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楼主: 股道难

2009年封闭式基金周龙虎榜

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 楼主| 发表于 2009-7-25 10:08:12 | 显示全部楼层

0717-0724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1.69311.77975.11%
184721N基金丰和净值0.96751.00824.21%
184698N基金天元净值1.58311.64453.88%
184722N基金久嘉净值1.06181.10013.61%
184699N基金同盛净值1.12461.16263.38%
184693N基金普丰净值1.42371.46983.24%
184690N基金同益净值1.43491.4762.86%
500056N基金科瑞净值1.5051.54562.70%
500011N基金金鑫净值1.16131.19192.64%
500018N基金兴和净值1.41171.44832.59%
500002N基金泰和净值1.08211.10892.48%
500001N基金金泰净值1.2481.27862.45%
500008N基金兴华净值1.6291.66682.32%
184689N基金普惠净值1.7341.76731.92%
500009N基金安顺净值1.72471.75781.92%
500058N基金银丰净值1.2511.2741.84%
184691N基金景宏净值1.57591.60411.79%
184701N基金景福净值1.57371.60151.77%
500015N基金汉兴净值1.40041.42441.71%
184692N基金裕隆净值1.43661.45981.61%
184705N基金裕泽净值1.26741.28771.60%
184703N基金金盛净值1.60081.62571.56%
184728N基金鸿阳净值0.85590.8691.53%
184688N基金开元净值1.03221.04571.31%
500038N基金通乾净值1.55961.57851.21%
500005N基金汉盛净值1.68931.70821.12%
500003N基金安信净值1.57091.58270.75%

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 楼主| 发表于 2009-8-1 12:08:19 | 显示全部楼层

0724-0731封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184692N基金裕隆净值1.45981.49352.31%
184728N基金鸿阳净值0.8690.88431.76%
500003N基金安信净值1.58271.60961.70%
184691N基金景宏净值1.60411.63121.69%
500009N基金安顺净值1.75781.78561.58%
184693N基金普丰净值1.46981.4921.51%
500001N基金金泰净值1.27861.27861.50%
500018N基金兴和净值1.44831.46941.46%
184701N基金景福净值1.60151.62341.37%
184688N基金开元净值1.04571.05971.34%
500015N基金汉兴净值1.42441.44211.24%
500008N基金兴华净值1.66681.68661.19%
184698N基金天元净值1.64451.6641.19%
500011N基金金鑫净值1.19191.2061.18%
500006N基金裕阳净值1.77971.79730.99%
184705N基金裕泽净值1.28771.29990.95%
500038N基金通乾净值1.57851.59310.92%
184721N基金丰和净值1.00821.01650.82%
184699N基金同盛净值1.16261.17190.80%
184689N基金普惠净值1.76731.78140.80%
500002N基金泰和净值1.10891.11570.61%
184722N基金久嘉净值1.10011.10640.57%
184690N基金同益净值1.4761.48130.36%
500058N基金银丰净值1.2741.2780.31%
500005N基金汉盛净值1.70821.7130.28%
184703N基金金盛净值1.62571.6254-0.02%
500056N基金科瑞净值1.54561.5443-0.08%

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 楼主| 发表于 2009-8-9 10:47:26 | 显示全部楼层

0731-0807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1.05971.070.97%
184703N基金金盛净值1.62541.6112-0.87%
500005N基金汉盛净值1.7131.6918-1.24%
500058N基金银丰净值1.2781.255-1.80%
184690N基金同益净值1.48131.4545-1.81%
500015N基金汉兴净值1.44211.4159-1.82%
500011N基金金鑫净值1.2061.1839-1.83%
500001N基金金泰净值1.27861.2742-1.85%
500009N基金安顺净值1.78561.7502-1.98%
500006N基金裕阳净值1.79731.7582-2.18%
500002N基金泰和净值1.11571.0881-2.47%
184705N基金裕泽净值1.29991.2667-2.55%
184692N基金裕隆净值1.49351.4534-2.69%
184699N基金同盛净值1.17191.1396-2.76%
500038N基金通乾净值1.59311.5451-3.01%
500003N基金安信净值1.60961.561-3.02%
184728N基金鸿阳净值0.88430.8574-3.04%
184693N基金普丰净值1.4921.4427-3.30%
184691N基金景宏净值1.63121.5761-3.38%
500018N基金兴和净值1.46941.4127-3.86%
184698N基金天元净值1.6641.5993-3.89%
184689N基金普惠净值1.78141.7116-3.92%
500008N基金兴华净值1.68661.6195-3.98%
184701N基金景福净值1.62341.5581-4.02%
184722N基金久嘉净值1.10641.0596-4.23%
500056N基金科瑞净值1.54431.476-4.42%
184721N基金丰和净值1.01650.9647-5.10%

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 楼主| 发表于 2009-8-29 12:07:07 | 显示全部楼层

0821-0828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1.33921.36151.67%
184688N基金开元净值1.01591.02220.62%
500018N基金兴和净值1.31351.31350%
184728N基金鸿阳净值00.77020%
500005N基金汉盛净值1.60351.5995-0.25%
184703N基金金盛净值1.56091.5561-0.31%
500058N基金银丰净值1.1611.154-0.60%
184689N基金普惠净值1.60421.5852-1.18%
184692N基金裕隆净值1.36011.3412-1.39%
500009N基金安顺净值1.67191.6435-1.70%
500006N基金裕阳净值1.66941.6406-1.73%
184690N基金同益净值1.36141.3363-1.84%
500011N基金金鑫净值1.10431.0839-1.85%
500003N基金安信净值1.47611.4451-2.10%
500001N基金金泰净值1.19351.1679-2.15%
184699N基金同盛净值1.06911.0441-2.34%
184693N基金普丰净值1.34171.3083-2.49%
500038N基金通乾净值1.47191.435-2.51%
500002N基金泰和净值1.02020.9935-2.62%
184691N基金景宏净值1.481.4341-3.10%
184698N基金天元净值1.47821.4252-3.59%
184705N基金裕泽净值1.17531.1251-4.27%
184721N基金丰和净值0.8960.8563-4.43%
500008N基金兴华净值1.51971.4512-4.51%
184722N基金久嘉净值0.97510.9284-4.79%
184701N基金景福净值1.44541.3732-5.00%
500056N基金科瑞净值1.38741.2976-6.47%

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 楼主| 发表于 2009-8-15 10:43:06 | 显示全部楼层

0807-0814封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184703N基金金盛净值1.61121.5777-2.08%
500006N基金裕阳净值1.75821.7032-3.13%
500005N基金汉盛净值1.69181.6361-3.29%
500056N基金科瑞净值1.4761.4262-3.37%
184705N基金裕泽净值1.26671.2229-3.46%
500008N基金兴华净值1.61951.5623-3.53%
184722N基金久嘉净值1.05961.0208-3.66%
500002N基金泰和净值1.08811.0476-3.72%
500015N基金汉兴净值1.41591.3618-3.82%
184701N基金景福净值1.55811.4962-3.97%
184690N基金同益净值1.45451.3965-3.99%
184699N基金同盛净值1.13961.0933-4.06%
500001N基金金泰净值1.27421.222-4.10%
184698N基金天元净值1.59931.5326-4.17%
500038N基金通乾净值1.54511.48-4.21%
500009N基金安顺净值1.75021.6757-4.26%
184692N基金裕隆净值1.45341.3908-4.31%
500018N基金兴和净值1.41271.3515-4.33%
500011N基金金鑫净值1.18391.1316-4.42%
184688N基金开元净值1.071.0222-4.47%
500003N基金安信净值1.5611.4896-4.57%
184721N基金丰和净值0.96470.9203-4.60%
500058N基金银丰净值1.2551.181-4.62%
184693N基金普丰净值1.44271.3759-4.63%
184689N基金普惠净值1.71161.6304-4.74%
184691N基金景宏净值1.57611.5011-4.76%
184728N基金鸿阳净值0.85740.8143-5.03%

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 楼主| 发表于 2009-8-22 10:58:05 | 显示全部楼层

0814-0821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1.67571.6719-0.23%
500038N基金通乾净值1.481.4719-0.55%
184688N基金开元净值1.02221.0159-0.62%
500003N基金安信净值1.48961.4761-0.91%
184703N基金金盛净值1.57771.5609-1.06%
184691N基金景宏净值1.50111.48-1.41%
184689N基金普惠净值1.63041.6042-1.61%
500015N基金汉兴净值1.36181.3392-1.66%
500058N基金银丰净值1.1811.161-1.69%
500006N基金裕阳净值1.70321.6694-1.98%
500005N基金汉盛净值1.63611.6035-1.99%
184692N基金裕隆净值1.39081.3601-2.21%
184699N基金同盛净值1.09331.0691-2.21%
500001N基金金泰净值1.2221.1935-2.33%
500011N基金金鑫净值1.13161.1043-2.41%
184693N基金普丰净值1.37591.3417-2.49%
184690N基金同益净值1.39651.3614-2.51%
500002N基金泰和净值1.04761.0202-2.62%
184721N基金丰和净值0.92030.896-2.64%
500056N基金科瑞净值1.42621.3874-2.72%
500008N基金兴华净值1.56231.5197-2.73%
500018N基金兴和净值1.35151.3135-2.81%
184701N基金景福净值1.49621.4454-3.40%
184698N基金天元净值1.53261.4782-3.55%
184705N基金裕泽净值1.22291.1753-3.89%
184722N基金久嘉净值1.02080.9751-4.48%
184728N基金鸿阳净值0.81430-292.99%

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 楼主| 发表于 2013-12-22 19:27:38 | 显示全部楼层

0828-0904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1.4351.47432.74%
184691N基金景宏净值1.43411.45881.72%
500003N基金安信净值1.44511.46621.46%
500009N基金安顺净值1.64351.66591.36%
500008N基金兴华净值1.45121.46961.27%
500002N基金泰和净值0.99351.00571.23%
184722N基金久嘉净值0.92840.9381.03%
184690N基金同益净值1.33631.34961.00%
184705N基金裕泽净值1.12511.13570.94%
500056N基金科瑞净值1.29761.30910.89%
184701N基金景福净值1.37321.38470.84%
500005N基金汉盛净值1.59951.61160.76%
500006N基金裕阳净值1.64061.6530.76%
500011N基金金鑫净值1.08391.09070.63%
184728N基金鸿阳净值0.77020.77480.60%
184721N基金丰和净值0.85630.86130.58%
184699N基金同盛净值1.04411.05010.57%
184693N基金普丰净值1.30831.3150.51%
500015N基金汉兴净值1.36151.36670.38%
184698N基金天元净值1.42521.43060.38%
500001N基金金泰净值1.16791.17220.37%
184692N基金裕隆净值1.34121.34460.25%
500058N基金银丰净值1.1541.1560.17%
184689N基金普惠净值1.58521.5847-0.03%
184703N基金金盛净值1.55611.5476-0.55%
184688N基金开元净值1.02221.0163-0.58%
500018N基金兴和净值1.31351.2677-3.49%

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 楼主| 发表于 2009-9-13 13:03:35 | 显示全部楼层

0904-0911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1.36671.45066.14%
184722N基金久嘉净值0.9380.98985.52%
500056N基金科瑞净值1.30911.37685.17%
184705N基金裕泽净值1.13571.19435.16%
184691N基金景宏净值1.45881.5325.02%
500005N基金汉盛净值1.61161.68964.84%
500008N基金兴华净值1.46961.53994.78%
184721N基金丰和净值0.86130.90224.75%
500018N基金兴和净值1.26771.32424.46%
184699N基金同盛净值1.05011.09494.27%
500002N基金泰和净值1.00571.04854.26%
500001N基金金泰净值1.17221.21833.93%
184701N基金景福净值1.38471.43833.87%
500058N基金银丰净值1.1561.23.81%
184690N基金同益净值1.34961.39983.72%
500009N基金安顺净值1.66591.7243.49%
184693N基金普丰净值1.3151.36043.45%
500003N基金安信净值1.46621.51593.39%
184698N基金天元净值1.43061.36763.29%
500011N基金金鑫净值1.09071.12543.18%
500006N基金裕阳净值1.6531.70423.10%
184689N基金普惠净值1.58471.63333.07%
184728N基金鸿阳净值0.77480.79813.01%
184692N基金裕隆净值1.34461.37842.51%
500038N基金通乾净值1.47431.50562.12%
184688N基金开元净值1.01631.03692.03%
184703N基金金盛净值1.54761.57711.91%

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 楼主| 发表于 2009-9-19 13:15:53 | 显示全部楼层

0911-0918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1.50561.50890.22%
184689N基金普惠净值1.63331.63530.12%
500058N基金银丰净值1.21.2010.08%
184688N基金开元净值1.03691.03720.03%
184699N基金同盛净值1.09491.0944-0.05%
500015N基金汉兴净值1.45061.4482-0.17%
500003N基金安信净值1.51591.5131-0.18%
500005N基金汉盛净值1.68961.686-0.21%
184703N基金金盛净值1.57711.5736-0.22%
500006N基金裕阳净值1.70421.7-0.25%
184728N基金鸿阳净值0.79810.7948-0.41%
184690N基金同益净值1.39981.3929-0.49%
500011N基金金鑫净值1.12541.1194-0.53%
184692N基金裕隆净值1.37841.3699-0.62%
184701N基金景福净值1.43831.4294-0.62%
500009N基金安顺净值1.7241.7126-0.66%
184721N基金丰和净值0.90220.8957-0.72%
184693N基金普丰净值1.36041.3493-0.82%
500002N基金泰和净值1.04851.0386-0.94%
500018N基金兴和净值1.32421.3096-1.10%
184698N基金天元净值1.36761.3525-1.10%
500001N基金金泰净值1.21831.2047-1.12%
184705N基金裕泽净值1.19431.1786-1.31%
500056N基金科瑞净值1.37681.3574-1.41%
500008N基金兴华净值1.53991.5141-1.68%
184691N基金景宏净值1.5321.5061-1.69%
184722N基金久嘉净值0.98980.9705-1.95%

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 楼主| 发表于 2009-9-26 10:29:25 | 显示全部楼层

0918-0925封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184692N基金裕隆净值1.36991.3624-0.55%
184703N基金金盛净值1.57361.0804-0.84%
500038N基金通乾净值1.50891.4926-1.08%
500001N基金金泰净值1.20471.1886-1.34%
184689N基金普惠净值1.63531.6108-1.50%
184688N基金开元净值1.03721.0198-1.68%
500009N基金安顺净值1.71261.6812-1.83%
184691N基金景宏净值1.50611.4783-1.85%
500002N基金泰和净值1.03861.019-1.89%
500011N基金金鑫净值1.11941.0973-1.97%
184690N基金同益净值1.39291.3649-2.01%
500015N基金汉兴净值1.44821.4188-2.03%
184728N基金鸿阳净值0.79480.7784-2.06%
500005N基金汉盛净值1.6861.6506-2.10%
184699N基金同盛净值1.09441.0712-2.12%
500006N基金裕阳净值1.71.6639-2.12%
500058N基金银丰净值1.2011.172-2.41%
184701N基金景福净值1.42941.3915-2.65%
184693N基金普丰净值1.34931.3131-2.68%
500003N基金安信净值1.51311.4712-2.77%
184698N基金天元净值1.35251.313-2.92%
184705N基金裕泽净值1.17861.1438-2.95%
184721N基金丰和净值0.89570.8685-3.04%
500018N基金兴和净值1.30961.2678-3.19%
500008N基金兴华净值1.51411.4656-3.20%
500056N基金科瑞净值1.35741.3026-4.04%
184722N基金久嘉净值0.97050.9307-4.10%

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