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晨星封闭式基金业绩排行榜

基金                  基金名称    单位净值(元)    今年以来                  最近一周          最近一月          最近三月          最近六月          最近一年                  最近两年                    最近三年                    设立              最近两年风险评价                                    夏普比率            折价率 (%)

代码                                                                                                                                                                                                                                    以来                                                                                          

                                                    总回报率(%)    排名    总回报率(%)    总回报率(%)    总回报率(%)    总回报率(%)    总回报率(%)    排名    年化回报率(%)    排名    年化回报率(%)    排名    总回报率(%)    波动幅度(%)      评价    晨星风险系数    评价    最近两年    评价        

封闭式基金(33)                                                                                                                                                                                                                                                                                                                    

500008          基金兴华    1.2460      -21.83      14    -1.06        -2.48        -16.16      -13.43      16.09        10    58.31          15    60.86          11    821.50      29.84          偏低    0.95        偏低    1.60    中      -16.53

500018          基金兴和    1.2771      -22.85      16    -1.37        -4.27        -16.24      -14.68      1.45          25    51.29          23    51.71          21    323.50      28.35          低      0.96        偏低    1.50    偏低    -27.41

500003          基金安信    1.7735      -17.99      5      -2.02        -3.91        -15.22      -11.27      10.18        14    56.71          17    56.14          16    749.84      27.61          低      0.88        低      1.67    中      -23.09

500009          基金安顺    1.4789      -16.00      3      -0.38        -1.51        -13.52      -6.73        14.07        11    59.17          14    61.48          7      537.56      27.11          低      0.81        低      1.75    高      -24.61

184688          基金开元    1.1894      -20.80      10    -1.03        -6.95        -19.02      -10.59      2.60          23    60.58          11    61.64          6      651.42      35.83          高      1.13        高      1.42    偏低    -16.93

184698          基金天元    1.4859      -22.51      15    -1.30        -6.06        -17.24      -15.18      9.21          15    64.21          9      60.34          12    436.62      31.83          高      0.93        偏低    1.63    中      -24.29

184692          基金裕隆    1.2442      -20.65      9      -0.92        -4.74        -14.64      -16.87      20.15        4      73.41          2      63.85          4      428.78      30.93          中      0.94        偏低    1.86    高      -23.48

184705          基金裕泽    1.1167      -28.09      29    -1.92        -10.22      -20.16      -22.55      6.64          16    57.65          16    50.82          24    316.05      31.14          中      1.10        高      1.53    中      -19.85

500006          基金裕阳    1.7842      -23.09      18    -0.40        -3.62        -14.12      -15.57      10.20        13    67.66          5      59.41          13    624.93      28.01          低      0.85        低      1.90    高      -20.58

184721          基金丰和    0.8778      -18.75      7      -2.40        -4.09        -16.41      -10.33      3.93          21    65.33          7      59.35          14    296.13      29.46          偏低    0.93        偏低    1.77    高      -21.96

500002          基金泰和    1.0476      -20.97      13    -1.08        -4.21        -15.77      -12.41      26.43        3      78.28          1      71.02          3      586.74      31.37          高      0.86        低      1.93    高      -19.43

150001          瑞福进取    0.6870      -40.82      33    -4.18        -9.01        -29.90      -29.04      --              --    --                --    --                --    -18.75      --                --    --            --    --        --    36.24

184703          基金金盛    1.4422      -23.50      19    -1.81        -5.01        -19.37      -14.45      14.02        12    59.94          12    61.11          9      340.87      32.90          高      1.07        中      1.51    偏低    -15.06

500001          基金金泰    1.1755      -25.90      23    -1.84        -4.83        -18.25      -19.39      5.25          17    50.91          24    52.09          20    443.65      31.11          中      1.12        高      1.38    低      -25.65

500011          基金金鑫    1.0227      -25.49      22    -1.98        -7.23        -18.73      -19.06      2.33          24    37.05          30    43.88          30    232.08      28.17          低      1.05        中      1.15    低      -26.37

150002          大成优选    0.7950      -31.99      32    -1.49        -9.76        -20.94      -25.79      --              --    --                --    --                --    -17.85      --                --    --            --    --        --    -12.70

184691          基金景宏    1.7817      -26.44      26    -3.99        -4.07        -15.58      -19.46      4.14          19    65.01          8      61.81          5      398.45      36.32          高      1.02        中      1.48    偏低    -25.35

184701          基金景福    1.4210      -30.32      31    -1.72        -7.66        -19.10      -24.41      -6.48        30    48.06          27    47.55          28    199.79      32.41          高      1.12        高      1.28    低      -28.50

184728          基金鸿阳    0.8843      -28.54      30    -0.64        -5.94        -21.32      -19.41      -9.79        31    31.76          31    39.47          31    144.23      30.61          偏低    1.31        高      0.95    低      -22.76

500005          基金汉盛    2.1161      -17.27      4      -1.24        -6.47        -12.95      -7.48        31.15        1      66.94          6      61.08          10    452.83      26.08          低      0.72        低      2.00    高      -24.15

500015          基金汉兴    1.6661      -20.88      12    -0.88        -5.77        -14.44      -10.66      17.03        8      46.44          29    47.32          29    211.36      25.99          低      0.88        低      1.49    偏低    -28.64

500025          基金汉鼎    1.6651      -11.69      1      -0.64        -4.82        -14.84      2.74          16.68        9      51.85          21    52.89          19    186.30      26.48          低      0.80        低      1.60    中      -6.31

184712          基金科汇    1.6569      -18.23      6      -1.10        -8.30        -14.63      -5.08        18.69        5      70.13          4      74.83          1      656.79      31.29          高      0.90        偏低    1.77    高      -6.75

184713          基金科翔    2.2426      -14.57      2      -1.33        -2.09        -11.48      -0.45        26.55        2      71.43          3      72.74          2      568.44      30.59          偏低    0.89        低      1.84    高      -7.03

500056          基金科瑞    1.3166      -24.21      20    -0.73        -4.34        -18.56      -16.96      0.44          28    50.44          25    51.54          22    312.05      31.16          中      1.14        高      1.37    低      -27.31

500038          基金通乾    1.6151      -19.60      8      -1.23        -5.92        -15.94      -11.24      17.35        7      61.97          10    55.90          17    257.38      31.21          中      1.09        中      1.62    中      -25.52

184706          基金天华    1.0466      -23.04      17    -1.09        -2.06        -13.61      -17.21      4.64          18    46.46          28    50.00          27    170.41      29.76          偏低    1.09        中      1.33    低      -14.48

500058          基金银丰    1.0670      -25.17      21    -1.48        -7.06        -19.90      -16.23      0.48          27    51.79          22    51.04          23    239.49      30.79          中      1.06        中      1.42    低      -24.46

184722          基金久嘉    0.9683      -20.83      11    -1.84        -3.51        -11.68      -16.02      17.70        6      59.57          13    61.32          8      322.88      31.59          高      1.08        中      1.55    中      -18.31

184690          基金同益    1.3721      -25.99      24    -0.75        -6.07        -18.36      -16.58      1.38          26    56.20          18    56.54          15    527.53      30.65          偏低    0.96        偏低    1.52    中      -26.75

184699          基金同盛    1.1001      -27.69      28    -1.59        -6.15        -18.19      -19.18      4.05          20    53.42          20    50.27          26    264.16      31.11          中      1.15        高      1.44    偏低    -26.64

184689          基金普惠    1.7963      -27.63      27    -0.78        -5.53        -20.72      -20.51      3.72          22    55.84          19    54.24          18    408.14      31.23          中      1.15        高      1.49    偏低    -27.41

184693          基金普丰    1.3655      -26.19      25    -1.44        -6.38        -19.47      -18.85      -3.44        29    48.67          26    50.65          25    256.62      29.64          偏低    1.07        中      1.39    低      -28.08

  晨星封闭式基金业绩排行榜

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