当前位置:天天基金网 >> 基金数据 >> 开放式基金 >> 开放式基金每日净值7-11   

开放式基金每日净值7-11

天天基金网 fund.e0731.com 07-11
序号基金代码基金简称单位净值(元)累计净值(元)净值增长率%
1510180180ETF8.37208.41700.1795
2000011华夏大盘4.80504.98501.0090
3377010上投α4.48864.52860.5759
4375010上投优势4.13004.58000.7096
5159901深100ETF3.97504.0950-2.0936
6162204荷银精选3.96244.03240.6631
7110002易基策略3.94904.49900.1776
8519008添富优势3.76554.19550.5313
9070002嘉实增长3.74204.08300.7268
10200002长城久泰3.62823.68820.4124
11260104景顺内需增长3.52904.2190-0.1132
12020005国泰金马3.38203.51200.0592
13070006嘉实服务3.36403.48400.2384
14040001华安创新3.30603.53600.8542
15040002华安A股3.27803.64800.4905
16270005广发聚丰3.26483.86480.5513
17510880红利ETF3.19903.19901.0423
18240005华宝策略3.17683.29680.3063
19206001鹏华行业成长3.01263.16260.2096
20481001工银价值2.98673.3867-0.2938
21050009新兴成长2.95702.95701.0249
2251005050 ETF2.91903.52800.0686
23240008华宝收益2.77712.77710.6816
24257010德盛小盘2.77402.92400.0722
25360005光大红利2.76262.90261.0720
26040005华安宏利2.65592.73590.4919
27180010银华优质增长2.64672.6467-0.3089
28340006兴业全球2.62812.62810.0495
29150103银河银泰2.61632.94630.0000
30020001国泰金鹰增长2.57603.33900.3897
31020003国泰金龙行业2.47203.30400.1215
32255010德盛稳健2.46602.58600.1218
33519994长信金利2.42322.48320.3063
34100020富国天益2.37623.3327-0.4483
35112002易策二号2.37602.52100.2532
36519690交银稳健2.37262.42260.4573
37350002天治品质2.35632.71630.5848
38160607鹏华价值2.34002.51000.3000
39260108景顺成长2.34002.46000.0428
40110009易基价值2.32512.50510.1939
41217001招商安泰股票2.28483.10980.5413
42163803中银增长2.27982.52980.3477
43378010上投先锋2.26632.26630.3454
44162703广发小盘2.26283.22280.4840
45360006光大增长2.25112.35110.6258
46240009华宝先进2.24422.24420.1383
47090003大成蓝筹稳健2.23692.98690.4852
48519018汇添均衡2.23662.33660.2555
49202202南方避险2.22842.7224-0.3087
50260109景顺内需增长22.19102.19100.0457
51202003南方绩优成长2.18142.18140.0275
52540002汇丰龙腾2.18062.1806-0.0275
53270006广发优选2.17262.50260.5694
54160505博时主题2.16343.08440.4690
55002011华夏红利2.13802.97101.0397
56160106南方高增2.13313.0371-0.1685
57519692交银成长2.11512.11510.1847
58159902中小板2.11302.11300.4755
59162607景顺资源2.07802.73800.2412
60240004华宝动力1.96503.04500.2091
61260103景顺长城动力1.94492.78490.2733
62162207荷银效率1.94151.94150.0515
63530003建信成长1.93752.28750.5501
64290002泰信先行1.91292.7729-0.2451
65288002中信红利1.91113.31110.4837
66161609融通动力先锋1.89801.9980-0.1578
67519180万家1801.86972.69970.2843
68163804中银收益1.86011.92010.7256
69090006大成财富1.84602.11800.6543
70288001中信经典1.84562.84560.6819
71270001广发聚富1.82293.38290.7851
72233001巨田基础行业1.82112.08000.4246
73540001汇丰20161.82031.92030.0275
74100026富国天合稳健1.81131.8613-0.3795
75560002益民红利1.81082.0888-5.1987
76398001中海成长1.80842.69841.0054
77100022富国天瑞1.80322.97320.2279
78460001友邦盛世1.80072.80570.3231
79320005诺安价值1.79691.89690.1393
80217002招商安泰平衡1.78802.40300.2917
81550002信诚精萃1.77661.89660.7486
82519181万家和谐增长1.75331.85331.0140
83580002东吴动力1.73751.73750.8943
84270002广发稳健1.72003.04000.2448
85310358新经济1.71931.71930.1865
86590001中邮核心1.71332.5233-0.0758
87000021华夏优势1.71001.83000.5882
88373010上投双息1.69092.04890.3799
89200007长城安心回报1.67641.98640.5941
90162201荷银成长1.66442.74440.4830
91000001华夏成长1.64802.82900.7335
92519100长盛1001.62261.66260.2162
93253010德盛安心1.61701.88700.1859
94240002宝康配置1.61273.1527-0.0744
95163801中银中国1.60802.77800.3996
96160605鹏华中国501.59803.12800.6297
97450002国富弹性1.59192.30190.2519
98160603鹏华收益1.56802.87800.8360
99110001易基平稳1.56802.67800.1277
100161604融通深证1001.56102.63100.8398
101160610鹏华动力1.55901.55900.8409
102519007海富回报1.55702.15000.3222
103070007嘉实保本1.54901.62900.0646
104481004工银稳健1.54231.5423-0.1618
105163302巨田资源1.54232.77730.9227
106420001天弘精选1.53431.93930.6230
107070010嘉实主题1.53302.39800.0000
108519029华夏稳增1.51602.22100.5305
109519996长信银利1.51582.64580.0330
110080001长盛成长1.50702.7110-0.1325
111519003海富收益1.50602.35300.4000
112160105南方积配1.49962.55460.3413
113040004华安宝利1.49902.9390-0.0667
114290004泰信优质1.49611.78610.3353
115090004大成精选增值1.48592.88640.3309
116162208泰达荷银首选1.48401.53400.5829
117050201博时价值贰号1.48401.90400.2026
118050004博时精选1.48352.87350.1485
119161005富国天惠1.47902.6790-0.6649
120160706嘉实3001.47902.71800.2712
121020006金象保本增值1.47201.6620-0.1357
122151002银河收益1.45681.75680.2064
123090001大成价值增长1.45213.11210.1310
124050001博时增长1.44303.16300.6276
125161601新 蓝 筹1.44233.00730.2224
126519013海富优势1.44101.89700.4181
127217005招商先锋1.43662.52660.0418
128162102金鹰小盘1.43642.05640.8850
129340001兴业转基1.43102.3520-0.4660
130070001嘉实成长1.42212.9721-0.0492
131162202荷银周期1.41982.89480.5382
132002001华夏回报1.41803.02100.5674
133161606融通行业1.41202.58200.4267
134160805长盛同智1.40962.31980.5349
135519005海富股票1.39502.64700.2876
136162205荷银风险预算1.38231.85730.1449
137519017大成成长1.38202.08400.2175
138161607融通巨潮1.38002.71000.2907
139320001诺安平衡1.37932.87930.0218
140610001信达澳银增长1.36071.36070.7031
141161706招商成长1.35553.26580.5191
142257030德盛优势1.35301.35300.7446
143161903万家公用1.35212.08210.1333
144519688交银精选1.34863.00440.0371
145350001天治财富1.34582.2558-0.0297
146400001东方龙1.34052.36200.7062
147070011嘉实策略1.33601.33600.0749
148213003宝盈策略1.33191.33190.3163
149163503天治核心1.32652.33650.7213
150162203荷银稳定1.32412.8241-0.3462
151110005易基积极1.32393.72390.1210
152161605融通蓝筹1.32202.4520-0.3017
153530005建信配置1.31971.31970.4338
154202001南方稳健成长1.31723.0622-0.0152
155020008国泰混合1.31401.3390-0.3791
156166001中欧趋势1.31021.31020.3985
157200001长城久恒平衡1.30502.41500.1535
158162006长城久富1.29453.17530.3566
159530001建信价值1.29132.33550.3575
160519087新世纪优选1.29002.4810-0.0775
161240001宝康消费1.28812.94580.4993
162580001东吴嘉禾1.28602.37600.5237
163519068添富焦点1.27891.27890.2037
164121001国投融华1.27372.1257-0.0471
165161902万家保本1.26181.37880.0238
166260101景顺长城优选1.26083.0715-0.0079
167519300大成3001.25872.57870.3268
168450003国富潜力1.25771.25770.3431
169121005国投瑞银创新1.24702.15080.0241
170510080长盛债券1.24471.6747-0.0803
171210001金鹰优选1.23602.35600.3817
172310318盛利配置1.21361.61360.0907
173217009招商价值1.21121.21120.6314
174240003宝康债券1.20651.3765-0.0166
175070005嘉实债券1.18601.4860-0.0842
176100018富国天利债券1.17941.5594-0.1016
177398021中海能源1.17601.25600.4356
178519001银华优选股票1.17474.0173-0.0681
179110010易基价值成长1.17301.17300.3937
180161603融通债券1.16701.34200.0000
181002021华回报二1.16602.07800.3442
182510081长盛精选1.16092.86091.0093
183040007华安成长1.15352.46840.5930
184162605景顺鼎益1.14503.13500.0874
185519015海富通精选二号1.12801.12800.2667
186310328新动力1.12122.92570.4300
187180012银华富裕1.11821.81320.2331
188151001银河稳健1.11762.92260.0179
189202002南稳贰号1.11422.36800.3061
190360001量化核心1.11042.95410.2981
191050008博时产业1.11002.32200.2710
192540003汇丰晋信策略1.09761.0976-0.0546
193217008招商安本增利1.09551.1405-0.0274
194217003招商债券1.09491.3314-0.1095
195217203招商债券B1.08951.3260-0.1192
196202101南方宝元债券1.08072.25070.2598
197377020内需动力1.07921.07920.1578
198450001国富收益1.07731.99350.2140
199519021金鼎价值精选1.07501.72000.0931
200160611鹏华优质治理1.07101.07100.2809
201110003易基501.07052.89050.0280
202160311华夏蓝筹1.06303.19000.4726
203180002银华保本增值1.05981.0598-0.0943
204180001银华优势企业1.05952.67950.3409
205001001华夏债券A/B1.05801.28800.0000
206550001信诚四季1.05751.95050.3606
207213001宝盈鸿利1.05672.69670.0758
208288102中信双利1.05601.1360-0.0284
209570001诺德价值1.05401.05400.5533
210519035富国天博1.05372.8198-0.1516
211001003华夏债券C1.05301.2830-0.0949
212090002大成债券1.05281.26230.0285
213398011中海分红1.05022.16020.2865
214100016富国天源平衡1.04692.30750.0860
215202005南方成份精选1.04611.04610.0765
216092002大成债C1.04561.25510.0287
217410003华富成长1.04401.07400.5393
218070003嘉实稳健1.04402.87700.7722
219161610融通领先成长1.04102.68000.3857
220160602鹏华普天债券1.04101.17000.0000
221020002国泰金龙债券1.03801.20100.0000
222160608鹏华普天债券B1.03401.16300.0000
223050002博时裕富1.02703.00700.2930
224519666银河银信1.02591.02590.0097
225320003诺安股票1.02502.90850.3819
226200006长城股票1.02422.20420.0977
227050007博时平衡配置1.02202.08300.0000
228020009国泰金鹏蓝筹1.01301.89800.0988
229485105工银强债A1.00921.00920.0000
230485005工银强债B1.00851.00850.0000
231121003国投股票1.00812.44810.0695
232320004诺安债券1.00741.02200.0199
233202102南方多利1.00611.0342-0.1687
234050006博时稳定债券1.00581.03800.0099
235519011海富精选1.00583.66470.2692
236519519友邦短债1.00301.01700.0199
237110007易方达收益A1.00291.02940.0100
238110008易方达收益B1.00291.02940.0100
239070009嘉实短债1.00261.0274-0.0100
240290003泰信短债1.00231.02030.0100
241180003银华道琼斯881.00132.80130.3005
242310308盛利精选0.99972.4617-0.1498
243257020德盛精选0.99802.83900.8081
244519993长信增利0.98882.20780.1114
245483003工银精选0.98302.0003-0.0305
246121002国投景气0.98252.69550.1325
247270007广发大盘0.97550.97550.0000
248410001华富优选0.97042.51830.1341
249163402兴业趋势0.96644.47890.1658
250213002宝盈区域增长0.96102.51600.1042
251400003东方精选0.89723.02370.8770
252020010金牛创新成长未公布未公布0.0000
253630001华商领先企业未公布未公布0.0000
254260110景顺长城精选未公布未公布0.0000
255121007瑞福优先未公布未公布0.0000
256460002友邦成长未公布未公布0.0000
257240010华宝行业精选未公布未公布0.0000
258560003益民创新优势未公布未公布0.0000
259160910大成创新成长未公布未公布0.0000
收藏此页到: 365Key   新浪VIVI   天极网摘   博采中心
关于本站 | 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
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!