当前位置:天天基金网 >> 基金数据 >> 封闭式基金 >> 封闭式基金折价率排行7-03   

封闭式基金折价率排行7-03

天天基金网 fund.e0731.com 07-03
基金代码基金名称市价(元)(每日盘后更新)最新单位净值(元)升贴水值(元)升贴水率
184696基金裕华2.7832.9074-0.1244-4.2754%
184710基金隆元2.9103.1929-0.2829-8.8574%
184718基金兴安2.7713.0413-0.2703-8.8787%
184700基金鸿飞2.4412.7133-0.2723-10.0324%
500039基金同德2.4642.7398-0.2758-10.0631%
500007基金景阳2.8083.1244-0.3164-10.1239%
184719基金融鑫2.6002.9305-0.3305-11.2749%
500029基金科讯2.5292.8738-0.3448-11.9950%
184713基金科翔3.4103.8965-0.4865-12.4833%
184712基金科汇3.0403.4769-0.4369-12.5633%
184709基金安久2.4732.9253-0.4523-15.4588%
500025基金汉鼎1.9292.3609-0.4319-18.2904%
184703基金金盛2.5213.1397-0.6187-19.7031%
184705基金裕泽2.2802.9246-0.6446-22.0380%
184706基金天华1.5902.0480-0.4580-22.3595%
500009基金安顺2.0122.6097-0.5977-22.9001%
500008基金兴华2.2202.9019-0.6819-23.4931%
500058基金银丰1.6742.1920-0.5180-23.6314%
500002基金泰和2.3983.1514-0.7534-23.9044%
500011基金金鑫2.0042.6379-0.6339-24.0276%
184688基金开元2.4363.2514-0.8154-25.0761%
500006基金裕阳2.1802.9115-0.7315-25.1219%
184691基金景宏2.3003.0753-0.7753-25.2081%
184693基金普丰1.8292.4509-0.6219-25.3713%
184728基金鸿阳1.6302.1949-0.5649-25.7369%
184721基金丰和2.2993.0962-0.7972-25.7453%
500018基金兴和1.9382.6121-0.6741-25.8011%
500056基金科瑞2.3073.1161-0.8091-25.9628%
500003基金安信2.0542.7811-0.7271-26.1417%
184698基金天元2.1902.9675-0.7775-26.1980%
184692基金裕隆2.0642.8103-0.7463-26.5533%
184690基金同益2.1132.8795-0.7665-26.6141%
500038基金通乾1.8762.5579-0.6819-26.6557%
500015基金汉兴1.5402.1024-0.5624-26.7469%
184689基金普惠2.1552.9509-0.7959-26.9690%
184722基金久嘉2.0892.8668-0.7778-27.1288%
184699基金同盛1.8622.5560-0.6940-27.1489%
184701基金景福1.9022.6196-0.7176-27.3935%
500001基金金泰2.1272.9473-0.8203-27.8298%
500005基金汉盛2.1102.9397-0.8297-28.2215%
收藏此页到: 365Key   新浪VIVI   天极网摘   博采中心
"_blank">广告服务 | 开放式基金 | 基金净值 | 博时基金 | 南方基金 | 联系我们 | 加入收藏 | 网站地图
Copyright © 2005-2007 fund.e0731.com 天天基金网 All Rights Reserved
客服QQ:348776512 279864132    湘ICP备05017027
天天基金网所提基金资讯以及基金净值仅供参考,基金有风险,投资请慎重!