偏股型基金净值最近一周增长龙虎榜(20130826)

2013-08-27 08:44:54 易天富

    更新时间:2013-08-26

    
@代码基金名称单位净值累计净值日增长周增长
240008华宝收益4.0544.0541.47%4.44%
350002天治品质0.8733.3981.95%4.14%
162207泰达效率0.9432.2682.61%4.13%
290002泰信先行0.6252.4331.44%4.11%
161606融通行业0.8032.7431.99%4.02%
163801中银中国1.4563.6661.21%3.53%
163302大摩资源1.9373.3802.01%3.18%
255010国联安稳健1.0432.4831.34%3.17%
163804中银收益1.1872.3870.83%2.92%
410001华富优选0.6381.9091.41%2.62%
090004大成精选0.8882.8901.99%2.41%
510081长盛精选1.0212.9211.29%2.27%
151001银河稳健1.1003.3521.21%2.13%
398011中海分红0.8142.2141.09%2.10%
270006广发优选1.3262.5861.65%1.91%
200001长城久恒1.3912.5811.37%1.90%
217005招商先锋0.6132.5631.62%1.90%
257010国联安小盘0.8292.9591.81%1.84%
150103银河银泰1.1553.6950.89%1.66%
121002国投景气0.9492.9181.20%1.65%
519087新华分红0.8232.5142.41%1.38%
400003东方精鸯合1.0153.3451.66%1.17%
320001诺安平衡0.6462.9061.27%1.11%
020009国泰金鹏0.8761.8721.71%1.04%
112002易策二号1.5173.0721.05%0.66%
400001东方龙0.6862.4471.53%0.66%
100016富国天源1.0672.5301.07%0.58%
519008添富优势0.0000.000-10000.00%0.37%
050001博时增长0.6763.1781.78%0.30%
161005富国天惠1.4763.2391.45%0.28%
070010嘉实主题0.0000.000-10000.00%0.28%
002011华夏红利0.0000.000-10000.00%0.20%
050201博价值贰0.6022.0571.83%0.17%
090003大成蓝筹0.6333.2031.26%0.05%
020005国泰金马0.7343.0581.36%0.00%
100022富国天瑞0.8353.4131.28%-0.07%
580001东吴嘉禾0.7172.4371.26%-0.35%
550001信诚四季0.0000.000-10000.00%-0.52%
@平均值--0.9462.544-1051.28%1.67%
@代码基金名称单位净值累计净值日增长周增长