当前位置:动力基金网    估值日期: 2008-05-01
 
序号基金代码基金名称昨日公布净值今日估算净值估算增涨额估算增涨率
1000001华夏成长基金1.41601.47280.05684.01%
2000011华夏大盘基金6.24506.46050.21553.45%
3000021华夏优势基金2.14702.22640.07943.70%
4000041华夏全球基金0------0.00
5001001华夏债券基金1.10001.0999-0.0001-0.01%
6001003华夏债券C基金1.09201.0919-0.0001-0.01%
7001011华夏希望A基金0---------
8001013华夏希望C基金1.0060---------
9002001华夏回报基金1.24601.27650.03052.45%
10002011华夏红利基金2.69202.78490.09293.45%
11002021华夏回报贰基金1.01201.03780.02582.55%
12020001国泰金鹰基金0.89100.91970.02873.22%
13020002国泰债券基金1.01701.01710.00010.01%
14020003国泰精选基金0.87900.90480.02582.93%
15020005国泰金马基金0.88900.92570.03674.13%
16020008国泰金鹿基金1.48501.49790.01290.87%
17020009国泰金鹏基金1.09501.14000.04504.11%
18020010国泰金牛基金1.04201.08840.04644.45%
19020011国泰300基金0.77400.80910.03514.54%
20040001华安创新基金0.81200.83810.02613.22%
21040002华安A股基金1.04701.09440.04744.53%
22040004华安宝利基金0.96000.99070.03073.20%
23040005华安宏利基金2.58632.68150.09523.68%
24040007华安中小盘基金1.26311.31100.04793.79%
25040008华安优选基金0.83440.86390.02953.53%
26040009华安债券A基金0---------
27040010华安债券B基金0---------
28050001博时增长基金0.81500.84110.02613.20%
29050002博时裕富基金1.05701.10420.04724.47%
30050004博时精选基金1.71071.77140.06073.55%
31050006博时稳定基金1.07201.07290.00090.08%
32050007博时平衡基金1.11501.12590.01090.98%
33050008博时第三产业基金1.21901.25520.03622.97%
34050009博时新兴成长基金0.89700.92340.02642.94%
35050010博时特许价值基金0---------
36050201博时价值贰基金0.80600.82220.01622.01%
37070001嘉实成长基金0.87350.90490.03143.59%
38070002嘉实增长基金3.99804.10910.11112.78%
39070003嘉实稳健基金1.15701.18870.03172.74%
40070005嘉实债券基金1.20401.20790.00390.32%
41070006嘉实服务基金3.49203.63200.14004.01%
42070009嘉实短债基金1.00391.00390.00000.00
43070010嘉实主题基金1.13201.17570.04373.86%
44070011嘉实策略基金1.35801.40440.04643.42%
45070012嘉实海外基金0---------
46070013嘉实精选基金0---------
47070099嘉实优质基金0.85100.88440.03343.92%
48080001长盛成长价值基金0.92700.96060.03363.62%
49080002长盛创新基金0---------
50090001大成价值基金0.81350.84210.02863.51%
51090002大成债券基金1.0966---------
52090003大成蓝筹基金0.84880.88440.03564.19%
53090004大成精选基金1.04431.08130.03703.54%
54090006大成2020基金0.77400.80490.03093.99%
55092002大成债券C基金1.08361.08360.00000.00
56100016富国平衡基金1.06121.08900.02782.62%
57100018富国天利基金1.22161.22180.00020.02%
58100020富国天益基金0.95060.98470.03413.59%
59100022富国天瑞基金0.83190.86700.03514.22%
60100026富国天合基金0.88870.92550.03684.14%
61100029富国天成基金0---------
62110001易基平稳基金1.62701.67500.04802.95%
63110002易基策略基金3.96104.11900.15803.99%
64110003易基50基金1.11991.17800.05815.19%
65110005易基积极基金1.31081.35900.04823.68%
66110007易基月月收益A基金1.01601.01600.00000.00
67110008易基月月收益B基金1.01741.01740.00000.00
68110009易基价值精选基金2.41362.51180.09824.07%
69110010易基价值成长基金1.31791.37110.05324.04%
70110017易方达强债A基金1.0060---------
71110018易方达强债B基金1.0050---------
72110029易方达科讯基金0.86300.88980.02683.11%
73112002易基策略贰基金1.44601.50140.05543.83%
74121001国投融华基金1.19021.20700.01681.41%
75121002国投景气基金0.84550.87050.02502.96%
76121003国投核心基金1.07381.11550.04173.88%
77121005国投创新基金1.32261.37520.05263.98%
78121008国投成长基金0.86410.8522-0.0119-1.38%
79121009国投债券基金1.01401.0137-0.0003-0.03%
80150103银河银泰基金0.85940.8496-0.0098-1.14%
81151001银河稳健基金0.86960.8595-0.0101-1.16%
82151002银河收益基金1.57341.5652-0.0082-0.52%
83159901深100ETF基金4.02803.9382-0.0898-2.23%
84159902中小板ETF基金2.25802.2108-0.0472-2.09%
85160105南方积配基金1.31671.3018-0.0149-1.13%
86160106南方高增基金2.24902.2110-0.0380-1.69%
87160311华夏蓝筹基金1.17001.1484-0.0216-1.85%
88160314华夏行业基金0.84800.8390-0.0090-1.06%
89160505博时主题基金1.99901.9724-0.0266-1.33%
90160602鹏华债券基金1.11801.11800.00000.00
91160603鹏华收益基金0.78600.7721-0.0139-1.77%
92160605鹏华50基金1.73801.7093-0.0287-1.65%
93160607鹏华价值基金0.86200.8464-0.0156-1.81%
94160608鹏华债券B基金1.09901.0989-0.0001-0.01%
95160610鹏华动力基金1.64301.6078-0.0352-2.14%
96160611鹏华治理基金1.08901.0707-0.0183-1.68%
97160612鹏华丰收基金0---------
98160706嘉实300基金0.96300.9451-0.0179-1.86%
99160805长盛同智基金0.98500.9695-0.0155-1.57%
100160910大成创新成长基金0.92400.9131-0.0109-1.18%
101161005富国天惠基金1.40291.3805-0.0224-1.60%
102161601融通新蓝筹基金0.80150.7912-0.0103-1.28%
103161603融通债券基金1.14001.1390-0.0010-0.09%
104161604融通100基金1.48501.4544-0.0306-2.06%
105161605融通蓝筹基金1.40001.3857-0.0143-1.02%
106161606融通行业基金0.99800.9805-0.0175-1.75%
107161607融通巨潮基金1.21001.1862-0.0238-1.97%
108161609融通动力基金1.68601.6612-0.0248-1.47%
109161610融通领先基金1.12801.1089-0.0191-1.69%
110161706招商成长基金1.42541.3979-0.0275-1.93%
111161902万家债券基金0.99750.9964-0.0011-0.11%
112161903万家公用基金0.78150.7738-0.0077-0.98%
113162006长城久富基金1.43521.4181-0.0171-1.19%
114162102金鹰小盘基金1.33771.3242-0.0135-1.01%
115162201合丰成长基金1.85841.8417-0.0167-0.90%
116162202合丰周期基金1.64481.6211-0.0237-1.44%
117162203合丰稳定基金1.35541.3382-0.0172-1.27%
118162204荷银精选基金4.22604.1656-0.0604-1.43%
119162205荷银预算基金1.35481.3446-0.0102-0.75%
120162207荷银效率基金0.80710.7972-0.0099-1.23%
121162208荷银首选基金1.56951.5419-0.0276-1.76%
122162209荷银市值基金0.78550.7706-0.0149-1.90%
123162605景顺鼎益基金1.25601.2360-0.0200-1.59%
124162607景顺资源基金0.87900.8648-0.0142-1.62%
125162703广发小盘基金2.15742.1259-0.0315-1.46%
126163302巨田资源基金1.57451.5518-0.0227-1.44%
127163402兴业趋势基金1.14811.1346-0.0135-1.18%
128163503天治核心基金0.65560.6448-0.0108-1.65%
129163801中银中国基金1.76681.7438-0.0230-1.30%
130163803中银增长基金0.96430.9557-0.0086-0.89%
131163804中银收益基金0.88690.8778-0.0091-1.03%
132163805中银策略基金1.0061---------
133166001中欧趋势基金1.26341.2429-0.0205-1.62%
134180001银华优势基金1.09391.0807-0.0132-1.21%
135180002银华保本基金1.15461.1516-0.0030-0.26%
136180003银华88基金1.00650.9923-0.0142-1.41%
137180010银华优质基金1.78771.7578-0.0299-1.67%
138180012银华富裕基金0.95710.9421-0.0150-1.57%
139183001银华全球基金0---------
140200001长城久恒基金1.47701.4622-0.0148-1.00%
141200002长城久泰基金1.41811.3916-0.0265-1.87%
142200006长城消费基金0.88860.8765-0.0121-1.36%
143200007长城回报基金0.79060.7780-0.0126-1.60%
144200008长城品牌基金0.95820.9448-0.0134-1.40%
145202001南方稳健基金1.30521.2946-0.0106-0.81%
146202002南稳贰号基金1.12171.1153-0.0064-0.57%
147202003南方绩优基金2.36682.3138-0.0530-2.24%
148202005南方成份基金1.11831.1009-0.0174-1.56%
149202007南方隆元基金0.81800.8047-0.0133-1.62%
150202101南方宝元基金1.13001.1253-0.0047-0.42%
151202102南方多利基金1.08301.0822-0.0008-0.07%
152202202南方避险基金2.27532.2546-0.0207-0.91%
153202801南方全球基金0---------
154206001鹏华成长基金0.88160.8718-0.0098-1.11%
155210001金鹰优选基金0.81610.8022-0.0139-1.70%
156213001宝盈鸿利基金0.81250.8082-0.0043-0.53%
157213002宝盈泛沿海基金0.81880.8091-0.0097-1.19%
158213003宝盈策略基金1.25081.2383-0.0125-1.00%
159213007宝盈债券基金0---------
160213008宝盈资源基金0---------
161217001招商股票基金0.85780.8494-0.0084-0.98%
162217002招商平衡基金1.89821.8874-0.0108-0.57%
163217003招商债券基金1.13491.13490.00000.00
164217005招商先锋基金0.81630.8051-0.0112-1.37%
165217008招商安本基金1.10561.1015-0.0041-0.37%
166217009招商价值基金1.30001.2798-0.0202-1.55%
167217203招商债券B基金1.12541.12540.00000.00
168233001巨田基础基金0.89590.8897-0.0062-0.69%
169240001宝康消费基金1.37571.3531-0.0226-1.64%
170240002宝康配置基金1.63471.6200-0.0147-0.90%
171240003宝康债券基金1.15801.1573-0.0007-0.06%
172240004华宝动力基金0.93000.9187-0.0113-1.22%
173240005华宝策略基金0.66320.6567