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基金名称基金分类晨星评级
(二年)
成立日期今年以来回报(%)净值日期 单位净值(元)净值日变动(元)净值日变动率(%)两年回报率(%)三年回报率(%)五年回报率(%)股票比率(%)债券比率(%)
000011华夏大盘精选股票型2004-08-11104.582010-09-074.79500.00000.0053.47442.16983.0388.624.48
002011华夏红利配置型2005-06-3074.232010-09-071.96600.00000.0015.02255.19--85.685.46
510050华夏上证50ETF股票型2004-12-3081.942010-09-071.53300.00000.00-32.89110.73--97.830.00
000021华夏优势增长股票型2006-11-2456.642010-09-071.48200.00000.00-3.60----76.694.93
159902中小板ETF股票型2006-06-0883.902010-09-071.43100.00000.007.10174.10--98.370.00
001001华夏债券债券型2002-10-231.542010-09-071.15800.00000.0015.4236.1458.994.0476.70
001003华夏债券C债券型2002-10-231.282010-09-071.14700.00000.0014.7534.9345.324.0476.70
519029华夏平稳增长配置型2006-08-0947.792010-09-071.14100.00000.00-23.14148.44--64.9816.45
001011华夏希望A债券型2008-03-107.742010-09-071.09900.00000.00------12.6176.00
001013华夏希望C债券型2008-03-107.382010-09-071.09700.00000.00------12.6176.00
002031华夏策略精选配置型2008-10-2377.622010-09-071.04500.00000.00------70.9518.32
002001华夏回报配置型2003-09-0534.022010-09-071.03400.00000.007.73192.67394.4767.9220.40
003003华夏现金增利货币市场型2004-04-071.152010-05-261.00000.00000.004.376.5910.200.0064.50
000001华夏成长股票型2001-12-1865.432010-09-070.96300.00000.00-0.13171.61318.7671.4220.33
000061华夏盛世股票型2009-12-11--2010-05-210.86800.00600.70------79.005.27
002021华夏回报二号配置型2006-08-1435.322010-09-070.83400.00000.000.68165.39--68.4020.29
160311华夏蓝筹股票型2007-04-2462.272010-09-070.82900.00000.001.15----83.694.94
000051华夏沪深300股票型2009-07-10-2.002010-05-210.78100.00200.26------93.994.38
000041华夏全球精选配置型2007-10-0946.392010-05-210.7440-0.0120-1.59------69.332.80
000031华夏复兴股票型2007-09-1098.722010-09-070.63200.00000.0029.36----88.094.77
160314华夏行业股票型2007-11-2270.232010-09-070.58600.00000.00------86.054.75

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