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| 基金名称 | 基金代码 | 基金规模 | 到期日 | 期初净值 | 期末净值 | 期初累计 | 期末累计 | 累计净值增长率% | 1 | 瑞福进取 | 150001 | 3,000,496,238 | 2012-07-17 | 1.4510 | 1.5270 | 1.4510 | 1.5270 | 5.24 | 2 | 基金兴安 | 184718 | 500,000,000 | 2007-12-29 | 4.0822 | 4.2755 | 4.5692 | 4.7625 | 4.23 | 3 | 基金金盛 | 184703 | 500,000,000 | 2009-11-30 | 4.0859 | 4.2092 | 4.6617 | 4.7850 | 2.64 | 4 | 基金久嘉 | 184722 | 2,000,000,000 | 2017-07-04 | 3.8834 | 3.9992 | 4.5234 | 4.6392 | 2.56 | 5 | 基金裕隆 | 184692 | 3,000,000,000 | 2014-06-14 | 3.5913 | 3.7048 | 4.7503 | 4.8638 | 2.39 | 6 | 基金景阳 | 500007 | 1,000,000,000 | 2009-09-30 | 3.9034 | 4.0084 | 4.9474 | 5.0524 | 2.12 | 7 | 基金裕泽 | 184705 | 500,000,000 | 2011-05-31 | 3.4394 | 3.5338 | 4.4794 | 4.5738 | 2.11 | 8 | 基金科汇 | 184712 | 800,000,000 | 2008-12-13 | 4.5762 | 4.6932 | 5.6837 | 5.8007 | 2.06 | 9 | 基金兴华 | 500008 | 2,000,000,000 | 2013-04-28 | 3.5254 | 3.6362 | 5.4244 | 5.5352 | 2.04 | 10 | 基金鸿阳 | 184728 | 2,000,000,000 | 2016-12-09 | 2.7548 | 2.8184 | 3.1363 | 3.1999 | 2.03 | 11 | 基金融鑫 | 184719 | 800,000,000 | 2008-02-04 | 3.4599 | 3.5384 | 4.2427 | 4.3212 | 1.85 | 12 | 基金通乾 | 500038 | 2,000,000,000 | 2016-08-28 | 3.0350 | 3.1030 | 3.6880 | 3.7560 | 1.84 | 13 | 基金普丰 | 184693 | 3,000,000,000 | 2014-07-14 | 3.1843 | 3.2538 | 3.8403 | 3.9098 | 1.81 | 14 | 基金普惠 | 184689 | 2,000,000,000 | 2014-01-06 | 3.8475 | 3.9316 | 4.7915 | 4.8756 | 1.76 | 15 | 基金同德 | 500039 | 500,000,000 | 2007-11-30 | 2.9551 | 3.0212 | 4.0321 | 4.0982 | 1.64 | 16 | 基金科翔 | 184713 | 800,000,000 | 2008-12-13 | 5.1276 | 5.2190 | 5.8676 | 5.9590 | 1.56 | 17 | 基金金泰 | 500001 | 2,000,000,000 | 2013-03-27 | 3.6797 | 3.7485 | 4.6847 | 4.7535 | 1.47 | 18 | 基金兴和 | 500018 | 3,000,000,000 | 2014-07-13 | 3.0628 | 3.1168 | 4.0018 | 4.0558 | 1.35 | 19 | 基金同盛 | 184699 | 3,000,000,000 | 2014-11-05 | 2.7750 | 2.8243 | 3.7375 | 3.7868 | 1.32 | 20 | 基金银丰 | 500058 | 3,000,000,000 | 2017-08-14 | 2.2770 | 2.3240 | 3.6370 | 3.6840 | 1.29 | 21 | 大成优选 | 150002 | 4,674,305,068 | 2012-08-01 | 1.1810 | 1.1960 | 1.1810 | 1.1960 | 1.27 | 22 | 基金景福 | 184701 | 3,000,000,000 | 2014-12-30 | 2.9641 | 3.0086 | 3.5881 | 3.6326 | 1.24 | 23 | 基金天华 | 184706 | 2,500,000,000 | 2009-07-11 | 2.5987 | 2.6368 | 3.0987 | 3.1368 | 1.23 | 24 | 基金泰和 | 500002 | 2,000,000,000 | 2014-04-07 | 3.1525 | 3.2127 | 4.9425 | 5.0027 | 1.22 | 25 | 基金天元 | 184698 | 3,000,000,000 | 2014-08-25 | 3.4051 | 3.4550 | |
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