偏股型基金净值最近一周增长龙虎榜(20130829)
2013-08-29 22:46:19易天富
更新时间:2013-08-29
| @代码 | 基金名称 | 单位净值 | 累计净值 | 日增长 | 周增长 |
| 519087 | 新华分红 | 0.822 | 2.513 | -0.36% | 1.83% |
| 161606 | 融通行业 | 0.790 | 2.730 | -0.38% | 1.41% |
| 519008 | 添富优势 | 2.591 | 4.771 | -0.14% | 1.29% |
| 410001 | 华富优选 | 0.633 | 1.899 | -1.09% | 1.04% |
| 550001 | 信诚四季 | 0.845 | 2.057 | 0.01% | 1.02% |
| 400003 | 东方精鸯合 | 1.008 | 3.326 | -0.09% | 0.89% |
| 257010 | 国联安小盘 | 0.822 | 2.952 | 0.00% | 0.86% |
| 350002 | 天治品质 | 0.854 | 3.379 | -1.03% | 0.83% |
| 510081 | 长盛精选 | 1.016 | 2.916 | -0.27% | 0.78% |
| 240008 | 华宝收益 | 3.960 | 3.960 | 0.01% | 0.76% |
| 162207 | 泰达效率 | 0.924 | 2.221 | -0.16% | 0.72% |
| 163801 | 中银中国 | 1.430 | 3.640 | -0.31% | 0.56% |
| 400001 | 东方龙 | 0.681 | 2.442 | -0.04% | 0.53% |
| 002011 | 华夏红利 | 1.534 | 4.007 | 0.00% | 0.52% |
| 320001 | 诺安平衡 | 0.644 | 2.904 | -0.28% | 0.52% |
| 290002 | 泰信先行 | 0.613 | 2.405 | -0.21% | 0.51% |
| 050201 | 博价值贰 | 0.595 | 2.050 | -0.17% | 0.51% |
| 255010 | 国联安稳健 | 1.028 | 2.468 | -0.39% | 0.49% |
| 163804 | 中银收益 | 1.171 | 2.371 | 0.14% | 0.45% |
| 050001 | 博时增长 | 0.668 | 3.170 | -0.15% | 0.45% |
| 090004 | 大成精选 | 0.870 | 2.873 | -0.24% | 0.40% |
| 163302 | 大摩资源 | 1.885 | 3.328 | -0.32% | 0.35% |
| 217005 | 招商先锋 | 0.605 | 2.555 | -0.15% | 0.35% |
| 112002 | 易策二号 | 1.499 | 3.054 | -0.27% | -0.13% |
| 020005 | 国泰金马 | 0.727 | 3.030 | 0.00% | -0.14% |
| 151001 | 银河稳健 | 1.080 | 3.324 | -0.70% | -0.23% |
| 121002 | 国投景气 | 0.936 | 2.905 | -0.34% | -0.27% |
| 270006 | 广发优选 | 1.300 | 2.560 | -0.67% | -0.44% |
| 200001 | 长城久恒 | 1.368 | 2.558 | 0.15% | -0.51% |
| 020009 | 国泰金鹏 | 0.864 | 1.860 | -0.46% | -0.58% |
| 100016 | 富国天源 | 1.049 | 2.512 | -0.50% | -0.76% |
| 398011 | 中海分红 | 0.796 | 2.196 | -0.36% | -0.81% |
| 580001 | 东吴嘉禾 | 0.703 | 2.423 | -0.20% | -0.82% |
| 100022 | 富国天瑞 | 0.822 | 3.381 | -0.34% | -0.83% |
| 090003 | 大成蓝筹 | 0.625 | 3.195 | -0.11% | -0.87% |
| 070010 | 嘉实主题 | 1.072 | 2.585 | -0.09% | -0.92% |
| 150103 | 银河银泰 | 1.125 | 3.665 | -0.77% | -0.96% |
| 161005 | 富国天惠 | 1.441 | 3.204 | -0.56% | -1.62% |
| @平均值 | -- | 1.089 | 2.879 | -0.29% | 0.19% |
| @代码 | 基金名称 | 单位净值 | 累计净值 | 日增长 | 周增长 |