封闭式基金周净值表现排行榜(2018.06.01)

作者: 港澳资讯 来源:港澳资讯 发表日期:2018-06-04 00:00:00 点击数:0

基金代码         基金名称 管理公司   规模 单位    周净值  前周净值
(亿份)           净值     增长率     增长率
150290           煤炭B级  中融基金   5    1.01    257.04% -22.61%
150270           白酒B    招商基金   0    1.48    9.55%   -2.80%
150199           食品B    国泰基金   0    1.78    8.06%   -2.75%
150124           建信50B  建信基金管 0    0.83    1.77%   -5.57%
150050           消费进取 南方基金管 0    0.83    0.85%   -3.85%
150176           H股B     银华基金管 14   1.00    0.54%   -4.07%
184801           鹏华前海 鹏华基金   0    105.35  0.19%   0.02%
150190           NCF环保A 新华基金管 0    1.02    0.19%   0.09%
150047           消费A    银华基金管 0    1.02    0.19%   0.09%
150106           中小A    易方达基金 0    1.05    0.13%   0.12%
519058           双福B    海富通基金 0    0.80    0.12%   0.00%
150123           建信50A  建信基金管 0    1.03    0.11%   0.10%
150130           医药A    国泰基金   12   1.02    0.10%   0.09%
150325           高铁A端  工银瑞信基 0    1.02    0.10%   0.09%
150247           传媒A级  工银瑞信基 0    1.02    0.10%   0.09%
150323           环保A端  工银瑞信基 0    1.02    0.10%   0.09%
150331           网金融A  建信基金管 0    1.02    0.10%   0.11%
150196           有色A    国泰基金   2    1.02    0.10%   0.09%
150327           新能A级  工银瑞信基 0    1.02    0.10%   0.09%
150117           房地产A  国泰基金   4    1.02    0.10%   0.09%
150198           食品A    国泰基金   0    1.02    0.10%   0.09%
150261           医疗A    华宝基金   0    1.03    0.09%   0.10%
150263           1000A    华宝基金   0    1.02    0.09%   0.10%
150073           诺安稳健 诺安基金   0    1.02    0.09%   0.09%
150094           泰信400A 泰信基金   0    1.02    0.09%   0.09%
150100           资源A    鹏华基金   0    1.02    0.09%   0.09%
150203           传媒A    鹏华基金   0    1.02    0.09%   0.09%
150227           银行A    鹏华基金   15   1.03    0.09%   0.00%
150235           券商A级  鹏华基金   1    1.03    0.09%   0.00%
150245           互联A    鹏华基金   0    1.03    0.09%   0.00%
150273           带路A    鹏华基金   0    1.03    0.09%   0.09%
150237           环保A级  鹏华基金   0    1.03    0.09%   0.00%
502041           上50A    长盛基金   0    1.03    0.09%   0.09%
502054           券商A    长盛基金   0    1.03    0.09%   0.09%
150343           证券A基  融通基金   0    1.03    0.09%   0.09%
150281           金融地A  长盛基金   0    1.03    0.09%   0.09%
150064           同瑞A    长盛基金   0    1.02    0.09%   0.09%
150159           中欧添B  中欧基金   15   1.02    0.09%   0.00%
150329           保险A    方正富邦基 0    1.02    0.09%   0.09%
150057           中小300A 长城基金   0    1.02    0.09%   0.09%
150221           中航军A  前海开源基 4    1.02    0.09%   0.09%
150309           信息安A  中信保诚基 0    1.02    0.09%   0.09%
150311           智能A    中信保诚基 0    1.02    0.09%   0.09%
150135           国富100A 国海富兰克 0    1.02    0.09%   0.09%
502014           一带一路A 长盛基金   0    1.03    0.09%   0.09%
502021           国金50A  国金基金   0    1.02    0.09%   0.09%
150213           成长A级  国投瑞银基 0    1.02    0.09%   0.09%
150297           互联A级  南方基金管 0    1.03    0.09%   0.10%
150307           体育A    富国基金   0    1.02    0.09%   0.09%
150315           工业4A   富国基金   0    1.02    0.09%   0.09%
150167           银华300A 银华基金管 0    1.03    0.09%   0.09%
150049           消费收益 南方基金管 0    1.01    0.09%   0.09%
150293           高铁A级  南方基金管 0    1.03    0.09%   0.10%
150036           建信稳健 建信基金管 0    1.02    0.09%   0.09%
502031           中海高铁A 中海基金   0    1.04    0.09%   0.09%
150207           地产A端  招商基金   0    1.02    0.09%   0.09%
150249           银行A端  招商基金   0    1.02    0.09%   0.09%
150251           煤炭A    招商基金   0    1.02    0.09%   0.09%
150269           白酒A    招商基金   0    1.02    0.09%   0.09%
150271           生物药A  招商基金   0    1.02    0.09%   0.09%
150335           军工股A  融通基金   0    1.03    0.09%   0.09%
150076           浙商稳健 浙商基金   0    1.02    0.09%   0.09%
150121           银河优先 银河基金   0    1.02    0.09%   0.09%
502037           网金A    大成基金   0    1.03    0.09%   0.10%
150138           中证800A 银华基金管 0    1.03    0.09%   0.09%
150317           E金融A   交银施罗德 0    1.02    0.09%   0.09%
150217           新能源A  交银施罗德 0    1.02    0.09%   0.00%
150164           可转债A  东吴基金   0    1.02    0.09%   0.09%
150143           转债A级  银华基金管 0    1.02    0.09%   0.09%
150175           H股A     银华基金管 14   1.02    0.09%   0.09%
502024           鹏华钢铁A 鹏华基金   0    1.03    0.09%   0.09%
150051           沪深300A 中信保诚基 0    1.02    0.09%   0.09%
150148           医药800A 中信保诚基 0    1.02    0.09%   0.09%
150177           证保A    鹏华基金   0    1.02    0.09%   0.09%
150157           金融A    中信保诚基 4    1.02    0.09%   0.09%
150243           创业A    鹏华基金   2    1.02    0.09%   0.09%
150279           新能A    鹏华基金   0    1.03    0.09%   0.09%
150219           健康A    前海开源基 1    1.03    0.09%   0.09%
150150           有色800A 中信保诚基 0    1.02    0.09%   0.09%
150173           TMT中证A 中信保诚基 0    1.02    0.09%   0.09%
150192           地产A    鹏华基金   0    1.02    0.09%   0.09%
150205           国防A    鹏华基金   6    1.02    0.09%   0.09%
000624           华富恒财分 华富基金 1     1.00    0.09%   -7.48%
150305           养老A    国寿安保基 0    1.02    0.09%   0.09%
150145           高贝塔A  招商基金   0    1.02    0.09%   0.09%
150188           转债优先 招商基金   0    1.02    0.09%   0.09%
502057           广发医疗A 广发基金   0    1.03    0.09%   0.10%
519743           交银丰润A 交银施罗德 49   1.02    0.09%   -1.64%
150152           创业板A  富国基金   37   1.02    0.09%   0.09%
150223           证券A级  富国基金   19   1.03    0.09%   0.09%
150321           煤炭A基  富国基金   0    1.03    0.09%   0.19%
150301           证券股A  华安基金   0    1.03    0.09%   0.10%
150303           创业股A  华安基金   2    1.03    0.09%   0.10%
150211           新能车A  富国基金   4    1.02    0.09%   0.09%
150030           中证90A  银华基金管 0    1.02    0.09%   0.09%
150169           恒生A    汇添富基金 1    1.02    0.09%   0.00%
150059           资源A级  银华基金管 0    1.02    0.09%   0.09%
150265           一带A    中融基金   0    1.03    0.09%   0.09%
150291           中融银行A 中融基金   0    1.03    0.09%   0.09%
150299           银行股A  华安基金   4    1.03    0.09%   0.10%
150287           钢铁A    中融基金   1    1.03    0.09%   0.09%
150104           HS300A   华安基金   0    1.02    0.08%   0.09%
150283           SW医药A  申万菱信基 0    1.04    0.08%   0.08%
150186           军工A级  申万菱信基 0    1.01    0.08%   0.08%
150225           证保A级  博时基金   0    1.02    0.08%   0.09%
150032           多利优先 嘉实基金   0    1.01    0.08%   0.09%
150267           银行A类  博时基金   0    1.02    0.08%   0.09%
502011           易基证券A 易方达基金 0    1.04    0.08%   0.08%
502049           上证50A  易方达基金 0    1.02    0.08%   0.08%
150295           改革A    南方基金管 0    1.02    0.08%   0.09%
150231           电子A    申万菱信基 0    1.00    0.08%   0.07%
502001           500等权A 西部利得基 0    1.02    0.08%   0.09%
150083           深证100A 广发基金   0    1.02    0.08%   0.09%
502004           易基军工A 易方达基金 0    1.04    0.08%   0.08%
502007          易方达国企 易方达基金 0    1.04 0.08%   0.07%
150090           成长A    万家基金   0    1.02    0.08%   0.09%
150053           泰达500A 泰达宏利基 0    1.02    0.08%   0.09%
150215           TMTA     国泰基金   0    1.02    0.08%   0.07%
150055           500A     工银瑞信基 0    1.02    0.08%   0.09%
000770           长城久盈B 长城基金   10   1.00    0.07%   0.15%
150171           证券A    申万菱信基 16   1.01    0.07%   0.08%
150170           恒生B    汇添富基金 1    1.42    0.07%   -1.66%
150181           富国军工A 富国基金   17   1.02    0.00%   0.09%
150241           银行A级  富国基金   0    1.02    0.00%   0.09%
150200           招商中证A 招商基金   11   1.01    0.00%   0.09%
004392           工银瑞利 工银瑞信基 2    1.03    0.00%   0.09%
150275           一带一A  安信基金管 2    1.02    0.00%   0.09%
150277           高铁A    鹏华基金   0    1.01    0.00%   0.09%
150179           信息A    鹏华基金   0    1.02    0.00%   0.09%
150092           诺德300A 诺德基金   0    1.02    0.00%   0.09%
150066           互利A    国泰基金   0    1.01    0.00%   0.09%
150194           互联网A  富国基金   2    1.02    0.00%   0.09%
150209           国企改A  富国基金   10   1.02    0.00%   0.09%
000815           鑫元合享B 鑫元基金   2    0.99    -0.03%  0.33%
000502          华富恒富债 华富基金   2    1.03    0.09%  0.04%
502022           国金50B  国金基金   0    0.86    -0.23%  -5.16%
165509           信诚增强 中信保诚基 0    1.10    -0.36%  -0.18%
150136           国富100B 国海富兰克 0    0.94    -0.74%  -5.32%
150067           互利B    国泰基金   0    1.18    -1.08%  -0.25%
502042           上50B    长盛基金   0    1.18    -1.17%  -4.08%
502050           上证50B  易方达基金 0    0.73    -1.34%  -6.05%
150084           深证100B 广发基金   0    1.25    -1.61%  -4.74%
150105           HS300B   华安基金   0    1.61    -1.83%  -3.27%
505888           嘉实元和 嘉实基金   100  1.12    -1.84%  0.02%
150037           建信进取 建信基金管 0    1.88    -1.87%  -2.98%
150122           银河进取 银河基金   0    1.38    -1.92%  -4.28%
150168           银华300B 银华基金管 0    0.84    -1.99%  -4.80%
150229           酒A      鹏华基金   0    1.00    -2.15%  0.09%
150330           保险B    方正富邦基 0    1.24    -2.29%  -5.31%
150289           煤炭A级  中融基金   5    1.00    -2.34%  0.09%
150077           浙商进取 浙商基金   0    1.52    -2.37%  -3.05%
502008          易方达国企 易方达基金 0    0.96 -2.74%  -4.04%
150052           沪深300B 中信保诚基 0    0.72    -2.84%  -4.78%
150296           改革B    南方基金管 0    0.84    -2.96%  -4.41%
150060           资源B级  银华基金管 0    1.14    -3.22%  -6.36%
150250           银行B端  招商基金   0    0.88    -3.39%  -5.08%
150268           银行B类  博时基金   0    0.87    -3.39%  -4.82%
150210           国企改B  富国基金   10   0.73    -3.45%  -4.68%
150256           银行业B  易方达基金 0    0.77    -3.65%  -5.20%
150233           传媒业A  申万菱信基 0    1.00    -3.67%  0.07%
150242           银行B级  富国基金   0    0.93    -3.74%  -4.84%
150158           金融B    中信保诚基 4    0.83    -3.81%  -5.36%
150228           银行B    鹏华基金   15   0.75    -3.96%  -5.33%
150189           转债进取 招商基金   0    0.59    -4.07%  -2.07%
150292           中融银行B 中融基金   0    0.65    -4.12%  -5.96%
150101           资源B    鹏华基金   0    1.26    -4.18%  -6.74%
150259           重组A    易方达基金 0    1.00    -4.21%  0.07%
150255           银行业A  易方达基金 0    1.00    -4.21%  0.07%
150257          易方达生物 易方达基金 0    1.00    -4.21%  0.07%
150184           环保A    申万菱信基 2    1.00    -4.23%  0.08%
502025           鹏华钢铁B 鹏华基金   0    0.77    -4.33%  -5.05%
150322           煤炭B基  富国基金   0    0.97    -4.41%  -10.69%
150065           同瑞B    长盛基金   0    0.93    -4.49%  -1.90%
150048           消费B    银华基金管 0    1.06    -4.50%  -0.89%
150031           中证90B  银华基金管 0    1.03    -4.53%  -5.01%
150300           银行股B  华安基金   4    0.60    -4.54%  -6.20%
150178           证保B    鹏华基金   0    1.13    -4.62%  -5.33%
150195           互联网B  富国基金   2    0.99    -4.63%  -1.80%
150252           煤炭B    招商基金   0    0.91    -4.71%  -10.59%
150226           证保B级  博时基金   0    1.02    -4.72%  -5.50%
150033           多利进取 嘉实基金   0    0.85    -4.79%  -2.04%
150093           诺德300B 诺德基金   0    0.87    -5.03%  -4.49%
150246           互联B    鹏华基金   0    0.95    -5.09%  -1.57%
150151           有色800B 中信保诚基 0    1.11    -5.20%  -5.70%
150216           TMTB     国泰基金   0    1.11    -5.22%  -3.59%
150058           中小300B 长城基金   0    1.01    -5.32%  -2.28%
150107           中小B    易方达基金 0    1.03    -5.33%  -3.51%
150056           500B     工银瑞信基 0    1.28    -5.35%  -1.45%
150054           泰达500B 泰达宏利基 0    0.90    -5.69%  -2.56%
150282           金融地B  长盛基金   0    0.48    -5.73%  -7.83%
150288           钢铁B    中融基金   1    0.52    -5.80%  -6.92%
150193           地产B    鹏华基金   0    1.01    -5.85%  -7.48%
150332           网金融B  建信基金管 0    1.03    -5.93%  -2.02%
150146           高贝塔B  招商基金   0    0.86    -6.00%  -5.46%
150266           一带B    中融基金   0    1.02    -6.07%  -3.12%
150180           信息B    鹏华基金   0    1.25    -6.29%  -3.26%
502058           广发医疗B 广发基金   0    1.25    -6.34%  3.87%
150220           健康B    前海开源基 1    0.94    -6.46%  1.10%
150197           有色B    国泰基金   2    0.94    -6.53%  -5.29%
150165           可转债B  东吴基金   0    0.90    -6.57%  -4.48%
502038           网金B    大成基金   0    0.74    -6.79%  -2.75%
150262           医疗B    华宝基金   0    1.05    -6.91%  4.07%
150201           招商中证B 招商基金   11   0.89    -6.94%  -5.84%
150318           E金融B   交银施罗德 0    0.71    -6.96%  -2.93%
150306           养老B    国寿安保基 0    0.56    -7.09%  2.88%
150139           中证800B 银华基金管 0    0.74    -7.14%  -2.80%
502012           易基证券B 易方达基金 0    0.83    -7.14%  -5.95%
150075           诺安进取 诺安基金   0    0.88    -7.27%  -4.62%
502002           500等权B 西部利得基 0    0.84    -7.31%  -1.83%
150232           电子B    申万菱信基 0    0.99    -7.39%  -3.99%
150091           成长B    万家基金   0    0.61    -7.60%  -6.76%
150214           成长B级  国投瑞银基 0    0.92    -8.20%  -5.57%
150172           证券B    申万菱信基 16   0.64    -8.29%  -6.70%
150298           互联B级  南方基金管 0    0.45    -8.32%  -3.45%
502015           一带一路B 长盛基金   0    0.49    -8.42%  -4.47%
150149           医药800B 中信保诚基 0    1.05    -8.42%  5.79%
150324           环保B端  工银瑞信基 0    0.95    -8.61%  -4.31%
150302           证券股B  华安基金   0    0.59    -8.64%  -7.22%
150344           证券B基  融通基金   0    0.60    -8.66%  -6.93%
150224           证券B级  富国基金   19   0.54    -8.67%  -7.40%
150144           转债B级  银华基金管 0    0.90    -8.70%  -6.17%
150264           1000B    华宝基金   0    0.90    -8.73%  -2.26%
150284           SW医药B  申万菱信基 0    1.08    -8.74%  5.52%
150238           环保B级  鹏华基金   0    0.89    -8.90%  -4.49%
150328           新能B级  工银瑞信基 0    0.99    -9.10%  -4.28%
150278           高铁B    鹏华基金   0    0.84    -9.27%  -4.23%
150208           地产B端  招商基金   0    0.39    -9.44%  -13.37%
150191           NCF环保B 新华基金管 0    0.79    -9.60%  -5.09%
502055           券商B    长盛基金   0    0.50    -9.67%  -7.89%
150212           新能车B  富国基金   4    0.49    -9.74%  -7.00%
150316           工业4B   富国基金   0    0.51    -9.80%  -5.87%
150131           医药B    国泰基金   12   0.88    -9.82%  6.75%
150272           生物药B  招商基金   0    1.34    -9.91%  4.88%
150236           券商B级  鹏华基金   1    0.45    -10.13% -8.04%
150118           房地产B  国泰基金   4    0.37    -10.58% -11.80%
150095           泰信400B 泰信基金   0    0.32    -10.83% -5.51%
150312           智能B    中信保诚基 0    0.50    -10.87% -2.94%
150308           体育B    富国基金   0    0.65    -11.02% 0.68%
150204           传媒B    鹏华基金   0    0.44    -11.04% -5.14%
150294           高铁B级  南方基金管 0    0.59    -11.04% -4.73%
150258          易方达生物 易方达基金 0    1.34    -11.17% 5.49%
150185           环保B    申万菱信基 2    0.55    -11.20% -5.88%
150274           带路B    鹏华基金   0    0.39    -11.21% -5.41%
150276           一带一B  安信基金管 2    0.34    -11.39% -5.15%
150248           传媒B级  工银瑞信基 0    0.44    -11.46% -5.56%
150234           传媒业B  申万菱信基 0    0.71    -11.71% -4.44%
150222           中航军B  前海开源基 4    1.06    -11.84% -1.86%
502032           中海高铁B 中海基金   0    0.50    -12.39% -4.81%
150326           高铁B端  工银瑞信基 0    0.48    -12.48% -5.19%
150187           军工B级  申万菱信基 0    1.07    -12.53% -1.79%
150280           新能B    鹏华基金   0    0.53    -12.76% -6.07%
150310           信息安B  中信保诚基 0    0.52    -12.98% -3.10%
150260           重组B    易方达基金 0    0.36    -13.07% -3.90%
150244           创业B    鹏华基金   2    0.49    -13.60% -4.55%
150153           创业板B  富国基金   37   0.45    -14.20% -4.52%
150304           创业股B  华安基金   2    0.44    -14.62% -8.50%
150174           TMT中证B 中信保诚基 0    0.36    -14.85% -3.85%
150218           新能源B  交银施罗德 0    0.35    -15.10% -7.94%
150336           军工股B  融通基金   0    0.72    -15.44% -2.41%
150206           国防B    鹏华基金   6    0.57    -17.58% -3.50%
502005           易基军工B 易方达基金 0    0.53    -18.14% -2.46%
150182           富国军工B 富国基金   17   0.45    -18.99% -2.61%
150230           酒B      鹏华基金   0    1.00    -44.81% -1.57%

分享到:
0