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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(%)
377010上投摩根阿尔法股票型2005-10-1155.592010-09-073.50240.00000.00-6.68168.78--78.795.05
162204泰达荷银精选股票型2004-07-0972.302010-09-072.87030.00000.00-7.18181.45414.8284.280.08
070006嘉实服务增值行业配置型2004-04-0174.562010-09-072.23400.00000.00-2.93192.03351.5782.704.25
040005华安宏利股票型2006-09-0676.192010-09-071.67950.00000.002.04220.51--91.595.35
519692交银成长股票型2006-10-2377.512010-09-071.61160.00000.003.25187.40--91.575.21
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
288001中信经典配置配置型2004-03-1561.232010-09-071.40710.00000.000.32148.77280.9959.6728.41
519690交银稳健配置型2006-06-1480.402010-09-071.28760.00000.005.22187.90--92.895.13
110001易方达平稳增长配置型2002-08-2327.242010-09-071.25700.00000.00-14.1183.79187.7154.8128.43
160605中国50配置型2004-05-1273.812010-09-071.16900.00000.00-2.75184.97433.9083.4511.11
160602普天债券基金债券型2003-07-123.422010-09-071.16500.00000.0011.9223.5141.326.8357.73
050106博时稳定A债券型2005-08-24-1.342010-09-071.16300.00000.0011.61----4.0677.22
163302摩根士坦利华鑫资源股票型2005-09-2768.902010-09-071.15980.00000.00-5.72192.26--75.680.00
001001华夏债券债券型2002-10-231.542010-09-071.15800.00000.0015.4236.1458.994.0476.70
200001长城久恒配置型2003-10-3137.192010-09-071.12700.00000.00-4.65105.40243.5659.7029.35
163801中银中国配置型2005-01-0465.022010-09-071.12610.00000.008.95174.52--72.294.32
090002大成债券基金债券型2003-06-120.982010-09-071.11120.00000.0014.1524.7241.574.9083.99
519519友邦增利A债券型2006-04-134.812010-09-071.08730.00000.0015.9317.96--18.0072.51
519666银河银信B债券型2007-03-144.672010-09-071.08550.00000.0012.47----6.8970.45
020002国泰金龙债券债券型2003-12-051.162010-09-071.07800.00000.0015.3424.8442.4310.3579.76
121001国投瑞银融华债券债券型2003-04-1642.702010-09-071.06190.00000.0013.28104.80193.6238.5652.93
162102金鹰中小盘精选配置型2004-05-2774.992010-09-071.00920.00000.0023.9192.52194.4674.4320.26
110009易方达价值精选股票型2006-06-1362.402010-09-070.99830.00000.00-4.63184.55--84.750.01
310318盛利配置配置型2004-11-299.442010-09-070.97180.00000.002.1079.55--31.8560.97

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