今日HFI66成分基金排行 数据截至日期:2012年5月16日
基金管理有限公司 历史日期 基金代码表
基金类别 基金排名 基金名称 单位净值(元)
基金规模(万份)
基金净值(万元)
HFI指数值
同期变动
占当日总净值%
货币市场型1博时现金收益 1.00002674875.412689998.46842.890.03%1.18%
货币市场型2华夏现金增利 1.00002545847.422560232.83802.230.03%1.13%
股票型指数型3华夏上证50 1.81401240656.682250551.21705.200.06%0.99%
股票型指数型4易方达50指数 0.68523093662.502119777.55664.220.10%0.93%
货币市场型5招商现金增值A 1.00001603843.271613360.23505.540.03%0.71%
配置型平衡型6博时价值增长 0.74402125961.041581715.01495.620.40%0.70%
货币市场型7南方现金增利A 1.00001560603.351569481.30491.790.04%0.69%
保本型8南方避险增值 2.4360472069.181149960.53360.330.14%0.51%
配置型价值型9大成蓝筹稳健 0.65651639383.081076255.00337.240.32%0.47%
配置型价值型10嘉实理财稳健 0.78301344055.901052395.77329.760.26%0.46%
配置型价值型11华夏回报 1.2540817517.111025166.46321.230.32%0.45%
股票型指数型12博时沪深300指数 0.71621392530.35997330.24312.510.07%0.44%
股票型成长型13华夏成长 0.9590972158.82932300.31292.130.52%0.41%
股票型平衡型14光大量化核心 0.79181166173.19923375.94289.330.15%0.41%
配置型平衡型15海富通精选 0.61461477981.31908367.31284.630.10%0.40%
股票型平衡型16博时精选 1.2786696108.05890043.75278.890.15%0.39%
配置型价值型17大成价值增长 0.71341203742.90858750.18269.080.24%0.38%
配置型平衡型18广发稳健增长 1.3260520782.05690557.00216.380.17%0.30%
配置型成长型19嘉实服务增值行业 3.8430177583.27682452.51213.840.26%0.30%
配置型平衡型20诺安平衡 0.6534959283.84626796.06196.400.14%0.28%
股票型成长型21华安创新 0.6140968209.49594480.63186.280.16%0.26%
配置型平衡型22上投摩根中国优势 1.9185297394.61570551.56178.780.34%0.25%
配置型平衡型23广发聚富 1.0800474359.05512307.78160.530.09%0.23%
配置型平衡型24华夏大盘精选 10.700046272.41495114.81155.140.00%0.22%
股票型指数型25华安中国A股 0.7100694957.21493419.62154.610.14%0.22%
配置型平衡型26招商先锋 0.6017792599.71476907.25149.440.05%0.21%
配置型平衡型27嘉实成长收益 0.6816685936.11467534.05146.500.50%0.21%
配置型价值型28华安宝利配置 1.0240455340.58466268.76146.100.00%0.20%
股票型平衡型29华宝兴业多策略 0.4970910940.72452737.54141.860.36%0.20%
股票型平衡型30易方达策略成长 3.3560128531.65431352.21135.160.51%0.19%
配置型平衡型31鹏华中国50 1.1690364780.89426428.86133.620.26%0.19%
股票型平衡型32南方稳健成长 0.8289507754.80420877.95131.880.25%0.19%
债券型33兴全可转债混合 1.0473399256.22418141.04131.020.12%0.18%
货币市场型34华安现金富利A 1.0000351170.57353090.39110.640.03%0.16%
配置型平衡型35国投瑞银景气基金 0.8340404984.06337756.71105.830.46%0.15%
债券型36招商安泰债券A 1.1316294151.64332861.99104.300.29%0.15%
保本型37银华保本增值 1.0173312374.22317778.3099.570.13%0.14%
配置型平衡型38海富通收益增长 0.6940435455.40302206.0594.690.29%0.13%
股票型平衡型39泰达宏利精选 3.304088829.88293493.9191.960.66%0.13%
配置型平衡型40银河银泰理财 0.9735286135.29278552.7087.280.11%0.12%
配置型成长型41融通行业景气 0.7040387111.28272526.3485.390.86%0.12%
配置型成长型42国泰金鹰增长 0.7940315148.88250228.2178.410.13%0.11%
股票型成长型43宝康消费品 1.2980191825.75248989.8378.020.32%0.11%
股票型平衡型44景顺长城内需增长 3.292072673.97239242.7074.970.12%0.11%
配置型平衡型45易方达平稳增长 1.2250177134.02216989.1867.990.16%0.10%
债券型46富国天利增长债券 1.2025179093.54215359.9867.480.15%0.09%
配置型平衡型47南方积极配置 0.9434194162.34183172.7557.400.28%0.08%
股票型成长型48德盛小盘精选 0.7380239664.38176872.3155.420.27%0.08%
股票型指数型49长城久泰沪深300 1.0251167562.42171768.2353.820.08%0.08%
债券型50华夏债券A/B 1.0690144368.17154329.5748.360.09%0.07%
股票型平衡型51申万菱信盛利精选 0.8008182239.47145937.3645.730.31%0.06%
配置型平衡型52华夏经典 0.9700146135.09141751.0344.420.52%0.06%
债券型53南方宝元 1.1741118647.34139303.8443.650.14%0.06%
配置型平衡型54长盛动态精选 0.9461131152.77124083.6438.880.17%0.05%
配置型成长型55东方龙 0.6584177829.39117082.8736.690.24%0.05%
债券型56国投瑞银融华基金 1.175681569.4795893.0730.050.55%0.04%
配置型成长型57鹏华行业成长 0.9159100196.7591770.2128.760.05%0.04%
股票型平衡型58招商安泰 0.3429141255.2148436.4115.180.38%0.02%
债券型59万家增强债券 1.088743361.2047207.3414.790.12%0.02%
债券型60长盛债券增强 1.144332457.0537140.6011.640.09%0.02%
债券型61宝康债券 1.140226041.8829692.959.300.07%0.01%
债券型62融通债券A 1.051019968.7720987.176.580.38%0.01%
配置型价值型63长城久恒 1.163015279.2217769.735.570.09%0.01%
配置型平衡型64德盛稳健 0.834017200.1214344.904.490.12%0.01%
股票型成长型65大摩基础 0.426116657.087097.582.220.17%0.00%
配置型成长型66申万菱信盛利配置 0.98675188.435119.421.600.12%0.00%
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特别声明:本指数体系及每日排行榜所用的数据均来自中国证监会及其指定信息披露媒体,和讯公司不保证所引用数据的准确性和完整性,对由数据的错误而造成的分析偏差不负责任。本文并不构成买卖基金和其它相关业务的依据,对读者由于本产品或工具所附观点而进行买卖基金或其它相关业务的盈亏后果不负任何责任。

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