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日期:2007.06.22-06.29 | 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 | 基金金鑫 | 500011 | 3,000,000,000 | 2014-10-21 | 2.4231 | 2.6379 | 2.8951 | 3.1099 | 7.42 | 2 | 基金科汇 | 184712 | 800,000,000 | 2008-12-13 | 3.6348 | 3.4769 | 4.3348 | 4.5844 | 5.76 | 3 | 基金融鑫 | 184719 | 800,000,000 | 2008-02-04 | 3.0704 | 2.9305 | 3.3004 | 3.4833 | 5.54 | 4 | 基金科翔 | 184713 | 800,000,000 | 2008-12-13 | 4.0606 | 3.8965 | 4.4906 | 4.6365 | 3.25 | 5 | 基金金盛 | 184703 | 500,000,000 | 2009-11-30 | 3.0370 | 3.1397 | 3.6128 | 3.7155 | 2.84 | 6 | 基金科讯 | 500029 | 800,000,000 | 2008-01-11 | 2.7807 | 2.8738 | 3.8657 | 3.9588 | 2.41 | 7 | 基金裕泽 | 184705 | 500,000,000 | 2011-05-31 | 2.8580 | 2.9246 | 3.2580 | 3.3246 | 2.04 | 8 | 基金汉盛 | 500005 | 2,000,000,000 | 2014-05-17 | 2.8679 | 2.9397 | 3.6705 | 3.7423 | 1.96 | 9 | 基金久嘉 | 184722 | 2,000,000,000 | 2017-07-04 | 2.9301 | 2.8668 | 3.4501 | 3.5068 | 1.64 | 10 | 基金同德 | 500039 | 500,000,000 | 2007-11-30 | 2.6846 | 2.7398 | 3.3616 | 3.4168 | 1.64 | 11 | 基金金泰 | 500001 | 2,000,000,000 | 2013-03-27 | 2.8969 | 2.9473 | 3.9019 | 3.9523 | 1.29 | 12 | 基金汉鼎 | 500025 | 500,000,000 | 2008-12-31 | 2.3561 | 2.3609 | 2.6036 | 2.6084 | 0.18 | 13 | 基金汉兴 | 500015 | 3,000,000,000 | 2014-12-30 | 2.1128 | 2.1024 | 2.5044 | 2.4940 | -0.42 | 14 | 基金天华 | 184706 | 2,500,000,000 | 2009-07-11 | 2.0605 | 2.0480 | 2.5605 | 2.5480 | |
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