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2007年12月31日基金资产净值和份额净值数据一览

[日期:2008-01-03] 来源:  作者: [字体: ]

 2007年12月31日基金资产净值和份额净值数据一览
    (数据来源:银河证券基金研究中心) 

基金代码        基金简称                        基金资产净值(元)                    份额净值(元)

000001    华夏成长                        12,768,966,995.07    2.2120

000011    华夏大盘精选                    5,630,721,618.58     7.3110

000021    华夏优势增长                    27,079,336,300.78    2.5690

000031    华夏复兴                        5,059,003,159.49     1.0120

000041    华夏全球                        26,652,935,332.52    0.8930

001001    华夏债券(A/B类)            5,037,587,011.57     1.1110

001003    华夏债券(C类)                1,591,502,122.72     1.1040

002001    华夏回报                        20,439,568,010.65    1.4010

002011    华夏红利                        26,463,632,510.34    3.1280

002021    华夏回报二号                    11,371,459,779.17    1.2420

003003    华夏现金增利                    11,286,195,792.67        

020001    国泰金鹰增长                    1,152,010,295.60     3.6540

020002    国泰金龙债券                    168,825,891.96         1.0850

020003    国泰金龙行业精选                783,165,112.61         3.4230

020005    国泰金马稳健回报                10,074,572,782.23    1.0690

020007    国泰货币                        383,724,519.71             

020008    国泰金鹿保本增值                1,431,797,789.41     1.6370

020009    国泰金鹏蓝筹价值                4,635,400,715.75     1.3400

020010    国泰金牛创新成长                7,710,760,574.84     1.3070

020011    国泰沪深300指数             6,404,687,585.31     1.0030

040001    华安创新                        14,415,317,074.83    0.9970

040002    华安中国A股指数                6,386,096,840.97     4.5190

040003    华安富利                        6,138,760,285.00         

040004    华安宝利配置                    3,234,899,997.13     1.1490

040005    华安宏利                        16,640,603,735.18    3.1774

040007    华安中小盘成长                 19,544,161,732.53    1.5854

040008    华安策略优选                    23,378,518,955.74    1.0492

050001    博时价值增长                    36,088,479,245.59    1.0370

050002    博时裕富指数                    24,940,362,048.17    1.4090

050003    博时现金收益                    3,467,407,083.37         

050004    博时精选                        29,481,774,865.68    2.1759

050006    博时稳定价值债券(B类)        1,853,873,329.07     1.0670

050007    博时平衡配置                    4,711,678,316.92     1.2650

050008    博时第三产业成长                21,900,911,285.08    1.5030

050009    博时新兴成长                    33,001,946,213.52    1.1170

050106    博时稳定价值债券(A类)        284,197,260.02         1.0680

050201    博时价值增长贰号                14,024,135,792.17    0.9910

070001    嘉实成长收益                    5,763,013,028.75     1.8597

070002    嘉实理财通增长                 2,879,528,330.31     4.7160

070003    嘉实理财通稳健                 38,104,650,434.09    1.3850

070005    嘉实理财通债券                 6,016,275,412.68     1.2240

070006    嘉实服务增值                    10,121,936,084.56    4.3610

070008    嘉实货币                        25,888,134,595.56        

070009    嘉实超短债                     353,565,319.25         1.0012

070010    嘉实主题精选                    13,762,850,645.31    1.7550

070011    嘉实策略增长                    18,472,873,331.34    1.7640

070012    嘉实海外中国股票(QDII)    26,165,355,299.33    0.8790

070099    嘉实优质企业                    4,149,525,340.58     1.0290

080001    长盛成长价值                    1,923,656,133.36     1.1710

080011    长盛货币                        227,413,595.78             

090001    大成价值增长                    16,347,672,615.23    0.9980

090002    大成债券(A/B类)            766,424,925.57         1.0788

090003    大成蓝筹稳健                    27,386,755,931.13    1.1448

090004    大成精选增值                    6,946,468,135.17     2.0156

090005    大成货币(A级)                481,026,468.89             

090006    大成2020生命周期            17,460,637,732.43    1.0050

091005    大成货币(B级)                1,022,917,991.28         

092002    大成债券(C类)                77,644,742.67                

100016    富国天源平衡                    1,477,891,594.96     1.2688

基金代码        基金简称                        基金资产净值(元)                    份额净值(元)

100018    富国天利增长债券                3,543,111,195.00     1.2545

100020    富国天益价值                    13,384,602,270.11    1.1388

100022    富国天瑞强势地区                1,550,043,810.51     2.2566

100025    富国天时货币(A级)            192,159,350.28             

100026    富国天合稳健优选                6,299,926,451.27     1.0633

100028    富国天时货币(B级)            300,000,000.00             

110001    易方达平稳增长                 8,013,907,230.98     1.9450

110002    易方达策略成长                 15,262,673,726.87    5.2390

110003    易方达50指数                 32,999,660,123.55    1.4651

110005    易方达积极成长                 18,016,363,126.11    1.7133

110006    易方达货币(A级)             1,488,288,447.53         

110007    易方达月月收益(A级)         308,253,018.17         1.0114

110008    易方达月月收益(B级)         267,585,081.17         1.0117

110009    易方达价值精选                 16,143,808,044.02    3.1680

110010    易方达价值成长                 37,042,757,576.60    1.6086

110016    易方达货币(B级)             950,329,351.46             

110029    易方达科讯                     2,218,583,927.21     2.7732

112002    易方达策略成长二号             13,493,315,622.23    1.9000

121001    国投瑞银融华债券                748,019,827.75         1.4884

121002    国投瑞银景气行业                5,326,857,855.92     1.0037

121003    国投瑞银核心企业                15,713,231,197.10    1.3200

121005    国投瑞银创新动力                6,153,852,670.76     1.6069

121007    国投瑞银瑞福优先                和瑞福进取合并统计                        

121099    国投瑞银瑞福分级                7,325,226,688.92     1.2210

150002    大成优选                        5,549,575,383.15     1.1870

150005    银河银富货币(A级)            142,565,544.80             

150015    银河银富货币(B级)            312,544,816.44             

150103    银河银泰理财分红                5,363,711,974.15     1.1226

151001    银河银联稳健                    2,122,990,383.69     1.4932

151002    银河银联收益                    772,180,845.98         1.6920

159901    易方达深证100ETF         6,256,385,033.40     5.4110

159902    华夏中小板股票ETF            5,309,223,049.90     2.9760

160105    南方积极配置(LOF)         7,247,009,768.48     2.0498

160106    南方高增长(LOF)            12,677,918,961.57    2.9350

160311    华夏蓝筹核心(LOF)         29,402,271,040.50    1.4190

160314    华夏行业精选(LOF)         14,399,505,217.15    1.0110

160505    博时主题行业(LOF)         31,643,054,746.94    2.5510

160602    鹏华普天债券(A类)            123,248,747.50         1.0980

160603    鹏华普天收益                    3,747,969,253.17     1.0570

160605    鹏华中国50                    8,017,733,528.17     2.2330

160606    鹏华货币(A级)                465,924,147.43             

160607    鹏华价值优势(LOF)         14,536,856,637.91    1.0850

160608    鹏华普天债券(B类)            215,408,883.73         1.0840

160609    鹏华货币(B级)                177,132,681.02             

160610    鹏华动力增长(LOF)         15,554,035,417.87    2.1270

160611    鹏华优质治理(LOF)         17,698,241,227.44    1.4490

160706    嘉实沪深300指数(LOF)    39,342,015,612.47    1.3270

160805    长盛同智优势成长(LOF)     8,757,137,483.85     1.9137

160910    大成创新成长(LOF)         24,742,350,877.99    1.3260

161005    富国天惠精选成长(LOF)     4,504,666,169.18     2.0913

161601    融通新蓝筹                     26,323,984,813.49    1.0782

161603    融通债券                        233,694,310.81         1.1630

161604    融通深证100指数             12,369,878,042.75    1.9550

161605    融通蓝筹成长                    7,598,160,890.39     1.8950

161606    融通行业景气                    8,011,708,335.24     1.3610

161607    融通巨潮100指数(LOF)    5,291,547,564.49     1.7900

161608    融通易支付货币                 360,156,695.48             

161609    融通动力先锋                    10,701,271,599.77    2.7700

基金代码        基金简称                     基金资产净值(元)                    份额净值(元)

161610    融通领先成长(LOF)        9,587,548,170.20     1.5170

161706    招商优质成长(LOF)        12,830,594,616.51    1.8747

161902    万家增强收益                 876,618,383.51         1.0150

161903    万家公用事业(LOF)        458,713,062.78         1.8385

162006    长城久富核心成长(LOF)    8,573,579,367.51     1.8194

162102    金鹰中小盘精选                76,874,084.40            1.5966

162201    泰达荷银成长                 1,182,234,884.46     2.2033

162202    泰达荷银周期                 1,275,242,797.35     1.9539

162203    泰达荷银稳定                 727,845,385.24         1.6840

162204    泰达荷银行业精选             6,948,847,332.79     5.5777

162205    泰达荷银风险预算             238,635,520.00         1.7724

162206    泰达荷银货币                 472,743,676.12             

162207    泰达荷银效率优选(LOF)    8,398,495,780.70     1.0225

162208    泰达荷银首选企业             4,192,882,216.72     2.0587

162209    泰达荷银市值优选             12,293,136,731.39    1.0755

162605    景顺长城鼎益(LOF)        19,053,144,724.91    1.6020

162607    景顺长城资源(LOF)        16,756,158,079.49    1.1610

162703    广发小盘成长(LOF)        17,851,826,908.58    3.0281

163302    巨田资源优选(LOF)        3,502,017,485.95     2.1444

163303    巨田货币                     394,841,016.96             

163402    兴业趋势投资(LOF)        26,506,985,239.03    1.3470

163503    天治核心成长(LOF)        7,798,379,303.19     0.9241

163801    中银国际中国精选(LOF)    2,612,050,114.11     2.1732

163802    中银国际货币                 1,020,750,012.80         

163803    中银国际持续增长             15,335,856,128.36    1.1705

163804    中银国际收益                 6,057,346,310.05     1.0771

166001    中欧新趋势(LOF)         5,892,553,430.70     1.8322

180001    银华优势企业                 9,725,605,658.73     1.3965

180002    银华保本增值(二期)         1,607,376,577.60     1.2464

180003    银华-道琼斯88             19,819,097,885.82    1.3590

180008    银华货币(A级)             230,503,205.55             

180009    银华货币(B级)             315,140,715.14             

180010    银华优质增长                 14,393,957,964.84    2.3106

180012    银华富裕主题                 13,908,240,767.04    1.2537

184688    基金开元                     6,424,594,529.81     3.2123

184689    基金普惠                     7,718,727,946.17     3.8594

184690    基金同益                     6,011,613,096.05     3.0061

184691    基金景宏                     6,978,271,034.67     3.4891

184692    基金裕隆                     10,942,289,894.01    3.6474

184693    基金普丰                     9,448,708,200.76     3.1496

184698    基金天元                     9,756,630,428.55     3.2522

184699    基金同盛                     8,900,351,317.86     2.9671

184700    基金鸿飞                     1,785,793,308.18     3.5716

184701    基金景福                     9,212,143,775.12     3.0707

184703    基金金盛                     1,471,403,768.63     2.9428

184705    基金裕泽                     1,751,289,679.39     3.5026

184706    基金天华                     6,445,860,064.74     2.5783

184712    基金科汇                     3,914,975,642.88     4.8937

184713    基金科翔                     4,276,438,368.93     5.3455

184719    基金融鑫                     2,921,163,179.97     3.6515

184721    基金丰和                     8,983,678,159.17     2.9946

184722    基金久嘉                     8,142,684,021.10     4.0718

184728    基金鸿阳                     5,096,863,320.12     2.5484

200001    长城久恒                     745,696,626.12         1.6990

200002    长城久泰                     3,681,272,900.56     1.9518

200003    长城货币                     1,203,305,216.85         

200006    长城消费增值                 6,922,300,376.83     1.0748

200007    长城安心回报                 18,069,774,827.86    1.0522

200008    长城品牌优选                 25,007,380,219.51    1.1844

202001    南方稳健成长                18,085,552,234.89    1.7463

202002    南方稳健成长贰号            20,361,930,016.43    1.4556

202003    南方绩优成长                29,192,478,511.96    3.0188

202005    南方成份精选                30,365,983,232.10    1.4385

202007    南方隆元产业主题            11,795,495,508.54    1.0540

202101    南方宝元债券                2,869,635,663.21     1.2367

202102    南方多利增强                1,694,960,649.23     1.0889

202202    南方避险增值                6,386,033,877.39     2.7373

202301    南方现金增利                7,870,869,070.67         

202801    南方全球精选(QDII)    28,225,153,246.81    0.9370

206001    鹏华行业成长                771,772,839.84         3.9685

210001    金鹰成份股优选             2,203,062,712.95     1.1040

213001    宝盈鸿利收益                1,617,278,410.89     1.3759

213002    宝盈泛沿海                 4,527,350,279.98     1.0465

213003    宝盈策略增长                7,667,815,581.70     1.6418

217001    招商安泰股票                2,027,577,307.49     1.0703

217002    招商安泰平衡                308,907,156.55         2.1823

217003    招商安泰债券(A类)        204,847,741.75         1.1245

217004    招商现金增值                4,896,032,932.23         

217005    招商先锋                    13,444,820,503.09    1.0446

217008    招商安本增利                4,589,851,234.85     1.2095

217009    招商核心价值                16,193,962,750.82    1.7408

217203    招商安泰债券(B类)        95,082,590.02            1.1170

233001    巨田基础行业                236,902,814.87         1.2500

240001    华宝兴业宝康消费品         3,910,458,895.30     1.6130

240002    华宝兴业宝康配置            3,888,154,495.26     1.9322

240003    华宝兴业宝康债券            13,397,121,546.76    1.2856

240004    华宝兴业动力组合            4,829,645,509.62     2.5721

240005    华宝兴业多策略增长         3,198,192,617.33     2.2228

240006    华宝兴业现金宝(A级)     521,149,317.59             

240007    华宝兴业现金宝(B级)     8,324,125,218.66         

240008    华宝兴业收益增长            8,584,346,971.03     3.9119

240009    华宝兴业先进成长            7,817,570,589.76     2.8614

240010    华宝兴业行业精选            30,349,887,299.90    1.3180

253010    国联安德盛安心成长         160,857,923.84         1.9230

255010    国联安德盛稳健             415,574,152.73         3.0720

257010    国联安德盛小盘             4,446,797,566.00     1.1170

257020    国联安德盛精选             3,460,835,534.12     1.3160

257030    国联安德盛优势             3,171,901,116.83     1.7300

260101    景顺长城优选股票            6,264,538,461.07     1.7063

260102    景顺长城货币                541,091,705.44             

260103    景顺长城动力平衡            11,438,620,796.39    1.0070

260104    景顺长城内需增长            8,622,511,966.02     4.8420

260108    景顺长城新兴成长            10,044,716,414.33    1.4470

260109    景顺长城内需增长贰号        8,630,998,254.99     3.0300

260110    景顺长城精选蓝筹            25,621,766,730.72    1.2800

270001    广发聚富                    10,666,002,872.76    1.6181

270002    广发稳健增长                14,729,535,436.67    2.3483

270004    广发货币                    1,742,187,203.03         

270005    广发聚丰                    40,018,323,286.18    1.0420

270006    广发策略优选                27,544,784,766.96    3.0588

270007    广发大盘成长                25,170,505,093.51    1.2125

288001    中信经典配置                2,933,833,375.45     2.3643

288002    中信红利精选                9,610,238,464.07     2.6301

288101    中信现金优势                941,030,073.17             

288102    中信稳定双利债券            4,131,170,228.33     1.0799

290001    泰信天天收益                3,669,627,758.73         

290002    泰信先行策略                10,996,941,175.13    0.9691

290003    泰信双息双利                2,212,016,403.75     1.0263

基金代码        基金简称                        基金资产净值(元)                    份额净值(元)

290004    泰信优质生活                    4,665,043,750.04     1.6231

310308    申万巴黎盛利精选                2,871,272,257.32     1.1880

310318    申万巴黎盛利配置                105,824,145.77         1.1036

310328    申万巴黎新动力                 9,126,692,093.61     1.4247

310338    申万巴黎货币                    332,098,877.71             

310358    申万巴黎新经济                 9,210,930,953.01     1.0237

320001    诺安平衡                        13,129,991,148.42    0.9508

320002    诺安货币                        914,814,398.84             
320003    诺安股票                        41,435,309,267.44    1.4174

320004    诺安优化收益                    1,696,530,689.47     1.0565

320005    诺安价值增长                    18,705,855,193.21    1.2441

340001    兴业可转债                     2,730,601,874.70     1.4889

340005    兴业货币                        215,957,766.38             

340006    兴业全球视野                    8,449,286,492.75     3.5922

350001    天治财富增长                    500,341,369.80         1.0034

350002    天治品质优选                    107,203,887.28         3.1738

350004    天治天得利货币                 56,302,908.69                

360001    光大保德信量化核心             28,478,945,161.14    1.4993

360003    光大保德信货币                 472,768,054.08             

360005    光大保德信红利                 6,534,154,205.82     4.0204

360006    光大保德信新增长                1,808,231,506.98     1.6299

360007    光大保德信优势配置             19,978,811,825.51    1.0560

370010    上投摩根货币(A类)            557,299,674.84             

373010    上投摩根双息平衡                7,352,075,343.56     2.2783

375010    上投摩根中国优势                12,315,454,323.16    5.7212

377010    上投摩根阿尔法                 13,337,891,687.80    6.4794

377016    上投摩根亚太优势(QDII)    26,957,773,084.00    0.8950

377020    上投摩根内需动力                17,025,115,846.51    1.5207

378010    上投摩根成长先锋                14,781,286,809.67    3.2908

398001    中海优质成长                    7,729,485,749.78     1.0000

398011    中海分红增利                    4,566,961,240.36     1.0547

398021    中海能源策略                    18,170,098,915.77    1.6027

400001    东方龙                         1,668,070,202.84     1.0945

400003    东方精选                        11,182,493,397.01    1.2318

400005    东方金账簿                     226,093,959.26             

410001    华富竞争力优选                 3,010,207,433.06     1.2376

410002    华富货币                        409,862,382.13             

410003    华富成长趋势                    4,074,514,403.97     1.1684

420001    天弘精选                        5,996,471,302.85     0.9305

450001    富兰克林国海收益                2,300,939,076.07     1.2955

450002    富兰克林国海弹性市值            9,602,439,444.20     2.3185

450003    富兰克林国海潜力组合            14,566,821,861.01    1.7679

460001    友邦华泰盛世中国                13,403,111,697.76    1.0117

460002    友邦华泰积极成长                9,432,163,984.44     1.2946

481001    工银瑞信核心价值                9,761,172,148.79     1.0962

481004    工银瑞信稳健成长                11,433,816,958.08    1.9926

481006    工银瑞信红利                    6,991,570,603.55     1.1971

482002    工银瑞信货币                    6,173,175,596.46         

483003    工银瑞信精选平衡                15,954,378,248.91    1.1426

485005    工银瑞信增强收益(B类)        2,836,999,513.70     1.1075

485105    工银瑞信增强收益(A类)        5,140,433,110.47     1.1105

500001    基金金泰                        7,616,027,917.15     3.8080

500002    基金泰和                        6,973,971,298.44     3.4870

500003    基金安信                        6,725,978,114.81     3.3630

500005    基金汉盛                        7,589,505,708.23     3.7948

500006    基金裕阳                        7,493,195,749.98     3.7466

500008    基金兴华                        7,495,057,697.65     3.7475

500009    基金安顺                        9,433,981,008.22     3.1447

500011    基金金鑫                        9,470,668,217.37     3.1569

基金代码        基金简称                    基金资产净值(元)                    份额净值(元)

500015    基金汉兴                    8,100,305,325.05     2.7001

500018    基金兴和                    9,468,848,554.55     3.1563

500025    基金汉鼎                    1,359,012,667.54     2.7180

500038    基金通乾                    6,505,957,034.37     3.2530

500056    基金科瑞                    11,516,122,886.57    3.8387

500058    基金银丰                    6,662,442,479.40     2.2210

510050    华夏上证50ETF         13,380,130,706.97    4.1570

510080    长盛债券                    1,402,944,334.22     1.3001

510081    长盛动态精选                2,948,126,869.83     1.6296

510180    华安上证180ETF        1,522,737,921.57     11.8660

510880    友邦华泰上证红利ETF     6,659,448,348.62     4.6390

519001    银华核心价值优选            25,877,841,510.51    1.5779

519003    海富通收益增长             8,246,951,163.74     1.0730

519005    海富通股票                 9,046,844,255.56     1.0210

519007    海富通强化回报             4,983,199,137.68     1.0140

519008    汇添富优势精选             11,021,504,435.93    5.2766

519011    海富通精选                 14,351,773,552.23    1.0493

519013    海富通风格优势             7,846,698,189.14     1.9770

519015    海富通精选贰号             5,800,789,219.93     1.3960

519017    大成积极成长                7,996,506,922.54     1.8480

519018    汇添富均衡增长             37,063,417,816.56    1.0912

519019    大成景阳领先                3,910,405,963.23     3.9100

519021    国泰金鼎价值精选            12,113,430,432.01    1.4360

519029    华夏平稳增长                15,155,626,221.52    2.2430

519035    富国天博创新主题            15,824,227,649.63    1.1273

519039    长盛同德主题增长            13,239,525,530.39    1.0875

519068    汇添富成长焦点             27,099,994,157.18    1.5958

519087    新世纪优选分红             833,548,388.82         1.6008

519100    长盛中证100指数         2,461,326,244.39     2.2766

519180    万家上证180指数         7,833,355,215.33     1.2308

519181    万家和谐增长                4,452,777,644.96     1.0567

519300    大成沪深300指数         10,979,297,757.35    1.7533

519505    海富通货币(A级)         464,571,071.79             

519506    海富通货币(B级)         1,015,288,562.36         

519508    万家货币                    427,836,515.26             

519517    汇添富货币(B级)         1,027,397,901.70         

519518    汇添富货币(A级)         472,044,121.52             

519519    友邦华泰债券(A类)        131,590,242.80         1.0176

519588    交银施罗德货币(A级)     271,178,310.65             

519589    交银施罗德货币(B级)     856,110,131.83             

519666    银河银信添利                4,246,779,564.39     1.1204

519688    交银施罗德精选             17,091,119,769.66    1.4284

519690    交银施罗德稳健配置         7,762,168,485.45     3.1356

519692    交银施罗德成长             8,783,862,792.12     2.7993

519694    交银施罗德蓝筹             20,638,823,541.69    1.0961

519993    长信增利动态策略            8,635,830,262.67     1.3257

519994    长信金利趋势                16,394,987,074.19    1.2411

519997    长信银利精选                5,236,725,210.04     1.0708

519999    长信利息收益                4,046,801,298.54         

530001    建信恒久价值                6,502,554,202.29     1.6273

530002    建信货币                    2,807,998,938.35         

530003    建信优选成长                7,532,846,165.24     1.3782

530005    建信优化配置                14,882,975,663.44    1.1769

540001    汇丰晋信2016生命周期    1,317,710,785.24     2.2566

540002    汇丰晋信龙腾                2,625,801,768.61     3.0091

540003    汇丰晋信动态策略            5,714,873,351.91     1.4845

550001    信诚四季红                 6,378,515,515.18     1.1781

550002    信诚精萃成长                3,350,069,263.23     2.3700


560001    益民货币                    317,865,761.54             

560002    益民红利成长                2,715,159,432.61     1.2167

560003    益民创新优势                10,190,273,294.99    1.2736

570001    诺德价值优势                9,863,704,773.26     1.4454

580001    东吴嘉禾优势                5,176,097,061.62     1.0483

580002    东吴价值成长双动力         4,133,040,133.22     2.1406

590001    中邮核心优选                28,738,939,126.61    2.0173

590002    中邮核心成长                48,174,027,229.87    1.1387

610001    信达澳银领先增长            17,017,836,720.90    1.8126

620001    金元比联宝石动力保本        4,793,628,104.00     1.0636

630001    华商领先企业                11,675,080,928.80    1.4098

37001b    上投摩根货币(B类)        4,542,785,658.70         





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