银河封闭式基金每周排名与评级(截至2月22日)

  中国银河证券·封闭式基金净值增长率排行榜

  计算截至日 2008年02月22日

序号基金代码基金简称份额净值 (元)份额累计净值(元)过去一周过去一年(52周) 成立以来累计净值增长率
净值
增长率
排序净值
增长率
排序银河
星级评价
1184688开元3.18175.44071.39%270.09%14★★★★★839.20%
2500001金泰3.45114.4561-2.12%2458.64%25566.83%
3500008兴华3.5345.433-2.14%2679.34%7★★★★1,017.82%
4500003安信3.00295.38490.28%764.06%20★★931.95%
5500006裕阳3.39855.0355-2.48%3068.10%16★★★★751.62%
6184689普惠3.56834.6123-1.40%1765.09%18★★548.81%
7184690同益2.74644.7504-2.22%2867.94%17★★★681.82%
8500002泰和3.30245.0924-1.47%1890.28%1★★★★★730.90%
9184691景宏3.1014.391-1.19%1471.38%13★★★501.56%
10500005汉盛3.64154.7091-2.18%2780.39%6★★★★★542.92%
11184692裕隆3.40374.5627-2.77%3185.81%2★★★★★523.30%
12500009安顺2.78354.79150.55%359.78%24★★★653.42%
13184693普丰2.90743.6634-1.94%2253.90%29346.28%
14500018兴和2.93663.8756-1.13%1356.14%27★★412.71%
15184698天元3.09434.7493-0.98%1176.96%9★★★★562.68%
16500011金鑫2.90333.3753-1.93%2157.93%26310.56%
17184699同盛2.67923.6417-1.67%2069.25%15★★★356.62%
18184701景福2.66463.2886-3.01%3246.38%31273.32%
19500015汉兴2.52663.0182-1.20%1562.17%21★★245.37%
20184705裕泽3.1984.238-3.67%3374.40%10★★★465.27%
21184703金盛2.78654.5623-1.10%1277.16%8★★★★471.92%
22500025汉鼎2.85843.36290.54%455.50%28★★256.37%
23184712科汇4.73795.9954-0.52%883.88%4★★★★★723.21%
24184713科翔5.25926.1492-0.87%1085.42%3★★★★★680.63%
25500038通乾3.10313.7561-1.49%1972.86%11★★★★324.16%
26184706天华2.31772.8177-2.14%2546.89%30208.12%
27184728鸿阳2.33272.91420.31%636.74%32215.15%
28184700鸿飞3.42433.75431.64%172.78%12★★★★299.44%
29500056科瑞3.66164.4536-1.22%1660.25%23★★419.85%
30184721丰和2.97694.1549-0.68%961.04%22★★★385.20%
31184722久嘉3.69444.3344-2.42%2981.21%5★★★★391.70%
32500058银丰2.1213.6810.43%565.02%19★★★334.47%
33150001瑞福进取0.9941.219-2.07%23------17.98%
34150002大成优选1.0261.046-4.11%34------4.39%
平 均-1.32%--67.40%---- 
声明:本版文章内容纯属作者个人观点,仅供投资者参考,并不构成投资建议。投资者据此操作,风险自担。

我要发言: