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0.8222.513-0.36%1.83%
161606融通行业0.7902.730-0.38%1.41%
519008添富优势2.5914.771-0.14%1.29%
410001华富优选0.6331.899-1.09%1.04%
550001信诚四季0.8452.0570.01%1.02%
400003东方精鸯合1.0083.326-0.09%0.89%
257010国联安小盘0.8222.9520.00%0.86%
350002天治品质0.8543.379-1.03%0.83%
510081长盛精选1.0162.916-0.27%0.78%
240008华宝收益3.9603.9600.01%0.76%
162207泰达效率0.9242.221-0.16%0.72%
163801中银中国1.4303.640-0.31%0.56%
400001东方龙0.6812.442-0.04%0.53%
002011华夏红利1.5344.0070.00%0.52%
320001诺安平衡0.6442.904-0.28%0.52%
290002泰信先行0.6132.405-0.21%0.51%
050201博价值贰0.5952.050-0.17%0.51%
255010国联安稳健1.0282.468-0.39%0.49%
163804中银收益1.1712.3710.14%0.45%
050001博时增长0.6683.170-0.15%0.45%
090004大成精选0.8702.873-0.24%0.40%
163302大摩资源1.8853.328-0.32%0.35%
217005招商先锋0.6052.555-0.15%0.35%
112002易策二号1.4993.054-0.27%-0.13%
020005国泰金马0.7273.0300.00%-0.14%
151001银河稳健1.0803.324-0.70%-0.23%
121002国投景气0.9362.905-0.34%-0.27%
270006广发优选1.3002.560-0.67%-0.44%
200001长城久恒1.3682.5580.15%-0.51%
020009国泰金鹏0.8641.860-0.46%-0.58%
100016富国天源1.0492.512-0.50%-0.76%
398011中海分红0.7962.196-0.36%-0.81%
580001东吴嘉禾0.7032.423-0.20%-0.82%
100022富国天瑞0.8223.381-0.34%-0.83%
090003大成蓝筹0.6253.195-0.11%-0.87%
070010嘉实主题1.0722.585-0.09%-0.92%
150103银河银泰1.1253.665-0.77%-0.96%
161005富国天惠1.4413.204-0.56%-1.62%
@平均值--1.0892.879-0.29%0.19%
@代码基金名称单位净值累计净值日增长周增长