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 2009-10-10 20:52:26 | 显示全部楼层

0930-1009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1.27771.34094.95%
184722N基金久嘉净值0.91740.96264.93%
500018N基金兴和净值1.25031.30013.98%
500008N基金兴华净值1.44451.50193.97%
500009N基金安顺净值1.66381.72963.95%
184699N基金同盛净值1.06141.10333.95%
500002N基金泰和净值1.00311.04193.87%
184721N基金丰和净值0.85720.88973.79%
184701N基金景福净值1.38121.43263.72%
184693N基金普丰净值1.29711.34393.61%
184691N基金景宏净值1.46431.51713.61%
500003N基金安信净值1.45681.50923.60%
184705N基金裕泽净值1.13581.17593.53%
500006N基金裕阳净值1.63671.69333.46%
500058N基金银丰净值1.1661.2053.34%
184698N基金天元净值1.29841.34173.33%
184690N基金同益净值1.35421.39863.28%
184728N基金鸿阳净值0.76660.79063.13%
500011N基金金鑫净值1.08941.12323.10%
500005N基金汉盛净值1.65031.69822.90%
500001N基金金泰净值1.17661.212.84%
500015N基金汉兴净值1.41091.44992.76%
500038N基金通乾净值1.46691.50622.68%
184689N基金普惠净值1.59831.64052.64%
184688N基金开元净值1.00691.02782.08%
184692N基金裕隆净值1.35171.37922.03%
184703N基金金盛净值1.07831.09111.19%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-10-8 15:08:36 | 显示全部楼层

0925-0930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1.65061.6503-0.02%
184703N基金金盛净值1.08041.0783-0.19%
500058N基金银丰净值1.1721.166-0.51%
500015N基金汉兴净值1.41881.4109-0.56%
184705N基金裕泽净值1.14381.1358-0.70%
500011N基金金鑫净值1.09731.0894-0.72%
184701N基金景福净值1.39151.3812-0.74%
184689N基金普惠净值1.61081.5983-0.78%
184690N基金同益净值1.36491.3542-0.78%
184692N基金裕隆净值1.36241.3517-0.79%
184699N基金同盛净值1.07121.0614-0.91%
184691N基金景宏净值1.47831.4643-0.95%
500003N基金安信净值1.47121.4568-0.98%
500001N基金金泰净值1.18861.1766-1.01%
500009N基金安顺净值1.68121.6638-1.04%
184698N基金天元净值1.3131.2984-1.11%
184693N基金普丰净值1.31311.2971-1.22%
184688N基金开元净值1.01981.0069-1.27%
184721N基金丰和净值0.86850.8572-1.30%
500018N基金兴和净值1.26781.2503-1.38%
184722N基金久嘉净值0.93070.9174-1.43%
500008N基金兴华净值1.46561.4445-1.44%
184728N基金鸿阳净值0.77840.7666-1.52%
500002N基金泰和净值1.0191.0031-1.56%
500006N基金裕阳净值1.66391.6367-1.63%
500038N基金通乾净值1.49261.4669-1.72%
500056N基金科瑞净值1.30261.2777-1.91%

回复 支持 反对

使用道具 举报

发表于 2009-10-24 19:01:35 | 显示全部楼层
今年以来一直未能在合适价位配置部分优质封基而耿耿于怀啊!
回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-10-31 10:24:50 | 显示全部楼层

1023-1030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01.47510%
184703N基金金盛净值1.12300%
500002N基金泰和净值1.10021.0951-0.46%
500038N基金通乾净值1.55111.543-0.52%
500005N基金汉盛净值1.73991.7303-0.55%
500009N基金安顺净值1.81121.8005-0.59%
500001N基金金泰净值1.26971.2613-0.66%
184689N基金普惠净值1.74221.7286-0.78%
184688N基金开元净值1.05161.04-1.10%
500003N基金安信净值1.57671.5586-1.15%
500011N基金金鑫净值1.17841.1648-1.15%
184705N基金裕泽净值1.22321.2081-1.23%
500058N基金银丰净值1.2531.236-1.36%
184690N基金同益净值1.47641.4555-1.42%
184691N基金景宏净值1.59971.5728-1.68%
184699N基金同盛净值1.16311.143-1.73%
184721N基金丰和净值0.93990.9223-1.87%
184693N基金普丰净值1.42561.3984-1.91%
184728N基金鸿阳净值0.83010.8136-1.99%
500006N基金裕阳净值1.76431.7292-1.99%
184692N基金裕隆净值1.42961.3953-2.40%
500018N基金兴和净值1.38431.3437-2.93%
184698N基金天元净值1.42181.3791-3.00%
184701N基金景福净值1.52421.4765-3.13%
500008N基金兴华净值1.60481.5512-3.34%
500056N基金科瑞净值1.45731.4063-3.50%
184722N基金久嘉净值1.0440.9958-4.62%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-10-24 11:22:36 | 显示全部楼层

1016-1023封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184722N基金久嘉净值0.99311.0445.13%
500056N基金科瑞净值1.39611.45734.38%
184701N基金景福净值1.46221.52424.24%
184698N基金天元净值1.36461.42184.19%
500018N基金兴和净值1.32881.38434.18%
500008N基金兴华净值1.54121.60484.13%
500002N基金泰和净值1.05951.10023.84%
184693N基金普丰净值1.37411.42563.75%
184690N基金同益净值1.42381.47643.69%
184699N基金同盛净值1.12171.16313.69%
184689N基金普惠净值1.68041.74223.68%
500011N基金金鑫净值1.141.17843.37%
184728N基金鸿阳净值0.80320.83013.35%
184721N基金丰和净值0.910.93993.29%
500001N基金金泰净值1.23021.26973.21%
184691N基金景宏净值1.55061.59973.17%
184692N基金裕隆净值1.38721.42963.06%
500003N基金安信净值1.531.57673.05%
500005N基金汉盛净值1.69071.73992.91%
500009N基金安顺净值1.76151.81122.82%
500038N基金通乾净值1.50951.55112.76%
500058N基金银丰净值1.221.2532.70%
500006N基金裕阳净值1.72071.76432.53%
184705N基金裕泽净值1.19611.22322.27%
184688N基金开元净值1.03031.05162.07%
500015N基金汉兴净值1.438900%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-11-7 12:50:31 | 显示全部楼层

1030-1106封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
500008N基金兴华净值1.55121.64145.81%
184722N基金久嘉净值0.99581.05065.50%
184721N基金丰和净值0.92230.97125.30%
500018N基金兴和净值1.34371.41445.26%
500011N基金金鑫净值1.16481.22274.97%
500058N基金银丰净值1.2361.2974.94%
184699N基金同盛净值1.1431.19944.93%
500056N基金科瑞净值1.40631.47384.80%
184728N基金鸿阳净值0.81360.85154.66%
500001N基金金泰净值1.26131.31984.64%
500015N基金汉兴净值1.47511.54244.56%
500038N基金通乾净值1.5431.6134.54%
184698N基金天元净值1.37911.44154.52%
184690N基金同益净值1.45551.52134.52%
500003N基金安信净值1.55861.62734.41%
184692N基金裕隆净值1.39531.45484.26%
184701N基金景福净值1.47651.53734.12%
500002N基金泰和净值1.09511.13823.94%
500009N基金安顺净值1.80051.87033.88%
184693N基金普丰净值1.39841.44993.68%
184705N基金裕泽净值1.20811.25113.56%
500005N基金汉盛净值1.73031.79113.51%
500006N基金裕阳净值1.72921.78943.48%
184688N基金开元净值1.041.07613.47%
184691N基金景宏净值1.57281.6253.32%
184689N基金普惠净值1.72861.7843.20%
184703N基金金盛净值000%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-11-14 12:26:41 | 显示全部楼层

1106-1113封闭式基金周龙虎榜

代码名称上期净值本期净值增长率%
184689N基金普惠净值1.7841.82862.50%
184688N基金开元净值1.07611.10012.23%
500001N基金金泰净值1.31981.34812.14%
500002N基金泰和净值1.13821.16222.11%
500011N基金金鑫净值1.22271.24551.86%
500009N基金安顺净值1.87031.90381.79%
184690N基金同益净值1.52131.54811.76%
184692N基金裕隆净值1.45481.47991.73%
500008N基金兴华净值1.64141.66761.60%
500005N基金汉盛净值1.79111.81671.43%
500015N基金汉兴净值1.54241.56361.37%
184721N基金丰和净值0.97120.98441.36%
184693N基金普丰净值1.44991.46771.23%
500058N基金银丰净值1.2971.3121.16%
184705N基金裕泽净值1.25111.26541.14%
500038N基金通乾净值1.6131.63071.10%
500006N基金裕阳净值1.78941.80871.08%
184699N基金同盛净值1.19941.21211.06%
184701N基金景福净值1.53731.55331.04%
500018N基金兴和净值1.41441.42740.92%
500003N基金安信净值1.62731.64140.87%
184698N基金天元净值1.44151.45360.84%
184728N基金鸿阳净值0.85150.85720.67%
184691N基金景宏净值1.6251.63560.65%
184722N基金久嘉净值1.05061.05710.62%
500056N基金科瑞净值1.47381.47690.21%
184703N基金金盛净值000%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-11-28 11:41:03 | 显示全部楼层

1120-1127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1.11341.0907-2.04%
500038N基金通乾净值1.66621.6189-2.84%
184690N基金同益净值1.58921.5398-3.11%
500001N基金金泰净值1.35711.3104-3.44%
184705N基金裕泽净值1.28631.2408-3.54%
500005N基金汉盛净值1.84871.7832-3.54%
500015N基金汉兴净值1.58551.5278-3.64%
500003N基金安信净值1.68511.6179-3.99%
184699N基金同盛净值1.23861.1884-4.05%
184689N基金普惠净值1.85251.7743-4.22%
500002N基金泰和净值1.17641.1265-4.24%
500058N基金银丰净值1.3381.279-4.41%
500008N基金兴华净值1.7171.6406-4.45%
500009N基金安顺净值1.94061.8534-4.49%
500011N基金金鑫净值1.2711.2133-4.54%
184701N基金景福净值1.58431.51-4.69%
184693N基金普丰净值1.49931.4282-4.74%
184698N基金天元净值1.49311.4219-4.77%
184692N基金裕隆净值1.52611.4517-4.88%
500018N基金兴和净值1.46431.3926-4.90%
500006N基金裕阳净值1.84331.7527-4.92%
184728N基金鸿阳净值0.87260.8296-4.93%
184691N基金景宏净值1.6831.5988-5.00%
500056N基金科瑞净值1.51921.4404-5.19%
184721N基金丰和净值1.00820.9527-5.50%
184722N基金久嘉净值1.08931.0287-5.56%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-11-21 15:37:56 | 显示全部楼层

1113-1120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1.47991.52613.12%
184722N基金久嘉净值1.05711.08933.05%
500008N基金兴华净值1.66761.7172.96%
184691N基金景宏净值1.63561.6832.90%
500056N基金科瑞净值1.47691.51922.86%
184698N基金天元净值1.45361.49312.72%
500003N基金安信净值1.64141.68512.66%
184690N基金同益净值1.54811.58922.65%
500018N基金兴和净值1.42741.46432.59%
184721N基金丰和净值0.98441.00822.42%
184699N基金同盛净值1.21211.23862.19%
500038N基金通乾净值1.63071.66622.18%
184693N基金普丰净值1.46771.49932.15%
500011N基金金鑫净值1.24551.2712.05%
184701N基金景福净值1.55331.58432.00%
500058N基金银丰净值1.3121.3381.98%
500009N基金安顺净值1.90381.94061.93%
500006N基金裕阳净值1.80871.84331.91%
184728N基金鸿阳净值0.85720.87261.80%
500005N基金汉盛净值1.81671.84871.76%
184705N基金裕泽净值1.26541.28631.65%
500015N基金汉兴净值1.56361.58551.40%
184689N基金普惠净值1.82861.85251.31%
500002N基金泰和净值1.16221.17641.22%
184688N基金开元净值1.10011.11341.21%
500001N基金金泰净值1.34811.35710.67%

回复 支持 反对

使用道具 举报

 楼主| 发表于 2009-12-5 15:38:01 | 显示全部楼层

1127-1204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1.59881.70346.54%
184722N基金久嘉净值1.02871.09486.43%
184692N基金裕隆净值1.45171.53916.02%
500008N基金兴华净值1.64061.73675.86%
184693N基金普丰净值1.42821.51045.76%
500056N基金科瑞净值1.44041.52225.68%
500018N基金兴和净值1.39261.47135.65%
500006N基金裕阳净值1.75271.85025.56%
184701N基金景福净值1.511.59375.54%
184698N基金天元净值1.42191.50035.51%
184721N基金丰和净值0.95271.00425.41%
184728N基金鸿阳净值0.82960.8745.35%
500011N基金金鑫净值1.21331.27735.27%
184699N基金同盛净值1.18841.24945.13%
500009N基金安顺净值1.85341.94675.03%
500002N基金泰和净值1.12651.1835.02%
184689N基金普惠净值1.77431.86274.98%
500003N基金安信净值1.61791.69374.69%
500058N基金银丰净值1.2791.3374.53%
500038N基金通乾净值1.61891.69094.45%
500005N基金汉盛净值1.78321.8624.42%
184688N基金开元净值1.09071.13614.16%
184690N基金同益净值1.53981.60354.14%
500001N基金金泰净值1.31041.36163.91%
184705N基金裕泽净值1.24081.28773.78%
500015N基金汉兴净值1.52781.5853.74%

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, 2025-1-16 09:02 , Processed in 0.025341 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