基金名称
|
现价05-25
|
单位净值05-25
|
升贴水值(元)
|
升贴水率
|
|
184695
|
基金景博
|
0
|
2.3689
|
-2.3689
|
-100.00%
|
184696
|
基金裕华
|
0
|
2.7906
|
-2.7906
|
-100.00%
|
184722
|
基金久嘉
|
1.842
|
2.7384
|
-0.8964
|
-32.73%
|
184699
|
基金同盛
|
1.637
|
2.4098
|
-0.7728
|
-32.07%
|
500003
|
基金安信
|
1.929
|
2.834
|
-0.905
|
-31.93%
|
500018
|
基金兴和
|
1.745
|
2.556
|
-0.811
|
-31.73%
|
184701
|
基金景福
|
1.684
|
2.4638
|
-0.7798
|
-31.65%
|
184689
|
基金普惠
|
1.96
|
2.8569
|
-0.8969
|
-31.39%
|
500056
|
基金科瑞
|
2.068
|
3.011
|
-0.943
|
-31.32%
|
184692
|
基金裕隆
|
1.805
|
2.6152
|
-0.8102
|
-30.98%
|
184693
|
基金普丰
|
1.713
|
2.4809
|
-0.7679
|
-30.95%
|
184690
|
基金同益
|
1.933
|
2.7985
|
-0.8655
|
-30.93%
|
500015
|
基金汉兴
|
1.314
|
1.8999
|
-0.5859
|
-30.84%
|
184721
|
基金丰和
|
2.022
|
2.9187
|
-0.8967
|
-30.72%
|
500009
|
基金安顺
|
1.834
|
2.645
|
-0.811
|
-30.66%
|
184728
|
基金鸿阳
|
1.508
|
2.1742
|
-0.6662
|
-30.64%
|
500005
|
基金汉盛
|
1.795
|
2.5783
|
-0.7833
|
-30.38%
|
184698
|
基金天元
|
2.02
|
2.8907
|
-0.8707
|
-30.12%
|
500006
|
基金裕阳
|
1.955
|
2.7799
|
-0.8249
|
-29.67%
|
500008
|
基金兴华
|
1.915
|
2.701
|
-0.786
|
-29.10%
|
500058
|
基金银丰
|
1.849
|
2.604
|
-0.755
|
-28.99%
|
184691
|
基金景宏
|
2.197
|
3.0347
|
-0.8377
|
-27.60%
|
500038
|
基金通乾
|
1.782
|
2.449
|
-0.667
|
-27.24%
|
500001
|
基金金泰
|
1.951
|
2.6811
|
-0.7301
|
-27.23%
|
184705
|
基金裕泽
|
1.944
|
2.5934
|
-0.6494
|
-25.04%
|
500002
|
基金泰和
|
2.05
|
2.7029
|
-0.6529
|
-24.16%
|
184688
|
基金开元
|
2.411
|
3.1048
|
-0.6938
|
-22.35%
|
184706
|
基金天华
|
1.479
|
1.8963
|
-0.4173
|
-22.01%
|
500025
|
基金汉鼎
|
1.893
|
2.2742
|
-0.3812
|
-16.76%
|
184703
|
基金金盛
|
2.47
|
2.862
|
-0.392
|
-13.70%
|
184700
|
基金鸿飞
|
2.216
|
2.5524
|
-0.3364
|
-13.18%
|
184719
|
基金融鑫
|
2.517
|
2.8828
|
-0.3658
|
-12.69%
|
184713
|
基金科翔
|
3.252
|
3.7226
|
-0.4706
|
-12.64%
|
184712
|
基金科汇
|
3.049
|
3.4874
|
-0.4384
|
-12.57%
|
184718
|
基金兴安
|
2.645
|
2.9037
|
-0.2587
|
-8.91%
|
500007
|
基金景阳
|
2.754
|
3.0199
|
-0.2659
|
-8.80%
|
184710
|
基金隆元
|
2.771
|
3.0096
|
-0.2386
|
-7.93%
|
500011
|
基金金鑫
|
2.121
|
2.2987
|
-0.1777
|
-7.73%
|
500039
|
基金同德
|
2.36
|
2.5365
|
-0.1765
|
-6.96%
|
500029
|
基金科讯
|
2.915
|
3.0964
|
-0.1814
|
-5.86%
|
184709
|
基金安久
|
2.541
|
2.6887
|
-0.1477
|
-5.49%
|
2007/05/27封闭式基金折价率排行
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