<h1>二〇〇七年1月七日中黄炎子孙民共和国际清算

  前值:-0.2%预期:实际:-0.5%

0.24%

日期指数涨跌额涨跌幅 2010-2-2584.05-0.6-0.71% 2010-2-2484.650.050.06% 2010-2-2384.60.750.89% 2010-2-2283.850.450.54% 2010-2-1983.41.72.08% 2010-2-1881.700.00% 2010-2-1781.70.91.11% 2010-2-1680.800.00% 2010-2-1580.81.11.38% 2010-2-1279.700.00% 2010-2-1179.70.50.63% 2010-2-1079.22.12.72% 2010-2-977.12.22.94% 2010-2-874.9-1.2-1.58% 2010-2-476.1-0.5-0.65% 2010-2-476.60.550.72% 2010-2-376.050.91.20% 2010-2-275.15-0.2-0.27% 2010-2-175.3500.00% 2010-1-2975.3500.00% 2010-1-2875.35-0.25-0.33% 2010-1-2775.6-0.4-0.53% 2010-1-2676-0.6-0.78% 2010-1-2576.6-0.55-0.71% 2010-1-2277.150.91.18% 2010-1-2176.25-0.7-0.91% 2010-1-2076.95-0.3-0.39% 2010-1-1977.2500.00% 2010-1-1877.25-0.83-1.06% 2010-1-1578.08-0.37-0.47% 2010-1-1478.450.650.84% 2010-1-1377.8-1.5-1.93% 2010-1-1279.31.62.06% 2010-1-1177.7-0.3-0.38% 2010-1-878-0.45-0.57% 2010-1-778.450.450.58% 2010-1-678-1.85#VALUE! 2010-1-579.851.41.78% 2010-1-478.4500.00% 2009-12-3178.4500.00% 2009-12-3078.45-0.65-0.82% 2009-12-2979.122.59% 2009-12-2877.100.00% 2009-12-2477.100.00% 2009-12-2377.1-0.9-1.15% 2009-12-2278-0.1-0.13% 2009-12-2178.1-0.1-0.13% 2009-12-1878.2-0.4-0.51% 2009-12-1778.60.91.16% 2009-12-1677.7-0.35-0.45% 2009-12-1578.051.51.96% 2009-12-1476.550.750.99% 2009-12-1175.8-0.2-0.26% 2009-12-10760.50.66% 2009-12-975.5-0.25-0.33% 2009-12-875.750.851.13% 2009-12-774.9-0.2-0.27% 2009-12-475.10.50.67% 2009-12-374.60.050.07% 2009-12-274.55-0.3-0.40% 2009-12-174.850.81.08% 2009-11-3074.05-0.9-1.20% 2009-11-2774.9500.00% 2009-11-2674.9500.00% 2009-11-2574.9511.35% 2009-11-2473.950.50.68% 2009-11-2373.4511.38% 2009-11-2072.450.150.21% 2009-11-1972.30.650.91% 2009-11-1871.65-0.4-0.56% 2009-11-1772.050.81.12% 2009-11-1671.250.60.85% 2009-11-1370.65-0.35-0.49% 2009-11-1271-0.95-1.32% 2009-11-1171.9522.86% 2009-11-1069.950.40.58% 2009-11-969.55-0.3-0.43% 2009-11-669.85-0.3-0.43% 2009-11-570.150.751.08% 2009-11-469.400.00% 2009-11-369.400.00% 2009-11-269.400.00%

进入【新浪财经股吧】讨论

-7.47%

  欧元区 5月季调后建筑业产出(月率)

12

汉鼎

-3.70%

-2.31%

27

-5.61%

34.47%

1.8921

13

安久

500016

48.44%

7

1.6708

-0.23%

12

39

42

-4.73%

-0.30%

33.77%

金鑫

47

45

27.76%

500029

3

52

29.74%

30

39.39%

53

31

汉盛

37

53

38.17%

14

-2.45%

-8.36%

48

36

5

2.1597

19

-4.65%

15

1.2464

24.76%

0.69%

7

28.80%

1.3811

39

31.59%

30.13%

1.1704

普丰

184720

15

1.7374

15

0.28%

裕隆

22.85%

44

0.44%

同益

39

1.8589

5

-6.95%

36.84%

36

5

1.3376

30

51

1.6672

-4.52%

51.09%

12

184703

34.69%

1.7738

-4.82%

1.3099

1.2747

21

1.2864

32.67%

11

1.2503

28.71%

35

35.28%

51

2.75%

-0.83%

27.30%

38.37%

50

-0.85%

制表:中国银河证券基金研究中心

-2.74%

36.74%

-4.70%

7

47

17

-3.05%

-1.73%

1.302

44

31

41

过去一个月(4周)

35.97%

-4.60%

-0.05%

3

-3.73%

-3.64%

52.57%

-5.13%

184698

41.14%

1.3633

普华

50

31

1.4991

50

53

500007

25.87%

51.25%

9

29

6

38

1.2994

1.9499

39

37

18

51

32.08%

43

48

9

-5.87%

0.23%

500001

-7.00%

1.4249

裕阳

16

31.03%

9

同智

20.53%

34.46%

-2.96%

1.17%

13

17

12

31.52%

-5.19%

33.36%

1.4402

47

1.3397

22

科翔

48

45

0.33%

25.53%

16

6

500002

16

1.3228

31

20

15

通乾

21.36%

40.99%

0.87%

22

25

34

50.79%

19.46%

1.50%

1.5679

-1.51%

净值增长率

184718

6

42

14

17

-4.40%

34.55%

1.4905

净值增长率

26

1.4237

30

-0.01%

0.52%

0.68%

天元

22

25

18

35.74%

41.25%

35.75%

500003

23

27.67%

3

41.27%

53

31.50%

23

38

184691

排序

27

-4.49%

29

--

25.99%

-1.73%

-0.43%

184721

1.5241

0.20%

23

34

45

兴和

28

33.95%

融鑫

1

1

1.9354

184693

1.4552

1.1155

52

1.3973

-2.23%

14

1.5607

8

32

38.04%

49.46%

50

久嘉

鸿飞

0.93%

-2.88%

500010

40

金元

36

35.21%

-4.90%

-3.95%

48

1.42%

20

29

汉博

6

43

1.2641

52

2

-0.64%

1.2271

25

-5.23%

29.63%

-6.38%

16

34

0.13%

6

10

2

30.28%

1.479

1.5689

52

32.82%

24

184738

49

184701

8

净值增长率

40

20

1.0929

27

1.3973

500009

-4.55%

1.6324

-0.03%

39

基金简称

4

27

-3.30%

26

21

32

1.0929

51

1.4747

31

1.1704

2.0838

54

29.22%

33

11

41.94%

37

1.7227

1.242

35

2.173

44

1.6114

500005

0.78%

27.03%

1.3943

33

19

21

18.68%

500019

44

-2.74%

49

0.95%

-3.18%

40.65%

科汇

-2.40%

32

32

-1.43%

1.4447

43

30.30%

39

43.54%

1.4792

49

38

184711

1.11%

32

科瑞

-0.44%

28

-5.18%

27.90%

33

53

-4.20%

184689

-0.75%

1.5889

2.4381

29

25.70%

1.3235

3.71%

2.50%

1.28

-3.72%

47

-2.21%

39.76%

40

安瑞

22

裕元

184700

14

39.69%

久富

-0.08%

25

35

1.2676

0.64%

-4.67%

50.34%

1.242

46

2

33

45

184708

-1.05%

0.03%

500011

0.47%

1.39

14

-0.46%

184706

184695

47

-5.96%

5

1.5156

0.95%

10

1.7211

1.2534

29.77%

44

6

13

184710

7

-3.14%

30

35

500039

43.90%

-2.63%

40

30

36

500025

42

43

0.29%

8

-6.42%

34.55%

1.6669

28.72%

4

-1.87%

1.7381

36

-2.25%

30.54%

28

50

24

-0.22%

7

隆元

40.37%

11

-4.65%

裕华

1

1.9367

1.5083

兴安

10

52.92%

-4.71%

同德

-6.94%

23

-3.38%

汉兴

份额净值 (元)

19.75%

-0.05%

银丰

25

500021

42.29%

序号

20

52

49

1.6095

1.1923

-6.17%

4

32

-2.22%

景业

3

22

18

景宏

2.3467

41.60%

0.62%

1

45

184728

过去三个月(13周)

36

184696

43

16

泰和

1

11

40.16%

8

37

42

-5.11%

24

-0.34%

29

41

-4.39%

-2.92%

1.198

5

32.26%

37.93%

44.29%

26

-0.19%

排序

184709

-1.78%

2.7412

排序

1.3151

1.7234

1.574

-6.30%

48

49

35

0.73%

1.7647

排序

1.28

500008

1.5043

38

36.09%

184712

46.27%

-0.13%

34

46

0.76%

18

500017

17

41

-0.46%

-3.86%

-4.12%

43.64%

27.24%

-0.54%

17

科讯

46

19

21

排序

51

21.70%

平  均

46

40.30%

34

1.4373

过去六个月(26周)

184699

--

-7.86%

11

29

42.43%

-0.54%

41

26.61%

7

-2.56%

-0.32%

1.473

1.3288

-1.23%

景博

45

50

184692

42

48

1.8499

37

-0.03%

12

22.74%

47.60%

--

-2.00%

24

-3.92%

18

-5.52%

34.49%

184688

53

184690

12

1.5496

1.66%

净值增长率

同盛

36.38%

46

40

41

普惠

34.50%

-4.55%

1.7655

1.2271

9

-3.55%

0.19%

鸿阳

21

1.5489

1.2855

31.77%

丰和

0.76%

1.25

2.1563

35.58%

43.82%

通宝

17.15%

500015

500006

13

9

    新浪声明: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。

1.3688

25

3

1.2864

份额累计净值(元)

1.4273

2

普润

34

基金代码

26

2.2892

46

44.58%

-0.12%

过去一周

500058

24

0.15%

44.70%

11

1.6869

14

20

52

23

184702

-3.48%

30.29%

19

1.06%

9

54

500056

金泰

景阳

景福

-2.06%

1.3872

21.96%

13

22

今年以来

5

28.27%

2.7219

--

-4.57%

-2.84%

37

184719

38

40

-4.01%

1.4091

10

18

16

0.07%

43.65%

23

45.01%

184722

金鼎

安顺

39.37%

0.56%

1.4449

0.08%

0.13%

27

金盛

1.5679

36.14%

-5.09%

184713

1.5469

41

51

1.5085

--

兴华

8

兴科

4

27

1.2979

26

4

-0.29%

2

1

-3.73%

-4.72%

20

15

28

-3.79%

19

1.5707

28.86%

-0.35%

17

21

28

-1.71%

33

500035

44

-4.73%

净值增长率

500013

-4.06%

500038

38

-4.52%

31

-2.58%

10

54

22.83%

1.3563

-6.33%

15

0.24%

-5.34%

1.2641

-4.76%

天华

10

-5.90%

13

49

-5.10%

-5.23%

3

4

51.57%

500018

42

裕泽

1.2897

1.6113

184705

19

-3.72%

1.5283

24

开元

26

-0.05%

2

35

安信

47

43

30

-7.57%

-0.31%

37.03%

-3.24%

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