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(每个交易日 16:00~23:00更新当日的最新开放式基金净值)
对比基金代码 基金简称 基金类型 最新净值
(2009-11-06)
最近一周 最近一月 最新晨星评级
截至2009-11-06
晨星最近两年风险评价
截至2009-11-06
最新理柏综合评级
截至2009-09-30
最新银河评级
截至2009-09-18
单位净值 累计净值 增长率 排名 增长率 排名 两年 三年 波动
幅度
评价 风险
系数
评价 总回报 稳定
回报
保本
能力
费用 一年
000001 华夏成长 股票型 1.5460 3.2270 5.24% 148 13.68% 142 ★★★★★ ★★★★ 35.05 偏低 0.87 ★★★★★
000011 华夏大盘 混合型 9.2490 9.6290 6.36% 22 18.12% 5 ★★★★★ ★★★★★ 34.41 0.72 ★★★★★
000021 华夏优势 股票型 2.2630 2.3830 5.90% 52 15.17% 50 ★★★★ --- 34.52 0.90 ★★★★★
000031 华夏复兴 股票型 1.2190 1.2190 7.31% 1 15.76% 32 ★★★★★ --- 36.09 偏低 0.81 ---
000051 华夏300 股票型 0.9740 0.9740 5.41% 114 10.56% 264 --- --- 0.00 --- 0.00 --- ---
001001 华夏债券 债券型 1.1090 1.5190 0.64% 404 1.28% 394 ★★★★ ★★★ 5.66 0.88 ★★★★★
001003 华夏债券C 债券型 1.0940 1.5040 0.55% 414 1.20% 399 ★★★ ★★★ 5.56 0.90 ★★★★
001011 华夏希望A 债券型 1.1340 1.1940 0.98% 381 2.25% 372 --- --- 0.00 --- 0.00 --- ---
001013 华夏希望C 债券型 1.1290 1.1890 1.07% 372 2.26% 370 --- --- 0.00 --- 0.00 --- ---
002001 华夏回报 混合型 1.3580 3.3700 4.62% 243 10.68% 261 ★★★★★ ★★★★★ 22.97 0.69 ★★★★★
002011 华夏红利 混合型 3.3110 4.1440 6.16% 32 14.17% 106 ★★★★★ ★★★★★ 33.31 0.80 ★★★★★
002021 华夏回报贰 混合型 1.1040 2.3920 4.55% 255 10.51% 267 ★★★★★ ★★★★★ 24.86 0.78 ★★★★★
002031 华夏策略 混合型 1.7920 1.7920 4.92% 193 14.87% 61 --- --- 0.00 --- 0.00 --- ---
020001 国泰金鹰 股票型 1.0280 3.9010 5.33% 132 16.42% 21 ★★★★ ★★★★ 37.15 0.97 偏低 ★★★★
020002 国泰债券 债券型 1.0440 1.3730 1.56% 351 4.50% 335 ★★★★ ★★★ 4.54 偏低 0.74 偏低 ★★
020003 国泰精选 混合型 0.8840 3.6370 4.74% 228 13.04% 174 ★★★★ ★★★★ 34.06 0.95 偏低 ★★★
020005 国泰金马 混合型 0.8880 3.6720 5.97% 42 12.26% 210 ★★★ ★★★ 38.65 1.03
020009 国泰金鹏 混合型 1.1490 2.0340 5.51% 98 13.54% 150 ★★★ --- 37.32 1.02 ★★★★
020010 国泰金牛 股票型 1.0990 1.1490 5.17% 161 14.72% 69 ★★★ --- 40.05 1.06 ---
020011 国泰300 股票型 0.6940 0.9930 5.79% 64 14.71% 70 --- --- 0.00 --- 0.00 --- ---
020012 国泰债券C 债券型 1.0380 1.3670 1.47% 357 4.43% 336 --- --- 0.00 --- 0.00 --- ---
020015 国泰优势 股票型 1.1030 1.1030 5.35% 127 11.87% 224 --- --- 0.00 --- 0.00 --- ---
020018 国泰金鹿二期 混合型 1.0440 1.0940 0.19% 441 0.68% 425 --- --- 7.04 0.68 偏低 ---
020019 国泰双利A 债券型 1.0590 1.0690 1.15% 370 3.42% 349 --- --- 0.00 --- 0.00 --- ---
020020 国泰双利C 债券型 1.0560 1.0660 1.15% 369 3.33% 354 --- --- 0.00 --- 0.00 --- ---
040001 华安创新 混合型 0.7790 3.5780 4.70% 234 14.06% 117 ★★★ ★★★ 27.63 0.95 偏低 ★★
040002 华安A股 股票型 0.9390 3.4520 5.74% 67 14.79% 67 ★★ 44.02 1.20 ---
040004 华安宝利 混合型 1.0630 3.3430 4.83% 207 14.55% 79 ★★★★★ ★★★★ 28.63 偏低 0.85 ---
040005 华安宏利 股票型 2.6078 3.2278 4.69% 237 13.03% 175 ★★★★ ★★★★★ 36.10 偏低 0.91 ★★★★
040007 华安中小盘 股票型 1.2013 2.5162 4.72% 230 14.08% 113 ★★★ --- 40.26 1.07 ★★
040008 华安优选 股票型 0.8149 2.3512 5.16% 163 14.29% 95 ★★★ --- 35.32 偏低 0.97 偏低 ---
040009 华安债券A 债券型 1.0854 1.1154 0.93% 386 3.35% 353 --- --- 0.00 --- 0.00 --- ---
040010 华安债券B 债券型 1.0780 1.1080 0.92% 387 3.31% 355 --- --- 0.00 --- 0.00 --- ---
040011 华安核心 股票型 1.5955 1.5955 5.40% 120 13.87% 130 --- --- 0.00 --- 0.00 --- ---
040012 华安强债A 债券型 1.0360 1.0360 1.37% 360 3.60% 345 --- --- 0.00 --- 0.00 --- ---
040013 华安强债B 债券型 1.0340 1.0340 1.47% 356 3.61% 344 --- --- 0.00 --- 0.00 --- ---
050001 博时增长 混合型 0.8030 3.3050 2.95% 328 7.64% 311 ★★★ ★★★★ 29.44 偏低 1.01 ★★★★
050002 博时裕富 股票型 0.9380 2.9180 5.87% 55 14.95% 58 45.09 1.24 ---
050004 博时精选 股票型 1.5900 3.0150 5.56% 95 12.30% 207 ★★★ ★★★ 36.84 偏低 1.00 偏低 ★★★★★
050006 博时稳定B 债券型 1.0890 1.1970 0.09% 449 0.00 440 ★★★ ★★ 3.64 偏低 0.62 ---
050007 博时平衡 混合型 1.3580 2.4190 2.88% 332 3.66% 341 ★★★★★ ★★★★★ 22.30 0.64 ★★★★★
050008 博时第三产业 股票型 1.2790 2.8290 4.75% 225 11.31% 246 ★★★★ --- 35.25 偏低 0.92 偏低 ★★★★
050009 博时新兴成长 股票型 0.9370 3.5150 4.46% 267 12.48% 199 ★★★★ --- 35.63 偏低 0.92 ---
050010 博时特许价值 股票型 1.5020 1.5020 4.31% 279 11.34% 245 --- --- 0.00 --- 0.00 --- ---
050012 博时策略 混合型 1.0670 1.0670 4.10% 290 7.89% 307 --- --- 0.00 --- 0.00 --- ---
050106 博时稳定A 债券型 1.0970 1.2050 0.09% 450 0.00 440 ★★★★ --- 3.62 偏低 0.58 ---
050201 博时价值贰 混合型 0.7710 2.2260 2.94% 330 7.53% 312 ★★ ★★★ 31.48 1.09 ★★★★
070001 嘉实成长 混合型 0.9116 3.0893 4.00% 296 11.81% 225 ★★★★ ★★★★ 27.97 0.93 ★★★
070002 嘉实增长 混合型 4.1610 4.7020 4.55% 254 12.28% 208 ★★★★★ ★★★★ 29.80 偏低 0.94 ★★★★
070003 嘉实稳健 混合型 0.9420 2.6710 4.09% 291 9.28% 291 ★★ ★★ 28.77 偏低 1.09 ★★★
070005 嘉实债券 债券型 1.2560 1.6810 0.96% 383 3.37% 351 ★★★★ 9.55 2.29 ★★★★
070006 嘉实服务 混合型 3.7120 4.0320 5.30% 137 14.18% 105 ★★★★ ★★★★ 36.03 偏低 0.90 ★★
070009 嘉实短债 债券型 1.0038 1.1076 0.03% 451 0.08% 439 --- --- 1.10 --- 1.00 --- ---
070010 嘉实主题 混合型 1.1930 2.7010 3.47% 317 7.67% 309 ★★★★ ★★★★ 34.15 0.84 ★★★
070011 嘉实策略 混合型 1.2130 1.4030 5.30% 142 15.19% 49 ★★★★ --- 36.13 偏低 0.96 偏低 ★★
070013 嘉实精选 股票型 1.7090 1.7390 5.43% 111 14.01% 122 --- --- 0.00 --- 0.00 --- ---
070015 嘉实多元A 债券型 1.0930 1.1340 1.02% 377 2.82% 357 --- --- 0.00 --- 0.00 --- ---
070016 嘉实多元B 债券型 1.0900 1.1290 1.02% 376 2.73% 361 --- --- 0.00 --- 0.00 --- ---
070017 嘉实量化 股票型 1.2660 1.2660 6.30% 24 18.32% 4 --- --- 0.00 --- 0.00 --- ---
070018 嘉实回报 混合型 1.0350 1.0350 3.19% 323 --- --- --- --- 0.00 --- 0.00 --- ---
070099 嘉实优质 股票型 0.7850 1.6810 3.43% 320 11.98% 215 --- --- 0.00 --- 0.00 --- ---
080001 长盛价值 混合型 0.9200 2.7640 4.31% 277 8.75% 296 ★★ ★★ 30.33 1.02 ★★
080002 长盛创新 混合型 1.1185 1.3385 5.30% 139 10.11% 276 --- --- 0.00 --- 0.00 --- ---
080003 长盛积债 债券型 1.0835 1.0835 1.03% 374 3.06% 356 --- --- 0.00 --- 0.00 --- ---
090001 大成价值 混合型 0.8205 3.4805 4.22% 284 12.54% 195 ★★★★ ★★★ 35.16 偏低 0.92 偏低 ★★★★
090002 大成债券 债券型 1.0379 1.4279 0.40% 427 1.23% 396 ★★★★ ★★★ 3.16 0.42 ---
090003 大成蓝筹 混合型 0.7932 3.3632 5.21% 153 14.01% 120 ★★ ★★ 38.98 1.08 ★★
090004 大成精选 混合型 1.0710 2.9715 4.80% 214 14.28% 97 ★★★ ★★★ 40.42 1.05 ★★
090006 大成2020 混合型 0.7110 2.5330 5.49% 100 13.22% 163 ★★ ★★ 38.61 1.06 ---
090007 大成回报 股票型 1.1210 1.6710 5.06% 174 12.66% 187 --- --- 0.00 --- 0.00 --- ---
090008 大成强债A 债券型 1.1061 1.1561 0.77% 401 2.27% 369 --- --- 0.00 --- 0.00 --- ---
092002 大成债券C 债券型 1.0161 1.4061 0.39% 429 1.19% 400 ★★★ ★★★ 3.16 0.48 ★★
100016 富国天源 混合型 1.0240 2.2846 3.85% 303 9.46% 288 ★★★ 28.60 偏低 0.97 偏低 ★★
100018 富国天利 债券型 1.2529 1.8779 0.81% 393 -1.05% 443 ★★★ ★★★★★ 5.30 1.04 ★★★★★
100020 富国天益 混合型 0.9139 3.9252 4.77% 223 8.60% 298 ★★★★★ ★★★★ 30.40 0.80 ★★★★★
100022 富国天瑞 混合型 0.9250 3.3650 6.41% 21 16.10% 26 ★★★★★ ★★★ 39.20 0.93 偏低 ★★
100026 富国天合 股票型 0.9067 2.2862 5.39% 122 10.95% 256 ★★★★ --- 32.89 0.88 ★★★★
100029 富国天成 混合型 1.2742 1.2942 4.50% 262 11.58% 236 --- --- 0.00 --- 0.00 --- ---
100032 富国天鼎A 股票型 1.5880 1.7870 6.86% 8 17.02% 13 --- --- 0.00 --- 0.00 --- ---
100033 富国天鼎B 股票型 --- --- --- --- --- --- --- --- 0.00 --- 0.00 --- ---
100035 富国优化A 债券型 0.9790 0.9790 0.62% 408 1.24% 395 --- --- 0.00 --- 0.00 --- ---
100037 富国优化C 债券型 0.9770 0.9770 0.51% 417 1.14% 405 --- --- 0.00 --- 0.00 --- ---
110001 易基平稳 混合型 1.5500 2.7800 3.26% 322 7.94% 306 ★★★★ ★★★ 25.12 0.84 ★★★
110002 易基策略 股票型 4.1010 4.9110 5.21% 155 14.55% 80 ★★★ ★★★★ 36.35 偏低 0.97 偏低 ★★
110003 易基50 股票型 0.9413 2.7913 5.44% 107 14.53% 81 45.30 1.24 ---
110005 易基积极 股票型 1.3458 4.2834 5.04% 176 15.46% 41 ★★★★ ★★★★ 33.42 0.88 ★★★★
110007 易基债券A 债券型 1.0585 1.1471 1.06% 373 1.93% 383 ★★★ ★★ 3.24 偏低 0.62 ---
110008 易基债券B 债券型 1.0619 1.1535 1.08% 371 1.96% 380 ★★★ ★★ 3.24 偏低 0.59 ---
110009 易基价值精选 股票型 1.5363 2.5863 5.90% 49 15.55% 36 ★★★★ ★★★★★ 34.38 0.89 ★★★★
110010 易基价值成长 混合型 1.4495 1.5095 5.30% 141 16.76% 16 ★★★★ --- 39.88 1.00 ---
110011 易方达中小盘 股票型 1.6079 1.6479 5.42% 113 16.61% 17 --- --- 0.00 --- 0.00 --- ---
110012 易方达科汇 混合型 1.4260 5.2060 5.01% 181 15.37% 43 --- --- 0.00 --- 0.00 --- ---
110013 易方达科翔 股票型 1.4230 5.3880 5.02% 179 14.67% 73 --- --- 0.00 --- 0.00 --- ---
110015 易方达领先 股票型 1.2700 1.2700 5.31% 135 15.98% 29 --- --- 0.00 --- 0.00 --- ---
110017 易方达强债A 债券型 1.0930 1.1530 2.82% 334 5.30% 327 --- --- 0.00 --- 0.00 --- ---
110018 易方达强债B 债券型 1.0850 1.1450 2.84% 333 5.24% 328 --- --- 0.00 --- 0.00 --- ---
110020 易方达沪深300 股票型 1.0550 1.0550 3.53% 316 6.14% 322 --- --- 0.00 --- 0.00 --- ---
110029 易方达科讯 股票型 0.8191 4.3991 4.68% 239 12.44% 203 --- --- 0.00 --- 0.00 --- ---
112002 易基策略贰 混合型 1.5130 3.0480 5.14% 166 14.62% 76 ★★★ ★★★ 35.68 偏低 0.95 偏低 ★★★★
121001 国投融华 债券型 1.3736 2.4256 3.70% 308 8.65% 297 ★★★★ ★★★★ 19.99 1.08 ---
121002 国投景气 混合型 0.9365 2.9055 3.81% 304 10.27% 271 ★★★★ ★★★★ 27.13 0.86 ★★★★
121003 国投核心 股票型 1.0862 2.5262 5.12% 169 14.87% 62 ★★★ ★★★ 37.44 1.00 ★★
121005 国投创新 股票型 1.3428 2.5589 5.81% 60 14.06% 116 ★★★ --- 40.71 1.03 ★★★★
121006 国投稳健增长 混合型 1.3600 1.4000 3.19% 324 9.94% 281 --- --- 0.00 --- 0.00 --- ---
121008 国投成长 股票型 1.0047 2.2026 5.00% 184 15.48% 39 --- --- 0.00 --- 0.00 --- ---
121009 国投增利 债券型 1.0701 1.1251 1.34% 363 2.41% 365 --- --- 0.00 --- 0.00 --- ---
150103 银河银泰 混合型 0.8932 3.4332 4.88% 198 11.68% 231 ★★★ ★★★ 30.17 0.99 偏低 ★★
151001 银河稳健 混合型 0.9823 3.1560 4.83% 205 12.42% 204 ★★★★ ★★★★★ 30.63 0.98 偏低 ★★★
151002 银河收益 债券型 1.6309 2.0109 0.74% 402 1.55% 390 ★★ ★★★★ 9.16 2.41 ★★★
159901 深100ETF 股票型 4.0420 4.1620 6.06% 34 17.47% 9 ★★ 48.07 1.26 ---
159902 中小板ETF 股票型 2.5000 2.5000 6.97% 4 14.94% 59 ★★★★ ★★★ 43.59 1.07 ---
160105 南方积配 混合型 1.2265 2.5905 4.81% 212 11.47% 240 ★★★ ★★★ 32.58 0.89 ★★★★
160106 南方高增 股票型 1.5872 2.8912 5.64% 86 13.14% 166 ★★ ★★ 36.77 偏低 1.04
160311 华夏蓝筹 混合型 1.3080 3.7610 5.91% 46 16.06% 27 ★★★★★ --- 36.10 偏低 0.88 ---
160314 华夏行业 股票型 0.9490 4.2470 6.27% 26 13.65% 145 --- --- 0.00 --- 0.00 --- ---
160505 博时主题 股票型 2.0100 3.5910 4.58% 248 11.92% 223 ★★★★★ ★★★★★ 31.40 0.83 ★★★★★
160602 鹏华债券A 债券型 1.1420 1.3410 0.18% 444 0.88% 416 ★★★★ ★★★ 2.12 0.25 ---
160603 鹏华收益 混合型 0.8470 3.2930 5.09% 171 13.54% 149 ★★★★ ★★★ 32.79 0.93 偏低 ★★
160605 鹏华50 股票型 1.8330 3.4630 4.80% 215 14.21% 100 ★★★★ ★★★★ 35.41 偏低 0.94 偏低 ★★★
160607 鹏华价值 股票型 0.9030 2.7890 5.12% 168 13.44% 154 ★★★★ ★★★★ 37.72 0.97 偏低 ★★
160608 鹏华债券B 债券型 1.1100 1.3090 0.18% 443 0.82% 419 ★★★ ★★★ 2.04 0.30 ★★
160610 鹏华动力 混合型 1.5120 1.7120 5.22% 151 16.40% 22 ★★ --- 41.74 1.12 ★★★
160611 鹏华治理 股票型 1.1840 1.1840 5.71% 74 15.85% 30 ★★★ --- 38.55 1.02 ★★
160612 鹏华丰收 债券型 1.1720 1.1920 0.69% 403 1.38% 392 --- --- 0.00 --- 0.00 --- ---
160613 鹏华盛世 股票型 1.6150 1.6450 6.95% 6 17.28% 10 --- --- 0.00 --- 0.00 --- ---
160615 鹏华300 股票型 1.2210 1.2810 5.81% 61 14.86% 63 --- --- 0.00 --- 0.00 --- ---
160706 嘉实300 股票型 0.8870 2.7550 5.85% 57 15.05% 53 45.63 1.24 ---
160805 长盛同智 混合型 1.0003 2.3415 5.31% 136 14.28% 96 ★★★ --- 34.40 0.96 偏低 ★★★
160910 大成创新成长 混合型 0.9140 2.1250 4.94% 191 13.12% 167 ★★ --- 38.80 1.06 ---
161005 富国天惠 混合型 1.5728 3.0728 5.11% 170 11.17% 251 ★★★★★ ★★★ 35.77 偏低 0.91 ★★★★★
161601 融通新蓝筹 混合型 0.9044 3.1994 4.97% 187 14.13% 109 ★★★ ★★★★ 30.06 偏低 0.98 偏低 ★★★★
161603 融通债券 债券型 1.1280 1.4530 0.62% 407 1.17% 403 ★★★ ★★★ 2.94 0.71 偏低
161604 融通100 股票型 1.5070 2.6770 5.68% 78 16.19% 25 ★★ ★★ 45.73 1.19 ---
161605 融通蓝筹 混合型 1.4290 2.5590 4.08% 292 11.12% 252 ★★ ★★ 32.24 1.12 ★★
161606 融通行业 混合型 1.0320 2.9720 4.35% 273 14.67% 72 ★★ ★★★ 40.96 1.09 ★★★
161607 融通巨潮 股票型 1.0830 2.5970 5.56% 96 13.76% 137 ★★ 45.73 1.27 ---
161609 融通动力 股票型 1.5410 1.9410 6.20% 27 14.49% 85 --- 39.33 1.12
161610 融通领先 股票型 1.1310 2.9890 4.82% 211 12.09% 211 ★★★ --- 40.25 1.09 ---
161611 融通驱动 股票型 1.1650 1.1650 4.58% 249 13.22% 162 --- --- 0.00 --- 0.00 --- ---
161706 招商成长 股票型 1.4200 3.3303 6.53% 16 16.94% 14 ★★ ★★★ 40.75 1.08 ★★★
161810 银华内需精选 股票型 1.0250 0.9750 4.81% 213 --- --- --- --- 0.00 --- 0.00 --- ---
161811 银华沪深300 股票型 1.0540 1.0540 5.29% 143 --- --- --- --- 0.00 --- 0.00 --- ---
161902 万家债券 债券型 1.0976 1.6042 1.34% 364 1.97% 379 ★★★★★ ★★★★ 3.92 偏低 0.64 偏低 ---
161903 万家公用 股票型 0.8534 2.2440 5.42% 112 14.52% 83 ★★★ ★★ 39.11 0.98 偏低 ★★★
162006 长城久富 股票型 1.6729 3.5637 5.33% 133 16.53% 19 ★★★★★ --- 36.18 偏低 0.88 ★★★★★
162102 金鹰小盘 混合型 1.4170 2.3270 6.96% 5 13.26% 160 ★★★★ 36.35 1.03 ★★
162201 合丰成长 股票型 1.1415 2.8515 3.86% 302 12.76% 182 ★★★★★ ★★★★ 28.93 0.65 ★★★★★
162202 合丰周期 股票型 1.1110 3.0360 4.31% 276 15.50% 38 ★★★★★ ★★★★ 34.73 0.83 ★★★★★
162203 合丰稳定 股票型 0.6800 2.6200 4.28% 281 6.23% 321 ★★★★ ★★ 29.91 0.83 ★★
162204 荷银精选 股票型 4.8522 5.0222 5.34% 130 13.89% 127 ★★★★ ★★★★ 38.00 0.97 偏低 ★★★★
162205 荷银预算 混合型 1.5208 2.4258 1.45% 358 5.97% 324 ★★★★★ ★★★★ 18.73 偏低 0.92 偏低 ---
162207 荷银效率 混合型 0.7885 1.8965 4.04% 295 9.65% 283 ★★★ ★★ 29.94 偏低 1.01 ★★★
162208 荷银首选 股票型 1.6037 1.6537 5.30% 140 13.74% 140 ★★★ --- 40.33 1.07 ★★
162209 荷银市值 股票型 0.7757 0.7757 4.94% 190 14.19% 102 ★★ --- 39.18 1.07 ---
162210 泰达集利A 债券型 1.0067 1.0247 0.96% 384 0.19% 435 --- --- 0.00 --- 0.00 --- ---
162211 荷银品质 混合型 1.1710 1.2710 3.63% 309 10.06% 277 --- --- 0.00 --- 0.00 --- ---
162299 泰达集利C 债券型 1.0020 1.0200 0.96% 385 0.13% 436 --- --- 0.00 --- 0.00 --- ---
162605 景顺鼎益 股票型 1.1160 3.2160 4.79% 221 11.94% 220 ★★★ ★★★ 35.65 偏低 0.97 偏低 ★★★★★
162607 景顺资源 股票型 0.8710 2.8320 4.94% 189 13.12% 168 ★★ ★★ 38.97 1.07
162703 广发小盘 股票型 2.0860 3.3960 5.69% 76 15.03% 54 ★★ ★★ 42.33 1.12
163302 大摩资源 混合型 1.8508 3.0858 5.39% 123 14.10% 111 ★★★★ ★★★★★ 33.88 0.87 ★★★★
163402 兴业趋势 混合型 1.1308 5.7026 4.69% 236 11.92% 222 ★★★★★ ★★★★★ 29.35 0.73 ★★★★★
163503 天治核心 股票型 0.5882 2.1577 6.44% 20 12.92% 180 ★★ ★★ 34.63 1.04
163801 中银中国 混合型 1.7570 3.2370 4.86% 201 13.88% 128 ★★★★ ★★★★★ 33.07 1.01 ★★★★★
163803 中银增长 股票型 0.9677 2.8912 6.05% 36 16.79% 15 ★★★★ ★★★ 37.59 0.93 偏低 ★★★★★
163804 中银收益 混合型 0.9073 2.0873 5.46% 102 14.59% 78 ★★★★ ★★★ 32.79 0.86 ★★★
163805 中银策略 股票型 1.3709 1.3709 5.07% 172 14.08% 114 --- --- 0.00 --- 0.00 --- ---
163806 中银增利 债券型 1.0320 1.0320 0.29% 435 1.88% 384 --- --- 0.00 --- 0.00 --- ---
163807 中银优选 混合型 1.1220 1.1520 4.80% 216 8.35% 303 --- --- 0.00 --- 0.00 --- ---
163808 中银中证100 股票型 1.0240 1.0240 2.91% 331 --- --- --- --- 0.00 --- 0.00 --- ---
166001 中欧趋势 股票型 1.0794 1.2794 4.68% 238 11.94% 219 ★★ --- 37.71 1.07 ★★★
166002 中欧蓝筹 混合型 1.2090 1.4790 4.52% 258 12.70% 186 --- --- 0.00 --- 0.00 --- ---
166003 中欧债券A 债券型 1.0266 1.0266 0.29% 434 0.42% 426 --- --- 0.00 --- 0.00 --- ---
166004 中欧债券C 债券型 1.0241 1.0241 0.29% 432 0.37% 427 --- --- 0.00 --- 0.00 --- ---
166005 中欧价值发现 股票型 0.9210 0.9210 4.54% 257 --- --- --- --- 0.00 --- 0.00 --- ---
180001 银华优势 混合型 1.1067 2.7267 4.17% 286 10.88% 257 ★★★ ★★★ 28.82 偏低 1.00 偏低 ★★★★★
180002 银华保本 混合型 1.1970 1.3870 1.01% 378 3.65% 343 --- --- 8.57 偏低 0.65 ---
180003 银华88 股票型 1.1326 2.9326 5.39% 124 14.04% 119 ★★★ ★★★ 40.15 1.04 ---
180010 银华优质 股票型 1.9065 3.1065 5.44% 108 15.01% 55 ★★★ ★★★★ 34.96 0.95 偏低 ★★★
180012 银华富裕 股票型 1.1130 2.0480 5.24% 150 17.50% 7 ★★★★ --- 36.83 偏低 0.96 偏低 ★★★
180013 银华领先 股票型 1.7709 1.8709 4.73% 229 22.03% 1 --- --- 0.00 --- 0.00 --- ---
180015 银华强债 债券型 1.1860 1.1860 1.54% 353 5.42% 326 --- --- 0.00 --- 0.00 --- ---
180018 银华和谐 混合型 1.1180 1.1980 3.61% 312 10.58% 262 --- --- 0.00 --- 0.00 --- ---
200001 长城久恒 混合型 1.5020 2.6120 3.73% 307 9.56% 287 ★★★★ ★★★ 24.45 0.80 ★★★★★
200002 长城久泰 股票型 1.3385 4.1985 6.05% 37 14.80% 65 ★★ 45.11 1.22 ---
200006 长城消费 股票型 0.9658 2.4058 4.88% 200 11.41% 242 ★★★★ ★★★★ 37.13 0.95 偏低 ★★★★
200007 长城回报 混合型 0.6646 1.8062 4.93% 192 10.42% 270 ★★ ★★ 34.81 1.03 ★★
200008 长城品牌 股票型 0.9225 0.9225 5.96% 43 15.66% 35 ★★★ --- 40.05 1.03 ---
200009 长城增利 债券型 1.1160 1.1410 0.00 454 -0.09% 442 --- --- 0.00 --- 0.00 --- ---
200010 长城双动力 股票型 1.2752 1.2752 5.66% 84 13.67% 143 --- --- 0.00 --- 0.00 --- ---
200011 长城行业龙头 混合型 1.0750 1.0750 4.88% 199 10.71% 260 --- --- 0.00 --- 0.00 --- ---
202001 南方稳健 混合型 1.1356 2.9306 4.66% 240 11.09% 254 ★★★ ★★★ 31.20 0.92 ★★★★
202002 南稳贰号 混合型 0.9627 2.0460 4.61% 245 11.05% 255 ★★★ ★★ 30.80 0.92
202003 南方绩优 股票型 1.7449 2.2949 5.93% 45 16.47% 20 ★★★ --- 38.83 1.00
202005 南方成份 股票型 1.0219 1.0219 6.16% 31 15.52% 37 ★★ --- 35.28 偏低 0.98 偏低 ---
202007 南方隆元 股票型 0.6740 0.6740 4.17% 285 8.19% 305 --- --- 0.00 --- 0.00 --- ---
202009 南方盛元 股票型 1.0470 1.0860 5.76% 66 13.86% 131 --- --- 0.00 --- 0.00 --- ---
202011 南方优选A 股票型 1.3050 1.5250 6.01% 38 14.27% 98 --- --- 0.00 --- 0.00 --- ---
202015 南方300 股票型 1.2920 1.3520 5.90% 48 15.05% 52 --- --- 0.00 --- 0.00 --- ---
202101 南方宝元 债券型 1.1551 2.3751 1.65% 346 3.66% 342 ★★★ ★★★ 11.65 0.74 ★★★
202102 南方多利C 债券型 1.0565 1.1697 1.51% 355 3.60% 347 ★★ ★★ 5.06 偏低 1.23 ---
202103 南方多利A 债券型 1.0576 1.1708 1.58% 350 --- --- --- --- 0.00 --- 0.00 --- ---
202202 南方避险 混合型 2.3511 2.8951 1.90% 344 3.89% 338 --- --- 15.02 1.74 ---
202211 南方恒元 混合型 1.1070 1.1070 3.46% 318 7.27% 314 --- --- 0.00 --- 0.00 --- ---
206001 鹏华成长 混合型 1.0020 3.7825 4.83% 206 12.51% 197 ★★★★ ★★★★ 30.46 0.95 偏低 ★★★
206002 鹏华精选成长 股票型 1.0300 1.0300 2.49% 337 --- --- --- --- 0.00 --- 0.00 --- ---
210001 金鹰优选 混合型 0.7731 2.4221 5.20% 158 14.45% 88 ★★ ★★ 35.99 1.18 ★★★★
210002 金鹰红利 混合型 1.1338 1.4218 4.91% 194 10.15% 274 --- --- 0.00 --- 0.00 --- ---
210003 金鹰优势 股票型 0.9847 0.9847 7.06% 2 14.82% 64 --- --- 0.00 --- 0.00 --- ---
213001 宝盈鸿利 混合型 0.5717 2.4205 4.06% 293 6.28% 320 30.36 1.18 ★★★★
213002 宝盈泛沿海 股票型 0.6261 2.2822 5.44% 109 9.65% 284 38.75 1.08
213003 宝盈策略 股票型 1.1001 1.5001 4.55% 253 9.65% 285 ★★★ --- 37.52 1.01 ★★
213006 宝盈优势 混合型 1.0631 1.1831 4.47% 264 11.65% 235 --- --- 0.00 --- 0.00 --- ---
213007 宝盈债券 债券型 1.1515 1.1585 1.36% 361 3.39% 350 --- --- 0.00 --- 0.00 --- ---
213008 宝盈资源 股票型 1.2150 1.3216 5.61% 90 12.70% 185 --- --- 0.00 --- 0.00 --- ---
213917 宝盈债券C 债券型 1.1467 1.1537 1.35% 362 3.35% 352 --- --- 0.00 --- 0.00 --- ---
217001 招商股票 股票型 0.8274 3.4414 4.75% 226 12.07% 212 ★★ ★★★ 31.36 1.06 ★★★★
217002 招商平衡 混合型 1.9588 2.5738 3.62% 310 10.48% 268 ★★ 22.75 1.39 ---
217003 招商债券 债券型 1.1391 1.4556 0.57% 412 2.23% 374 ★★ ★★★ 5.27 1.05 ★★★★
217005 招商先锋 混合型 0.7876 2.7376 5.41% 116 15.33% 45 ★★ ★★ 33.56 1.11 ★★★★
217008 招商安本 债券型 1.1906 1.2906 2.00% 342 4.06% 337 ★★★ 7.00 1.97 ★★
217009 招商价值 混合型 1.1791 1.1791 5.94% 44 15.30% 47 ★★ --- 36.80 偏低 1.04 ★★★★
217010 招商大盘蓝筹 股票型 1.5590 1.5590 5.41% 115 13.05% 172 --- --- 0.00 --- 0.00 --- ---
217011 招商安心 债券型 1.1040 1.1040 1.94% 343 4.64% 333 --- --- 0.00 --- 0.00 --- ---
217012 招商领先 股票型 1.0730 1.0730 6.34% 23 17.27% 11 --- --- 0.00 --- 0.00 --- ---
217203 招商债券B 债券型 1.1207 1.4372 0.57% 411 2.19% 375 ★★ ★★★ 5.27 1.11
233001 大摩基础 混合型 0.5478 2.0928 4.60% 247 11.30% 247 39.00 1.44 ★★★★★
240001 宝康消费 混合型 1.4880 4.3693 4.80% 219 13.76% 136 ★★★★ ★★★★ 33.72 1.04 ★★★★★
240002 宝康配置 混合型 1.5603 3.2003 4.47% 263 11.78% 228 ★★★ ★★★ 31.92 1.05
240003 宝康债券 债券型 1.1659 1.6159 0.13% 448 0.70% 424 ★★★ ★★★★ 3.05 0.62 ★★★★★
240004 华宝动力 股票型 0.9592 3.4692 4.84% 204 13.60% 147 ★★★★ ★★★★ 37.05 0.98 偏低 ★★★
240005 华宝策略 混合型 0.7459 4.3365 5.00% 182 14.45% 87 ★★★★★ ★★★★★ 32.75 0.80 ★★★★★
240008 华宝收益 混合型 3.3203 3.3203 6.60% 12 17.69% 6 ★★★ ★★★★ 40.96 1.07 ★★★★★
240009 华宝成长 股票型 2.4267 2.4267 6.45% 19 15.32% 46 ★★★ --- 40.00 1.01 ★★★★
240010 华宝行业 股票型 1.0629 1.0629 5.39% 121 14.17% 107 ★★★ --- 37.05 0.99 偏低 ---
240011 华宝大盘 股票型 1.8326 1.8326 6.95% 7 18.62% 3 --- --- 0.00 --- 0.00 --- ---
240012 华宝强债A 债券型 1.0438 1.0438 0.61% 409 1.60% 388 --- --- 0.00 --- 0.00 --- ---
240013 华宝强债B 债券型 1.0408 1.0408 0.60% 410 1.55% 389 --- --- 0.00 --- 0.00 --- ---
253010 德盛安心 混合型 0.9860 2.0850 3.03% 327 7.64% 310 ★★ 24.14 1.26 ★★
253020 德盛增利A 债券型 1.0380 1.0380 0.48% 422 2.37% 367 --- --- 0.00 --- 0.00 --- ---
253021 德盛增利B 债券型 1.0340 1.0340 0.39% 428 2.17% 376 --- --- 0.00 --- 0.00 --- ---
255010 德盛稳健 混合型 1.8340 2.6040 3.56% 315 9.43% 289 ★★★ ★★★ 27.06 0.94 偏低
257010 德盛小盘 混合型 0.8580 2.9880 4.51% 260 10.42% 269 ★★ ★★ 32.81 1.08
257020 德盛精选 股票型 0.9610 2.7830 5.26% 146 12.53% 196 ★★ ★★ 45.56 1.17
257030 德盛优势 股票型 1.2760 1.3760 5.98% 41 13.42% 156 ★★★ --- 34.69 0.97 偏低
257040 德盛红利 股票型 1.3050 1.5050 5.16% 164 11.35% 244 --- --- 0.00 --- 0.00 --- ---
260101 景顺优选 股票型 1.1227 3.0134 4.39% 270 12.49% 198 ★★★ ★★ 34.46 0.97 偏低 ★★★
260103 景顺平衡 混合型 0.7756 3.0656 3.43% 319 8.58% 301 ★★ ★★★ 28.10 偏低 0.98 偏低 ★★★
260104 景顺增长 股票型 3.5750 4.4450 3.59% 313 10.75% 259 ★★ ★★★ 41.43 1.10 ★★
260108 景顺成长 股票型 1.0050 2.3550 4.47% 265 11.79% 227 ★★ ★★ 36.53 偏低 0.99 偏低 ★★★
260109 景顺增长贰 股票型 1.1460 2.2060 3.62% 311 10.51% 266 ★★★ --- 41.30 1.07 ★★
260110 景顺精选 股票型 0.9770 0.9770 5.74% 71 15.35% 44 ★★ --- 39.31 1.03 ---
270001 广发聚富 混合型 1.2635 3.5735 3.95% 300 10.22% 272 ★★★ ★★★ 30.16 偏低 1.01 ★★
270002 广发稳健 混合型 1.6147 3.2347 4.80% 218 13.87% 129 ★★ ★★★ 36.88 1.20 ★★
270005 广发聚丰 股票型 0.7864 4.3864 4.90% 195 11.51% 238 ★★★ ★★★★ 35.47 偏低 0.98 偏低 ★★★
270006 广发优选 混合型 1.8482 2.5282 5.46% 104 14.37% 92 ★★★ ★★★ 36.61 偏低 1.00 ★★
270007 广发大盘 混合型 0.9127 0.9127 5.13% 167 13.01% 176 ★★★ --- 36.76 偏低 1.01 ---
270008 广发精选 股票型 1.5150 1.6750 5.21% 154 14.17% 108 --- --- 0.00 --- 0.00 --- ---
270009 广发强债 债券型 1.0910 1.1210 0.18% 442 0.74% 423 --- --- 0.00 --- 0.00 --- ---
270010 广发300 股票型 1.6380 1.7780 5.88% 53 14.63% 75 --- --- 0.00 --- 0.00 --- ---
288001 中信配置 混合型 0.9962 3.1362 3.98% 297 8.91% 295 ★★★★ ★★★★ 31.41 0.99 偏低 ★★★
288002 中信红利 股票型 2.5580 3.9580 5.30% 138 13.05% 173 ★★★★★ ★★★★★ 35.49 偏低 0.89 ★★★★★
288102 中信双利 债券型 1.0564 1.4254 2.27% 338 4.88% 329 ★★★★★ ★★★★ 8.05 1.37 ★★★★
290002 泰信先行 混合型 0.7199 2.6406 5.56% 94 12.63% 191 ★★★ ★★★ 34.78 0.96 偏低
290003 泰信双息 债券型 1.0266 1.1609 1.64% 347 4.60% 334 ★★★ 10.71 1.71 ---
290004 泰信优质 股票型 1.1639 1.6639 6.79% 9 15.73% 33 ★★ --- 39.95 1.09
290005 泰信优势 混合型 1.3090 1.3390 5.31% 134 12.26% 209 --- --- 0.00 --- 0.00 --- ---
290006 泰信蓝筹 股票型 1.1407 1.1907 5.70% 75 14.33% 94 --- --- 0.00 --- 0.00 --- ---
290007 泰信强债A 债券型 0.9867 0.9867 2.05% 340 4.79% 331 --- --- 0.00 --- 0.00 --- ---
291007 泰信强债C 债券型 0.9856 0.9856 2.04% 341 4.75% 332 --- --- 0.00 --- 0.00 --- ---
310308 申万盛利精选 混合型 0.9696 2.5416 4.06% 294 10.56% 263 ★★★ ★★★ 31.06 1.03 ★★★★
310318 申万盛利配置 混合型 1.0356 1.7916 2.18% 339 4.83% 330 ★★★★ ★★ 10.17 0.57 ---
310328 申万新动力 股票型 0.8275 2.7193 5.40% 119 13.57% 148 39.92 1.11
310358 申万新经济 混合型 0.7449 2.0768 6.13% 33 14.64% 74 ★★★ --- 35.31 偏低 0.94 偏低 ★★★★
310368 申万竞争优势 股票型 1.5336 1.6336 5.51% 97 13.42% 155 --- --- 0.00 --- 0.00 --- ---
310378 申万添益宝A 债券型 1.0080 1.0080 0.80% 396 1.10% 408 --- --- 0.00 --- 0.00 --- ---
310379 申万添益宝B 债券型 1.0050 1.0050 0.80% 395 1.01% 412 --- --- 0.00 --- 0.00 --- ---
310388 申万消费增长 股票型 1.1080 1.1080 5.83% 59 16.39% 23 --- --- 0.00 --- 0.00 --- ---
320001 诺安平衡 混合型 0.7957 3.0557 4.77% 224 12.48% 200 ★★ ★★★ 30.34 1.01 ★★
320003 诺安股票 股票型 1.0923 2.9758 4.61% 246 11.68% 232 ★★★ ★★★ 36.98 1.01 ★★
320004 诺安债券 债券型 1.0616 1.1212 0.48% 423 1.30% 393 ★★ 2.47 0.72 偏低
320005 诺安价值 股票型 0.9105 1.8555 4.56% 251 12.32% 206 ★★ --- 38.31 1.06 ---
320006 诺安灵活配置 混合型 1.2300 1.4700 5.67% 81 17.48% 8 --- --- 0.00 --- 0.00 --- ---
320007 诺安成长 股票型 1.2140 1.2740 5.20% 157 11.68% 230 --- --- 0.00 --- 0.00 --- ---
320008 诺安增利A 债券型 1.0100 1.0100 0.50% 421 1.61% 387 --- --- 0.00 --- 0.00 --- ---
320009 诺安增利B 债券型 --- --- --- --- --- --- --- --- 0.00 --- 0.00 --- ---
340001 兴业转基 混合型 1.2546 2.8326 3.78% 305 9.06% 294 ★★★ ★★★★★ 21.24 1.04 ---
340006 兴业全球 股票型 3.3682 3.3682 4.56% 252 11.11% 253 ★★★★★ ★★★★★ 32.13 0.82 ★★★★★
340007 兴业社会责任 股票型 1.5290 1.5290 5.45% 105 13.18% 164 --- --- 0.00 --- 0.00 --- ---
340008 兴业有机增长 混合型 1.0863 1.0863 3.16% 325 7.79% 308 --- --- 0.00 --- 0.00 --- ---
340009 兴业磐稳增利 债券型 1.0066 1.0066 0.15% 447 0.31% 430 --- --- 0.00 --- 0.00 --- ---
350001 天治财富 混合型 0.7459 2.2912 4.79% 220 9.92% 282 ★★★ ★★ 19.83 0.74 ---
350002 天治品质 混合型 0.8604 3.3704 6.59% 13 13.63% 146 ★★★★ ★★★ 30.63 0.87 ★★
350005 天治创新 股票型 1.2235 1.2235 5.44% 110 14.52% 84 --- --- 0.00 --- 0.00 --- ---
350006 天治双盈 债券型 1.0098 1.0098 0.29% 436 0.27% 433 --- --- 0.00 --- 0.00 --- ---
350007 天治趋势精选 混合型 0.9640 0.9640 5.24% 149 --- --- --- --- 0.00 --- 0.00 --- ---
360001 量化核心 股票型 0.9674 2.9111 6.27% 25 14.47% 86 45.12 1.25
360005 光大红利 股票型 2.5175 3.1755 5.68% 80 13.84% 133 ★★ ★★★ 41.27 1.09 ★★★★
360006 光大增长 股票型 1.2802 2.5602 5.50% 99 14.18% 104 ★★★ ★★★ 42.10 1.08 ★★★★
360007 光大优势 股票型 0.8166 0.8166 5.34% 129 13.97% 123 ★★★ --- 39.38 1.04 ---
360008 光大增利A 债券型 1.0250 1.0250 0.29% 433 1.18% 402 --- --- 0.00 --- 0.00 --- ---
360009 光大增利C 债券型 1.0210 1.0210 0.20% 440 1.09% 409 --- --- 0.00 --- 0.00 --- ---
360010 光大精选 股票型 1.2071 1.3271 5.07% 173 13.77% 135 --- --- 0.00 --- 0.00 --- ---
371020 上投纯债A 债券型 1.0040 1.0040 0.00 454 0.10% 438 --- --- 0.00 --- 0.00 --- ---
371120 上投纯债B 债券型 1.0030 1.0030 0.00 454 0.10% 437 --- --- 0.00 --- 0.00 --- ---
373010 上投双息 混合型 0.9434 2.3726 3.58% 314 7.20% 315 ★★★ ★★★★ 27.22 0.91 ---
373020 上投双核 混合型 1.2279 1.2279 3.34% 321 7.00% 316 --- --- 0.00 --- 0.00 --- ---
375010 上投优势 混合型 2.6158 5.2358 3.73% 306 7.39% 313 ★★ ★★★ 42.51 1.09 ★★★
377010 上投α 股票型 5.2204 5.2604 4.95% 188 10.16% 273 ★★★★ ★★★★ 35.23 偏低 0.92 ★★★★★
377020 上投内需 股票型 1.2199 1.3199 4.25% 282 9.15% 292 ★★★★ --- 36.26 偏低 0.94 偏低 ★★★★★
378010 上投先锋 股票型 2.3979 2.3979 4.51% 261 9.15% 293 ★★★ ★★★ 36.88 偏低 1.01 ★★★★★
379010 上投中小盘 股票型 1.4610 1.4610 6.49% 18 12.64% 189 --- --- 0.00 --- 0.00 --- ---
395001 中海债券 债券型 1.1040 1.1640 1.38% 359 2.60% 364 --- --- 0.00 --- 0.00 --- ---
398001 中海成长 混合型 0.8025 2.8950 4.98% 185 14.38% 91 ★★★★ ★★★★ 33.19 0.87 ★★
398011 中海分红 混合型 0.8158 2.2158 4.89% 197 13.01% 177 ★★★ ★★ 37.48 1.01 ★★
398021 中海能源 混合型 0.9254 1.2354 5.05% 175 12.96% 179 ★★★ --- 34.99 偏低 0.94 偏低 ★★★
398031 中海蓝筹 混合型 1.0490 1.3090 3.97% 298 8.22% 304 --- --- 0.00 --- 0.00 --- ---
398041 中海量化 股票型 1.0220 1.0220 4.82% 209 15.09% 51 --- --- 0.00 --- 0.00 --- ---
400001 东方龙 混合型 0.6242 2.3857 3.11% 326 8.59% 299 ★★ 34.05 0.99 偏低 ★★★
400003 东方精选 混合型 1.0009 3.3061 5.74% 70 13.74% 139 ★★★ ★★★ 40.80 1.04
400007 东方策略 股票型 1.3587 1.3587 4.97% 186 11.80% 226 --- --- 0.00 --- 0.00 --- ---
410001 华富优选 混合型 0.7967 2.2000 5.85% 58 13.96% 124 ★★ 38.44 1.07
410003 华富成长 股票型 0.7200 1.0100 5.40% 118 14.09% 112 --- 38.48 1.13 ★★
410004 华富收益A 债券型 1.0917 1.1817 1.65% 345 3.60% 346 --- --- 0.00 --- 0.00 --- ---
410005 华富收益B 债券型 1.0847 1.1747 1.64% 348 3.55% 348 --- --- 0.00 --- 0.00 --- ---
410007 华富价值增长 混合型 0.9740 0.9740 4.41% 269 11.37% 243 --- --- 0.00 --- 0.00 --- ---
420001 天弘精选 混合型 0.6106 1.7744 5.02% 178 11.67% 233 ★★ 34.64 0.99 偏低
420002 天弘债券A 债券型 0.9888 1.0583 0.53% 416 0.87% 418 --- --- 0.00 --- 0.00 --- ---
420003 天弘永定 股票型 1.1823 1.2523 5.73% 72 14.68% 71 --- --- 0.00 --- 0.00 --- ---
420102 天弘债券B 债券型 0.9904 1.0655 0.54% 415 0.92% 414 --- --- 0.00 --- 0.00 --- ---
450001 国富收益 混合型 0.7829 2.0891 4.23% 283 11.57% 237 ★★★★ ★★ 25.08 0.87
450002 国富弹性 股票型 1.4333 2.5933 4.82% 210 12.82% 181 ★★★★★ ★★★★★ 30.09 0.80 ★★★★★
450003 国富潜力 股票型 1.1898 1.4398 5.57% 93 14.35% 93 ★★★★ --- 32.58 0.89 ★★★★
450004 国富价值 股票型 1.3629 1.5629 4.36% 272 -1.74% 444 --- --- 0.00 --- 0.00 --- ---
450005 国富强债 债券型 1.0259 1.0359 0.80% 397 1.16% 404 --- --- 0.00 --- 0.00 --- ---
450006 国富强债C 债券型 1.0242 1.0342 0.79% 398 1.14% 406 --- --- 0.00 --- 0.00 --- ---
450007 国富成长 股票型 1.1784 1.1784 5.28% 145 12.74% 183 --- --- 0.00 --- 0.00 --- ---
460001 友邦盛世 股票型 0.6393 2.6907 5.17% 162 13.41% 157 ★★ ★★ 38.85 1.06 ★★★
460002 友邦成长 混合型 1.0194 1.0194 5.58% 92 13.14% 165 ★★★★ --- 30.67 0.84 ---
460003 友邦增利B 债券型 1.0911 1.1711 0.63% 406 0.32% 429 --- --- 0.00 --- 0.00 --- ---
460005 友邦价值 股票型 1.2253 1.5353 2.94% 329 12.63% 190 --- --- 0.00 --- 0.00 --- ---
460007 友邦华泰领先 股票型 0.8090 0.8090 1.63% 349 5.48% 325 --- --- 0.00 --- 0.00 --- ---
470007 添富上证指数 股票型 1.0270 1.0270 5.33% 131 12.98% 178 --- --- 0.00 --- 0.00 --- ---
470078 添富增收C 债券型 --- --- --- --- --- --- --- --- 0.00 --- 0.00 --- ---
481001 工银价值 股票型 0.4480 3.8054 4.14% 287 6.09% 323 ★★★★★ ★★★★ 31.75 0.81 ★★★★★
481004 工银成长 股票型 1.3196 1.5696 6.19% 28 14.18% 103 ★★★ --- 36.47 偏低 0.95 偏低 ★★★★
481006 工银红利 股票型 1.0205 1.0605 --- --- --- --- ★★★★ --- 35.78 偏低 0.89 ---
481008 工银蓝筹 股票型 1.3590 1.5590 4.78% 222 9.95% 280 --- --- 0.00 --- 0.00 --- ---
481009 工银300 股票型 1.2570 1.3920 5.90% 51 15.22% 48 --- --- 0.00 --- 0.00 --- ---
483003 工银平衡 混合型 0.7480 1.9645 4.75% 227 13.26% 159 ★★★ ★★★ 32.24 0.89 ★★★
485005 工银强债B 债券型 1.0542 1.2492 -7.27% 458 -6.08% 446 ★★★ --- 5.61 1.20 ---
485007 工银添利B 债券型 1.1329 1.1729 0.27% 438 1.02% 411 --- --- 0.00 --- 0.00 --- ---
485105 工银强债 债券型 1.0668 1.2618 -7.17% 457 -5.95% 445 ★★★ --- 5.62 1.16 ---
485107 工银添利A 债券型 1.1406 1.1806 0.28% 437 1.06% 410 --- --- 0.00 --- 0.00 --- ---
510050 华夏50ETF 股票型 2.5200 3.1270 5.79% 62 13.92% 126 46.63 1.27 ---
510080 长盛债券 债券型 1.2284 1.9384 1.02% 375 2.81% 359 ★★ ★★★★★ 7.95 1.97 ★★★★★
510081 长盛精选 混合型 1.2209 2.9209 5.90% 50 14.80% 66 ★★★ ★★★ 38.61 1.07
510180 华安180ETF 股票型 0.7590 2.9010 --- --- --- --- ★★ 46.62 1.26 ---
510880 红利ETF 股票型 2.6850 2.7320 7.01% 3 16.03% 28 --- 51.75 1.37 ---
519001 银华优选 股票型 1.4754 4.9894 5.46% 103 16.38% 24 ★★★★ ★★★★ 36.48 偏低 0.93 偏低 ★★★★
519003 海富收益 混合型 0.7600 2.3750 4.83% 208 11.27% 249 ★★ 32.81 1.15 ---
519005 海富股票 股票型 0.7170 2.6660 6.54% 15 13.09% 170 ★★ ★★ 38.65 1.08
519007 海富回报 混合型 0.6820 2.1780 2.56% 336 6.73% 317 31.55 1.12
519008 添富优势 混合型 2.9500 4.5100 4.30% 280 9.63% 286 ★★★ ★★★★ 33.61 0.95 偏低 ★★★★
519011 海富精选 混合型 0.8623 3.7421 4.70% 235 11.49% 239 ★★★ ★★★ 32.78 1.08 ★★
519013 海富优势 股票型 1.2700 2.0260 6.01% 39 14.93% 60 ★★★ ★★★ 40.76 1.06 ★★
519015 海富精选贰 混合型 0.6880 1.0080 4.56% 250 9.38% 290 ★★★ --- 28.96 偏低 0.97 偏低 ---
519017 大成积极成长 股票型 1.0090 2.0610 5.21% 152 14.01% 121 ★★ --- 38.41 1.06
519018 添富均衡 股票型 0.8754 2.4739 4.61% 244 13.66% 144 ★★★ ★★★ 34.67 0.92 ★★★
519021 金鼎价值 混合型 1.1530 1.8960 5.88% 54 12.38% 205 ★★★ --- 36.61 偏低 1.01 ---
519023 海富债券 债券型 1.0550 1.0550 0.48% 424 1.83% 385 --- --- 0.00 --- 0.00 --- ---
519024 海富债券A 债券型 1.0540 1.0540 0.57% 413 1.93% 382 --- --- 0.00 --- 0.00 --- ---
519025 海富领先 股票型 1.2260 1.2260 6.52% 17 13.83% 134 --- --- 0.00 --- 0.00 --- ---
519029 华夏稳增 混合型 1.5870 2.2920 4.34% 274 12.55% 192 ★★★ ★★★ 32.61 0.94 偏低 ★★★★
519035 富国天博 股票型 0.8799 3.0451 4.63% 241 11.92% 221 ★★★ --- 35.91 偏低 0.99 偏低 ★★★
519039 长盛同德 股票型 0.9331 2.6738 5.00% 183 12.46% 201 ★★★★ --- 33.42 0.88 ---
519066 添富蓝筹 混合型 1.4890 1.5190 4.13% 288 12.46% 202 --- --- 0.00 --- 0.00 --- ---
519068 添富焦点 股票型 1.2324 1.3824 4.89% 196 13.51% 152 ★★★ --- 36.62 偏低 1.01 ★★★
519069 添富价值精选 股票型 1.5580 1.5580 5.99% 40 17.05% 12 --- --- 0.00 --- 0.00 --- ---
519078 添富增收A 债券型 1.0530 1.1030 0.38% 430 0.77% 422 --- --- 0.00 --- 0.00 --- ---
519087 新华分红 混合型 0.8264 2.5203 4.71% 232 14.21% 99 ★★★ ★★★ 37.71 1.03
519089 新华成长 股票型 1.9509 2.0009 6.55% 14 16.56% 18 --- --- 0.00 --- 0.00 --- ---
519091 新华泛资源 混合型 1.0200 1.0200 5.15% 165 13.08% 171 --- --- 0.00 --- 0.00 --- ---
519100 长盛100 股票型 1.0554 1.6254 5.69% 77 13.53% 151 --- 43.98 1.21 ---
519110 浦银价值 股票型 0.9180 0.9180 5.03% 177 11.95% 218 --- --- 0.00 --- 0.00 --- ---
519111 浦银收益A 债券型 0.9990 0.9990 0.30% 431 0.30% 431 --- --- 0.00 --- 0.00 --- ---
519112 浦银收益C 债券型 1.0000 1.0000 0.40% 425 --- --- --- --- 0.00 --- 0.00 --- ---
519180 万家180 股票型 0.7836 3.1236 5.66% 83 14.06% 115 ★★ 44.46 1.21 ---
519181 万家和谐 混合型 0.6759 1.4563 3.95% 299 11.98% 216 --- 36.09 1.30
519183 万家引擎 混合型 1.5001 1.5201 5.29% 144 10.04% 278 --- --- 0.00 --- 0.00 --- ---
519185 万家精选 股票型 1.0699 1.0699 5.73% 73 11.23% 250 --- --- 0.00 --- 0.00 --- ---
519186 万家稳健增利A 债券型 1.0019 1.0019 0.16% 446 0.28% 432 --- --- 0.00 --- 0.00 --- ---
519187 万家稳健增利C 债券型 1.0010 1.0010 0.16% 445 0.25% 434 --- --- 0.00 --- 0.00 --- ---
519300 大成300 股票型 1.1487 2.4687 5.79% 63 14.78% 68 45.46 1.25 ---
519519 友邦增利A 债券型 1.0974 1.1774 0.63% 405 0.36% 428 ★★★★ ★★ 5.54 0.71 偏低 ---
519601 海富海外 股票型 --- --- --- --- --- --- --- --- 0.00 --- 0.00 --- ---
519666 银河银信B 债券型 1.0304 1.2484 0.00 452 2.08% 378 ★★★★ --- 3.97 偏低 0.69 偏低 ---
519667 银河银信A 债券型 1.0370 1.2550 0.00 453 2.12% 377 --- --- 0.00 --- 0.00 --- ---
519668 银河成长 股票型 1.5148 1.5948 4.71% 233 13.74% 138 --- --- 0.00 --- 0.00 --- ---
519670 银河行业 股票型 1.1940 1.1940 5.66% 82 15.47% 40 --- --- 0.00 --- 0.00 --- ---
519680 交银债券A 债券型 1.1189 1.1899 1.55% 352 3.74% 339 --- --- 0.00 --- 0.00 --- ---
519682 交银债券C 债券型 1.1159 1.1819 1.54% 354 3.69% 340 --- --- 0.00 --- 0.00 --- ---
519688 交银精选 股票型 1.1935 3.1893 5.36% 125 10.53% 265 ★★★★ ★★★★ 36.22 偏低 0.93 偏低 ★★★★
519690 交银稳健 混合型 2.1645 2.9945 5.35% 126 12.55% 193 ★★★★ ★★★★ 37.90 0.90 ★★★★★
519692 交银成长 股票型 2.6989 2.8789 5.41% 117 14.10% 110 ★★★★ --- 36.90 偏低 0.90 ★★★★★
519694 交银蓝筹 股票型 0.8870 0.9020 4.80% 217 11.66% 234 ★★★ --- 35.12 偏低 0.93 偏低 ---
519697 交银保本 混合型 1.0500 1.0500 1.16% 368 1.94% 381 --- --- 0.00 --- 0.00 --- ---
519698 交银先锋 股票型 1.2007 1.2007 5.46% 101 12.66% 188 --- --- 0.00 --- 0.00 --- ---
519987 长信恒利 股票型 0.9570 0.9570 3.91% 301 --- --- --- --- 0.00 --- 0.00 --- ---
519989 长信利丰 债券型 1.0120 1.0120 1.00% 379 0.80% 421 --- --- 0.00 --- 0.00 --- ---
519991 长信双利 混合型 0.9950 1.2950 4.41% 268 13.84% 132 --- --- 0.00 --- 0.00 --- ---
519993 长信增利 股票型 0.8790 2.1180 4.32% 275 8.57% 302 ★★ --- 35.98 偏低 1.03 ★★★★
519994 长信金利 股票型 0.7710 2.2764 4.54% 256 12.05% 213 ★★ ★★ 38.25 1.07
519996 长信银利 股票型 0.8013 2.7213 4.85% 202 12.54% 194 ★★ ★★★ 38.00 1.05
530001 建信价值 股票型 0.8188 2.2730 5.20% 156 13.70% 141 ★★★★ ★★★ 36.57 偏低 0.96 偏低 ★★
530003 建信成长 股票型 0.9908 2.4408 6.17% 29 15.69% 34 ★★ ★★★ 37.95 1.06
530005 建信优化 混合型 0.9473 1.4973 6.16% 30 15.40% 42 ★★★ --- 39.37 1.03
530006 建信精选 股票型 1.0820 1.6620 5.77% 65 11.78% 229 --- --- 0.00 --- 0.00 --- ---
530008 建信债券 债券型 1.1360 1.2010 0.98% 382 2.62% 363 --- --- 0.00 --- 0.00 --- ---
530009 建信强债A 债券型 1.0250 1.0250 0.89% 390 2.40% 366 --- --- 0.00 --- 0.00 --- ---
531009 建信强债C 债券型 1.0230 1.0230 0.89% 389 2.30% 368 --- --- 0.00 --- 0.00 --- ---
540001 汇丰2016 混合型 2.0158 2.1158 2.65% 335 6.49% 318 ★★ ★★★ 15.41 偏低 1.01 偏低 ---
540002 汇丰龙腾 股票型 1.7851 2.2511 5.85% 56 14.98% 56 ★★★ ★★★ 37.12 1.00 ★★
540003 汇丰策略 混合型 1.1841 1.1841 5.74% 68 14.61% 77 ★★★ --- 28.80 偏低 0.97 偏低 ---
540005 汇丰增利 债券型 0.9990 0.9990 0.23% 439 1.13% 407 --- --- 0.00 --- 0.00 --- ---
540006 汇丰晋信大盘 股票型 1.0619 1.0919 5.61% 89 13.24% 161 --- --- 0.00 --- 0.00 --- ---
550001 信诚四季红 混合型 0.9564 2.1174 5.68% 79 14.20% 101 ★★★ ★★★ 32.75 1.06