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收盘指数183.78
涨跌0.03
涨跌幅0.01%
较一周前均值涨跌0.26
较一周前均值涨跌幅 0.14%
52周最高 183.812008-05-14
52周最低 136.562007-05-18
历史最高 183.812008-05-14
历史最低 99.502005-01-19
HFI债券型指数
2008年5月18日 183.780.01%
同类
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%
上市日期
1宝康债券 1.1589916337.211061943.20332.750.00%0.41%2003-07-15
2交银施罗德增利债券A 1.00421032280.711036616.29324.820.01%0.40%2008-03-31
3华夏希望债券(A类) 1.0080932269.05939727.20294.460.00%0.36%2008-03-10
4嘉实理财债券 1.2090565749.78683991.48214.320.25%0.26%2003-07-09
5华夏债券(A/B类) 1.1010497692.88547959.86171.700.00%0.21%2002-10-23
6汇添富增强收益债券 1.0060504998.18508028.17159.190.00%0.20%2008-03-06
7广发增强债券 1.0030482810.69484259.12151.740.00%0.19%2008-03-27
8工银瑞信强债基金A类 1.0947433525.54474580.41148.710.01%0.18%2007-05-11
9富国天利增长债券 1.2232367942.87450067.71141.030.03%0.17%2003-12-02
10国投瑞银稳增债券 1.0149419331.10425579.14133.350.02%0.16%2008-01-11
11招商安本增利 1.1096376361.96417611.23130.860.02%0.16%2006-07-11
12中信稳定双利 1.0405360056.51374638.80117.390.06%0.14%2006-07-20
13银河银信添利债券 1.0688309643.21330946.66103.700.05%0.13%2007-03-14
14南方宝元债券型 1.1359230206.89261492.0181.940.15%0.10%2002-09-20
15博时稳定价值债券B 1.0710242602.13259826.8881.420.00%0.10%2005-08-24
16工银瑞信信用添利债B 1.0033257185.35258034.0680.850.03%0.10%2008-04-14
17泰信双息双利 1.0400236470.15245928.9677.060.06%0.09%2006-06-15
18工银瑞信强债基金B类 1.0901220136.42239970.7175.190.01%0.09%2007-05-11
19华安稳定收益A 1.0003239803.40239875.3475.160.00%0.09%2008-04-30
20易方达增强回报债券A 1.0070237635.09239298.5474.980.10%0.09%2008-03-19
21工银瑞信信用添利债A 1.0036225721.12226533.7170.980.02%0.09%2008-04-14
22兴业可转债 1.1381193497.49220219.4969.000.29%0.08%2004-05-11
23华夏债券(C类) 1.0920196308.66214369.0667.170.00%0.08%2002-10-23
24长盛债券增强 1.2538169504.79212525.1166.590.01%0.08%2003-10-25
25南方多利强债 1.0862176324.70191523.8960.010.15%0.07%2006-03-27
26大成债券A 1.0970123039.90134974.7742.290.01%0.05%2003-06-12
27嘉实超短债 1.0025124556.64124868.0339.130.01%0.05%2006-04-26
28诺安优化收益债券 1.0504103634.14108857.3034.110.06%0.04%2006-07-17
29银河收益 1.578067605.16106680.9533.430.00%0.04%2003-08-04
30易方达稳健收益B级 1.0193100671.82102614.7932.150.06%0.04%2005-09-19
31友邦华泰稳本增利A 1.019798086.25100018.5431.340.01%0.04%2006-04-13
32易方达稳健收益A级 1.017986297.5687842.2927.520.06%0.03%2005-09-19
33万家增强债券 1.003174572.1374803.3123.440.09%0.03%2004-09-28
34华安稳定收益B 1.000273272.7973287.4522.960.00%0.03%2008-04-30
35大成债券C 1.083863473.5068792.5821.560.01%0.03%2003-06-12
36易方达增强回报债券B 1.006062083.1262455.6119.570.00%0.02%2008-03-19
37国投瑞银融华基金 1.193551736.7661747.8319.350.34%0.02%2003-04-16
38友邦华泰稳本增利B 1.018758093.4659179.8118.540.01%0.02%
39融通债券 1.143051123.5858434.2618.310.09%0.02%2003-09-30
40国泰金龙债券 1.020056192.4057316.2417.960.00%0.02%2003-12-05
41博时稳定价值债券A 1.073040898.9843884.6113.750.00%0.02%2007-09-04
42招商安泰债券(A类) 1.136037582.1842693.3613.380.00%0.02%2003-04-28
43天弘永利B 1.002439812.5239908.0712.500.00%0.02%2008-04-18
44鹏华普天债券B 1.103028657.5831609.319.900.09%0.01%2003-07-12
45天弘永利A 1.002128690.2128750.469.010.00%0.01%2008-04-18
46鹏华普天债券A 1.123025217.8828319.678.870.09%0.01%2003-07-12
47招商安泰债券(B类) 1.126321515.0024232.357.590.01%0.01%2003-04-28
独家发布 Source: Hexun.com
 
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  特别声明:本指数体系及每日排行榜所使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,对由于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或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。