基金代码
基金名称
收益率
+/-同类型
+/-基准市场
同类型排名
000011
华夏精选
226.28%
125.61%
68.02%
1
400003
东方精选
168.83%
68.16%
10.57%
2
240008
华宝收益
167.62%
66.96%
9.36%
3
163302
巨田资源
159.04%
58.37%
0.77%
4
163402
兴业趋势
153.22%
52.56%
-5.04%
5
255010
德盛稳健
80.81%
-19.86%
-77.45%
39
162207
荷银效率
78.56%
-22.11%
-79.70%
40
200001
长城平衡
76.88%
-23.79%
-81.38%
41
070011
嘉实策略
74.58%
-26.09%
-83.68%
42
100016
富国天源
62.33%
-38.34%
-95.93%
43
002011
华夏红利
169.42%
66.54%
11.16%
519029
华夏增长
157.07%
54.19%
-1.19%
163801
中国精选
129.00%
26.12%
-29.26%
070006
嘉实服务
22.72%
-32.65%
002001
华夏回报
122.13%
19.25%
-36.13%
217002
招商平衡
70.18%
-32.71%
-88.09%
25
162205
荷银预算
68.82%
-34.06%
-89.44%
26
540001
汇丰2016
68.27%
-34.62%
-90.00%
27
450001
国海收益
66.02%
-36.86%
-92.24%
28
310318
盛利配置
57.53%
-45.35%
-100.73%
29
100018
富国债券
38.69%
16.41%
39.14%
070005
嘉实债券
30.28%
8.00%
30.74%
240003
宝康债券
27.59%
5.31%
28.04%
519519
友邦短债
2.65%
-19.63%
3.11%
20
110007
易方达债券
2.31%
-19.98%
2.76%
21
110008
易方达债券B
1.68%
-20.61%
2.13%
22
121001
融华债券
56.77%
24.90%
57.22%
202101
南方宝元
51.90%
20.03%
52.35%
151002
银河收益
44.92%
13.05%
45.37%
510080
长盛债券
42.42%
10.55%
42.87%
217008
招商增利
20.11%
-11.76%
20.56%
340001
兴业可转债
113.43%
1.14%
040004
华安配置
108.00%
-4.28%
163303
巨田货币
4.35%
070008
嘉实货币
4.32%
160609
鹏华货币B
4.18%
519508
万家货币
4.03%
150015
银河银富B
320002
诺安货币
2.96%
360003
光大货币
2.95%
350004
天治货币
2.90%
310338
申万货币
2.89%
217004
招商增值
2.77%