%
184688N基金开元净值3.48073.57752.78%
500005N基金汉盛净值3.493.58642.76%
500008N基金兴华净值3.63933.73892.74%
500015N基金汉兴净值2.47652.54162.63%
184689N基金普惠净值3.91574.01852.63%
500007N基金景阳净值4.05084.15612.60%
184699N基金同盛净值2.88342.95262.40%
500025N基金汉鼎净值2.44352.50572.32%
500058N基金银丰净值2.3822.4322.10%
500039N基金同德净值3.04963.11031.99%
184719N基金融鑫净值3.55693.62581.94%
500011N基金金鑫净值3.14943.20991.92%
500009N基金安顺净值3.27073.33321.91%
184706N基金天华净值2.6082.65761.90%
184690N基金同益净值3.15913.21381.73%
500003N基金安信净值3.59713.65721.67%
500018N基金兴和净值3.13373.17821.42%
184693N基金普丰净值3.28413.32851.35%
184728N基金鸿阳净值2.80122.83681.27%
500029N基金科讯净值3.64823.69291.23%
500001N基金金泰净值3.77293.80990.98%
184718N基金兴安净值4.35624.3810.57%

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 楼主| 发表于 2007-10-20 20:45:30 | 显示全部楼层

20071012-1019封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500015N基金汉兴净值2.62622.6137-0.48%
184688N基金开元净值3.64153.6191-0.62%
500009N基金安顺净值3.19923.1762-0.72%
184700N基金鸿飞净值3.63793.6094-0.78%
184691N基金景宏净值3.41693.3889-0.82%
500011N基金金鑫净值3.23893.2122-0.82%
184719N基金融鑫净值3.72173.6898-0.86%
500025N基金汉鼎净值2.48992.4668-0.93%
184698N基金天元净值3.67033.6303-1.09%
500006N基金裕阳净值3.8223.7751-1.23%
500058N基金银丰净值2.4842.453-1.25%
500005N基金汉盛净值3.65293.607-1.26%
500003N基金安信净值3.49243.4451-1.35%
184703N基金金盛净值4.36534.3033-1.42%
500001N基金金泰净值3.92153.8643-1.46%
184712N基金科汇净值4.86794.786-1.68%
184693N基金普丰净值3.38143.2225-1.74%
184718N基金兴安净值4.51164.431-1.79%
184713N基金科翔净值5.42875.3287-1.84%
500008N基金兴华净值3.85153.7796-1.87%
500002N基金泰和净值3.47883.4111-1.95%
184699N基金同盛净值3.04492.9842-1.99%
184710N基金隆元净值4.25444.1684-2.02%
184690N基金同益净值3.30423.236-2.06%
184689N基金普惠净值4.13313.9472-2.08%
500018N基金兴和净值3.27613.2075-2.09%
500029N基金科讯净值3.79333.7112-2.16%
500038N基金通乾净值3.39113.3161-2.21%
184701N基金景福净值3.24123.1683-2.25%
184692N基金裕隆净值3.99423.9039-2.26%
500039N基金同德净值3.16063.0879-2.30%
184706N基金天华净值2.74492.6782-2.43%
184728N基金鸿阳净值2.87162.799-2.53%
184705N基金裕泽净值3.79123.6906-2.65%
184721N基金丰和净值3.13843.0506-2.80%
184722N基金久嘉净值4.39294.2628-2.96%
500007N基金景阳净值4.32024.1854-3.12%
500056N基金科瑞净值4.29084.1455-3.39%

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 楼主| 发表于 2007-11-10 20:35:46 | 显示全部楼层

20071102-1109封闭式基金周龙虎榜

名称上期净值本期净值增长率%
500025N基金汉鼎净值2.34942.3187-1.31%
184712N基金科汇净值4.62074.515-2.29%
500005N基金汉盛净值3.59473.511-2.33%
184689N基金普惠净值3.93433.8108-3.14%
500002N基金泰和净值3.38283.2752-3.18%
500003N基金安信净值3.41523.2984-3.42%
184721N基金丰和净值3.00142.8956-3.53%
500029N基金科讯净值3.56173.4319-3.64%
500015N基金汉兴净值2.57752.4823-3.69%
184690N基金同益净值3.14883.0322-3.70%
500058N基金银丰净值2.1722.088-3.87%
184713N基金科翔净值5.11314.8995-4.18%
184688N基金开元净值3.10982.977-4.27%
184693N基金普丰净值3.14853.0124-4.32%
500008N基金兴华净值3.71133.5444-4.50%
184699N基金同盛净值2.8932.7626-4.51%
184701N基金景福净值3.15443.0102-4.57%
500018N基金兴和净值3.12072.9777-4.58%
500009N基金安顺净值3.08872.9412-4.78%
500007N基金景阳净值4.20193.9998-4.81%
184706N基金天华净值2.67462.5435-4.90%
184728N基金鸿阳净值2.47332.3517-4.92%
184719N基金融鑫净值3.55983.3837-4.95%
500006N基金裕阳净值3.73763.5521-4.96%
184692N基金裕隆净值3.86753.6409-5.08%
500056N基金科瑞净值4.16663.9526-5.14%
500038N基金通乾净值3.36173.1888-5.14%
184722N基金久嘉净值4.28714.0632-5.22%
184691N基金景宏净值3.45953.2672-5.56%
184718N基金兴安净值4.25644.0193-5.57%
184700N基金鸿飞净值3.50763.3102-5.63%
500011N基金金鑫净值3.23233.046-5.76%
500001N基金金泰净值3.90563.673-5.96%
184703N基金金盛净值4.25633.9824-6.44%
184705N基金裕泽净值3.7283.4804-6.64%
184698N基金天元净值3.30133.1138-8.71%

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 楼主| 发表于 2007-10-27 21:39:14 | 显示全部楼层

20071019-1026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3.31613.37111.66%
184691N基金景宏净值3.38893.43631.40%
500007N基金景阳净值4.18544.20310.42%
500001N基金金泰净值3.86433.87950.39%
184705N基金裕泽净值3.69063.69730.18%
500002N基金泰和净值3.41113.41560.13%
184689N基金普惠净值3.94723.9459-0.03%
184706N基金天华净值2.67822.677-0.04%
184701N基金景福净值3.16833.1664-0.06%
184722N基金久嘉净值4.26284.2567-0.14%
184703N基金金盛净值4.30334.2911-0.28%
500003N基金安信净值3.44513.4342-0.32%
500011N基金金鑫净值3.21223.1995-0.40%
500056N基金科瑞净值4.14554.1247-0.50%
500005N基金汉盛净值3.6073.5718-0.98%
184710N基金隆元净值4.16844.127-0.99%
500015N基金汉兴净值2.61372.5854-1.08%
500008N基金兴华净值3.77963.7318-1.26%
184698N基金天元净值3.63033.5625-1.87%
184692N基金裕隆净值3.90393.8282-1.94%
184721N基金丰和净值3.05062.9855-2.13%
500006N基金裕阳净值3.77513.6918-2.21%
184719N基金融鑫净值3.68983.5955-2.56%
184690N基金同益净值3.2363.1418-2.91%
184693N基金普丰净值3.22253.1244-3.04%
184699N基金同盛净值2.98422.8868-3.26%
500018N基金兴和净值3.20753.1023-3.28%
500009N基金安顺净值3.17623.0708-3.32%
184712N基金科汇净值4.7864.6113-3.65%
184713N基金科翔净值5.32875.1332-3.67%
500029N基金科讯净值3.71123.5661-3.91%
184688N基金开元净值3.61913.4692-4.14%
500058N基金银丰净值2.4532.342-4.53%
184718N基金兴安净值4.4314.2259-4.63%
184700N基金鸿飞净值3.60943.4409-4.67%
184728N基金鸿阳净值2.7992.4441-5.53%
500025N基金汉鼎净值2.46682.2756-7.75%

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 楼主| 发表于 2007-11-3 10:46:39 | 显示全部楼层

20071026-1102封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500025N基金汉鼎净值2.27562.34943.24%
184710N基金隆元净值4.1274.23062.51%
184700N基金鸿飞净值3.44093.50761.94%
500058N基金银丰净值2.3422.1721.28%
500006N基金裕阳净值3.69183.73761.24%
184728N基金鸿阳净值2.44412.47331.19%
184698N基金天元净值3.56253.30131.09%
184692N基金裕隆净值3.82823.86751.03%
500011N基金金鑫净值3.19953.23231.03%
500056N基金科瑞净值4.12474.16661.02%
184705N基金裕泽净值3.69733.7280.83%
184718N基金兴安净值4.22594.25640.72%
184722N基金久嘉净值4.25674.28710.71%
184691N基金景宏净值3.43633.45950.68%
500001N基金金泰净值3.87953.90560.67%
500005N基金汉盛净值3.57183.59470.64%
500018N基金兴和净值3.10233.12070.59%
500009N基金安顺净值3.07083.08870.58%
184721N基金丰和净值2.98553.00140.53%
184690N基金同益净值3.14183.14880.22%
184699N基金同盛净值2.88682.8930.21%
184712N基金科汇净值4.61134.62070.20%
500007N基金景阳净值4.20314.2019-0.03%
184706N基金天华净值2.6772.6746-0.09%
500029N基金科讯净值3.56613.5617-0.12%
500038N基金通乾净值3.37113.3617-0.28%
500015N基金汉兴净值2.58542.5775-0.31%
184701N基金景福净值3.16643.1544-0.38%
184713N基金科翔净值5.13325.1131-0.39%
500008N基金兴华净值3.73183.7113-0.55%
500003N基金安信净值3.43423.4152-0.55%
184703N基金金盛净值4.29114.2563-0.81%
500002N基金泰和净值3.41563.3828-0.96%
184719N基金融鑫净值3.59553.5598-0.99%
184688N基金开元净值3.46923.1098-1.71%
184693N基金普丰净值3.12443.1485-2.43%
184689N基金普惠净值3.94593.9343-2.83%

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 楼主| 发表于 2007-10-13 12:36:01 | 显示全部楼层

20070928-1012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3.33963.47884.17%
500007N基金景阳净值4.15614.32023.95%
184701N基金景福净值3.12193.24123.82%
184691N基金景宏净值3.29433.41693.72%
184705N基金裕泽净值3.66023.79123.58%
500038N基金通乾净值3.27733.39113.47%
500015N基金汉兴净值2.54162.62623.33%
184706N基金天华净值2.65762.74493.28%
500006N基金裕阳净值3.70293.8223.22%
184692N基金裕隆净值3.90073.99423.17%
184699N基金同盛净值2.95263.04493.13%
500018N基金兴和净值3.17823.27613.08%
500008N基金兴华净值3.73893.85153.01%
184718N基金兴安净值4.3814.51162.98%
500001N基金金泰净值3.80993.92152.93%
184710N基金隆元净值4.13524.25442.88%
184689N基金普惠净值4.01854.13312.85%
184690N基金同益净值3.21383.30422.81%
500029N基金科讯净值3.69293.79332.72%
500056N基金科瑞净值4.18674.29082.49%
184712N基金科汇净值4.75734.86792.32%
184713N基金科翔净值5.30995.42872.24%
500058N基金银丰净值2.4322.4842.14%
500009N基金安顺净值3.33323.19921.98%
500005N基金汉盛净值3.58643.65291.85%
184700N基金鸿飞净值3.57353.63791.80%
184688N基金开元净值3.57753.64151.79%
500039N基金同德净值3.11033.16061.62%
184693N基金普丰净值3.32853.38141.59%
184721N基金丰和净值3.09043.13841.55%
184728N基金鸿阳净值2.83682.87161.23%
500003N基金安信净值3.65723.49240.96%
500011N基金金鑫净值3.20993.23890.90%
184703N基金金盛净值4.33084.36530.80%
184698N基金天元净值3.55743.67030.36%
184722N基金久嘉净值4.19200%
184719N基金融鑫净值3.625800%
500025N基金汉鼎净值2.50572.4899-0.42%

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