设为首页 加入收藏
基金数据
基金资讯
实用功能
主力数据
基金吧
开放式基金增长率排行榜 (每交易日 16:00~23:00 更新当日最新开放式基金增长率)
数据日期
2008-07-24
勾选
关注
基金
基金代码 基金名称 最新净值
2008-07-24
回报率/债券型基金排名
2008-07-24 最近一周 最近一月 最近三月 最近六月 最近一年 今年以来 成立以来
单位净值 累计净值 增长率 排名 增长率 排名 增长率 排名 增长率 排名 增长率 排名 增长率 排名 增长率 排名 增长率 排名
202101 南方宝元 1.0784 2.2984 1.28% 1 3.30% 1 2.36% 1 -4.47% 31 -7.82% 29 0.11% 29 -8.93% 30 159.14% 1
151002 银河收益 1.5435 1.8435 0.32% 2 1.11% 3 2.09% 2 -1.13% 27 -7.87% 30 3.97% 20 -8.77% 29 97.17% 4
510080 长盛债券 1.1461 1.8161 0.23% 3 1.14% 2 1.29% 3 -0.73% 25 -4.73% 28 8.26% 7 -5.61% 28 105.62% 3
121001 国投融华 1.0835 2.0355 0.21% 4 0.79% 4 0.26% 21 -8.45% 32 -20.35% 31 -11.47% 30 -20.87% 31 130.49% 2
395001 中海债券 1.0130 1.0130 0.20% 5 0.30% 9 0.30% 19 --- --- --- --- --- --- --- --- 1.30% 33
070005 嘉实债券 1.1690 1.5790 0.17% 6 0.60% 5 0.69% 4 -2.01% 30 -3.31% 27 4.64% 18 -4.49% 26 66.79% 6
240003 宝康债券 1.1469 1.5469 0.16% 7 0.26% 12 0.19% 28 -0.47% 22 -0.34% 20 12.83% 1 -0.67% 18 63.33% 7
217008 招商安本 1.1004 1.2004 0.13% 8 0.59% 6 0.22% 24 -0.47% 23 -2.61% 26 3.65% 24 -4.66% 27 20.45% 18
519519 友邦增利A 1.0230 1.0560 0.11% 9 0.32% 8 0.35% 13 0.59% 9 1.93% 5 3.83% 22 2.14% 4 5.71% 31
001003 华夏债券C 1.0740 1.3840 0.09% 10 0.09% 31 -1.65% 41 -1.56% 29 -0.93% 22 6.15% 14 -0.93% 19 27.10% 15
050006 博时稳定 1.0750 1.1130 0.09% 11 0.09% 32 0.09% 38 0.47% 11 0.94% 15 --- --- 0.75% 15 7.50% 26
160608 鹏华债券B 1.1080 1.2370 0.09% 12 0.27% 10 0.45% 8 1.00% 4 2.03% 4 6.64% 11 2.21% 3 15.65% 19
160602 鹏华债券 1.1290 1.2580 0.09% 13 0.27% 11 0.53% 5 1.16% 3 2.54% 2 7.93% 8 2.82% 2 27.86% 14
320004 诺安债券 1.0313 1.0809 0.08% 14 0.25% 13 0.22% 23 -0.56% 24 -0.31% 18 5.76% 16 -0.48% 16 8.20% 25
100018 富国天利 1.1863 1.7113 0.08% 15 0.17% 19 0.17% 32 -1.23% 28 -1.91% 25 10.41% 2 -2.64% 25 87.36% 5
110007 易基债券A 1.0241 1.0607 0.06% 16 0.16% 24 0.42% 11 0.92% 6 1.63% 7 3.06% 26 1.76% 8 6.10% 30
420002 天弘债券A 1.0093 1.0093 0.05% 17 0.16% 23 0.31% 16 --- --- --- --- --- --- --- --- 0.93% 36
288102 中信双利 1.0137 1.2317 0.05% 18 0.25% 14 0.34% 15 0.27% 19 -0.93% 23 7.38% 9 -1.42% 23 24.55% 17
110008 易基债券B 1.0261 1.0627 0.05% 19 0.16% 25 0.44% 9 0.98% 5 1.79% 6 2.73% 27 1.93% 7 6.24% 28
519666 银河银信 1.0381 1.1271 0.05% 20 0.21% 16 0.43% 10 0.60% 8 -0.56% 21 8.33% 6 -1.14% 21 12.83% 21
202102 南方多利 1.0718 1.0999 0.05% 21 0.38% 7 0.30% 17 -0.91% 26 -1.15% 24 6.37% 12 -1.55% 24 10.21% 24
161902 万家债券 1.0094 1.4458 0.04% 22 0.01% 41 0.23% 22 1.34% 1 -0.31% 19 6.12% 15 -0.53% 17 49.33% 8
290003 泰信双息 1.0366 1.0609 0.04% 23 0.23% 15 0.39% 12 0.26% 20 1.08% 14 3.85% 21 1.01% 14 6.20% 29
410005 华富收益B 1.0057 1.0057 0.02% 24 0.16% 21 0.48% 7 --- --- --- --- --- --- --- --- 0.57% 40
410004 华富收益A 1.0063 1.0063 0.02% 25 0.16% 22 0.51% 6 --- --- --- --- --- --- --- --- 0.63% 39
121009 国投增利 1.0184 1.0184 0.02% 26 0.17% 20 0.34% 14 0.52% 10 --- --- --- --- --- --- 1.84% 32
485005 工银强债B 1.0922 1.1122 0.02% 27 0.08% 37 0.17% 33 0.31% 18 0.20% 17 8.46% 5 -1.36% 22 11.20% 23
485105 工银强债 1.0977 1.1177 0.02% 28 0.09% 34 0.20% 25 0.42% 14 0.41% 16 8.92% 3 -1.13% 20 11.76% 22
217203 招商债券B 1.1296 1.3661 0.02% 29 0.05% 39 0.02% 40 0.36% 16 1.35% 11 3.36% 25 1.14% 12 26.11% 16
217003 招商债券 1.1401 1.3766 0.02% 30 0.06% 38 0.04% 39 0.44% 13 1.57% 9 3.80% 23 1.41% 11 41.68% 10
092002 大成债券C 1.0158 1.3158 0.01% 31 0.09% 36 0.12% 36 0.35% 17 1.33% 12 5.57% 17 1.73% 10 14.01% 20
090002 大成债券 1.0300 1.3300 0.01% 32 0.10% 30 0.15% 34 0.46% 12 1.61% 8 6.20% 13 2.05% 6 37.67% 12
070009 嘉实短债 1.0020 1.0688 0.00 33 0.05% 40 0.14% 35 0.64% 7 1.51% 10 4.00% 19 1.75% 9 7.07% 27
001001 华夏债券 1.0830 1.3930 0.00 33 0.09% 33 0.19% 30 0.37% 15 1.10% 13 8.47% 4 1.10% 13 45.23% 9
020002 国泰债券 1.0280 1.2770 0.00 33 0.10% 29 0.29% 20 1.18% 2 2.68% 1 7.32% 10 2.87% 1 30.00% 13
161603 融通债券 1.1380 1.3630 0.00 33 0.18% 18 0.18% 31 -0.18% 21 2.39% 3 1.78% 28 2.13% 5 40.42% 11
001011 华夏希望A 1.0120 1.0120 0.00 33 0.10% 28 0.30% 18 --- --- --- --- --- --- --- --- 1.20% 34
110017 易方达强债A 1.0080 1.0080 0.00 33 0.20% 17 0.10% 37 --- --- --- --- --- --- --- --- 0.80% 37
001013 华夏希望C 1.0110 1.0110 0.00 33 0.10% 27 0.20% 27 --- --- --- --- --- --- --- --- 1.10% 35
270009 广发强债 1.0080 1.0080 0.00 33 0.10% 26 0.20% 26 --- --- --- --- --- --- --- --- 0.80% 38
213007 宝盈债券 1.0051 1.0051 -0.01% 41 0.09% 35 0.19% 29 --- --- --- --- --- --- --- --- 0.51% 41

免责声明:本站所载数据仅供参考,若数据有误,以交易所发布数据为准,不对您构成投资建议。


将天天基金网设为上网首页吗?      将天天基金网添加到收藏夹吗?

免责声明    关于我们    征稿启事    广告服务    联系我们    友情链接    服务条款    法律声明    意见与建议

 网络实名:东方财富网    通用网址:东方财富网    建议及投诉热线:021-51703036
 
[沪ICP证:沪B2-20070217] 版权所有: 东方财富网