混合型基金增长率排行


对比 基金代码 基金名称 最新净值
2009-07-10
回报率/混合型基金排名
2009-07-10 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
000011 华夏大盘 7.9570 8.3370 0.13% 94 4.59% 2 12.48% 24 21.97% 56 60.39% 13 45.36% 1 72.44% 6 832.68% 1
163402 兴业趋势 1.2022 5.5884 0.07% 108 1.51% 94 9.67% 85 25.53% 21 53.01% 32 26.37% 14 58.37% 35 530.68% 2
002011 华夏红利 3.2060 4.0390 0.09% 101 2.26% 44 13.97% 13 30.06% 8 61.19% 10 32.53% 8 66.89% 12 503.91% 3
100020 富国天益 0.8697 3.8810 0.33% 56 2.21% 48 9.74% 83 21.65% 60 35.09% 103 6.40% 102 35.95% 106 443.66% 4
002001 华夏回报 1.3190 3.3310 0.15% 86 0.69% 125 8.56% 103 17.45% 96 26.71% 119 13.61% 69 28.93% 118 426.86% 5
070002 嘉实增长 3.8990 4.4400 0.28% 65 1.06% 116 8.85% 101 17.23% 99 39.35% 88 15.87% 57 43.61% 82 419.00% 6
519008 添富优势 2.9717 4.5317 0.34% 53 2.43% 37 14.73% 8 30.79% 6 52.04% 36 24.26% 23 50.03% 54 408.85% 7
375010 上投优势 2.4916 5.1116 -0.06% 130 2.98% 22 11.39% 48 26.39% 19 51.80% 38 3.61% 108 59.39% 34 408.82% 8
163302 大摩资源 1.8042 3.0392 0.56% 16 1.80% 77 11.68% 44 24.02% 37 54.56% 30 33.81% 5 60.62% 31 378.01% 9
240001 宝康消费 1.4165 4.1914 1.01% 1 5.39% 1 11.88% 40 26.11% 20 56.43% 23 28.30% 11 63.38% 24 372.33% 10
090001 大成价值 0.8073 3.4673 0.30% 62 1.06% 115 12.23% 32 24.54% 31 54.60% 29 19.88% 33 60.66% 30 370.55% 11
270002 广发稳健 1.5519 3.1719 0.54% 21 1.12% 112 8.90% 97 21.11% 67 55.00% 28 17.31% 42 63.24% 26 363.75% 12
270001 广发聚富 1.2255 3.5355 0.32% 58 1.14% 111 9.63% 86 22.31% 51 44.38% 63 9.76% 89 49.98% 56 363.25% 13
161601 融通新蓝筹 0.8897 3.1847 0.21% 78 -0.39% 143 10.18% 71 24.35% 35 46.57% 56 22.72% 28 49.63% 60 362.04% 14
040004 华安宝利 0.9930 3.2730 0.10% 97 1.53% 93 7.70% 116 17.38% 97 39.47% 86 17.24% 44 44.75% 78 359.82% 15
519011 海富精选 0.8660 3.7543 0.08% 107 1.36% 102 10.23% 69 20.71% 70 48.34% 48 15.25% 63 54.59% 40 350.26% 16
090004 大成精选 1.0570 2.9575 0.06% 115 3.37% 13 14.80% 7 27.73% 14 60.44% 12 24.02% 24 64.77% 18 345.74% 17
151001 银河稳健 0.9252 3.0775 0.23% 77 2.35% 40 9.82% 79 19.53% 85 43.40% 68 23.28% 27 47.49% 67 339.03% 18
240005 华宝策略 0.6917 4.2122 0.38% 44 1.96% 65 11.35% 49 22.12% 53 47.20% 54 17.00% 48 52.19% 47 336.58% 19
160603 鹏华收益 0.7980 3.2440 0.63% 11 1.92% 68 11.45% 47 21.28% 64 50.00% 44 19.28% 36 56.47% 36 331.17% 20