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      2007 年 11 月 19 日
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      | C13版:基金·数据
    理柏基金业绩排行榜
    更多新闻请登陆中国证券网〉〉〉
     
     
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    理柏基金业绩排行榜
    2007年11月19日      来源:上海证券报      作者:
      计算截止日期2007-11-15

      数据来源:Lipper(理柏)         http://www.lipperweb.com

      开放式基金

      股票型基金

                                                                                

                                                                                 

                                                                                 

                                                                                     

                                                                                 

                                                                                 

                                                                                 

                                                                                 

                                                                                 

                                                                                

                                                                                

                                                                                

                                                                                 

                                                                                 

                            

    长城久富核心成长39.2875
    大成积极成长42.2763
    信诚精萃成长52.4425
    德盛优势34.0391
    南方成份精选46.6241
    南方绩优成长65.524
    华夏优势增长61.097
    汇添富成长焦点51.8426
    易方达价值成长37.1082
    富兰克林国海潜力组合45.6744
    富国天博创新主题48.0634
    信达澳银领先增长43.0556
    海富通精选贰号28.81104
    泰信优质生活32.2395
    平均值43.96109172.4178397.6142365.61241.5142

      债券基金

      进取混合型基金

                                        

    理柏评级(两年)总回报 (%)总回报 (%)总回报 (%)总回报 (%)波幅(%)
                        

    基金名称总回报稳定回报保本能力费用六个月一年二年三年二年
                        

    数值排名数值排名数值排名数值排名数值排名
                                                                         

                                                                        

                                                                         

                                                                             

                

                

            

                

                

                                                                     

                         

                                                                         

                                                                         

            

        

                                                                                

                        

                                                                                         

                                                                                    

                                                                                         

                                        

    易方达深证10047.0112251.141
    上证180 交易型45.5614219.512
    华安中国A股44.1316215.743
    华安宏利44.2015214.284
    长城久泰中信标普300指数3439.1818212.845504.742401.2921.675
    上证50交易型开放式指数44349.109212.586464.4351.712
    融通巨潮100指数 34249.387208.107456.2771.693
    万家18034349.666205.838458.236372.0341.628
    南方隆元产业主题 11145.5913202.999412.6512379.3931.6011
    易基50124349.745201.3410439.828370.2851.647
    景顺长城鼎益股票型1154.012200.2011515.3611.5313
    光大保德信量化核心43156.331197.8212478.984358.6261.646
    上投摩根成长先锋51.534196.9813
    嘉实30023235.3420196.1014436.3891.694
    大成沪深30041.5617195.1215
    招商优质成长48.0211194.0516
    融通深证100指数 322429.4923187.6217435.7510339.7971.811
    博时裕富23338.0919186.7718422.7411332.0981.6010
    银华-道琼斯8811353.493180.7919482.733466.1811.629
    中小板21.6524152.2420
    海富通股票111231.0122137.7521339.83131.5912
    泰达荷银首选48.7810
    友邦华泰上证红利ETF31.3521
    长盛中证10049.228
    平均值43.8924198.5621449.8413377.4681.6513

      平衡混合型基金

                                        

    理柏评级(两年)总回报 (%)总回报 (%)总回报 (%)总回报 (%)波幅(%)
                        

    基金名称总回报稳定回报保本能力费用六个月一年二年三年二年
                        

    数值排名数值排名数值排名数值排名数值排名

        

        

                                                                         

        

        

                                                                             

        

                    

                                                 

                                    

    广发稳健增长 160.431177.201434.531460.5211.394
    嘉实稳健44455.082170.802359.504326.4761.376
    大成价值增长 243.124170.373383.803357.0831.413
    银河稳健2134.6810164.684425.072358.3521.522
    申万巴黎盛利精选基金44442.865154.555328.837290.7981.2810
    中信经典配置基金33332.9414146.396313.718285.6091.299
    博时平衡配置37.656142.957
    嘉实增长333336.218142.738340.086331.6651.338
    诺安平衡基金 444335.459136.749344.155345.0041.385
    巨田基础行业基金221225.0317136.0110270.0810208.05121.571
    宝康消费品3347.633135.6611306.869298.0671.2311
    长盛成长价值基金22234.1312118.9612267.2511258.26101.367
    荷银效率34.6411110.3713
    易基平稳22333.4013109.7714253.5512239.90111.2112
    招商安泰平衡型基金11229.2116105.8515208.5013190.80130.9614
    富兰克林国海中国收益11437.13786.0316169.49141.0113
    荷银预算29.941584.9717149.04150.9015
    平均值38.2117134.9417303.6315303.89131.2815

                                        

    理柏评级(两年)总回报 (%)总回报 (%)总回报 (%)总回报 (%)波幅(%)
                        

    基金名称总回报稳定回报保本能力费用六个月一年二年三年二年
                        

    数值排名数值排名数值排名数值排名数值排名
        

        

            

            

                                                                         

                                                                         

        

            

        

            

        

                                                                             

                                                                         

                

                                                                             

                                                                     

                

                                                                         

                                                                                         

                                                                                    

                                        

    长盛债券基金4117.62150.23190.33199.4410.402
    富国天利增长1213.28343.16275.05288.8820.393
    嘉实债券212.68436.30367.37384.0430.471
    宝康债券4414.89233.55449.40448.3740.274
    招商安本增利10.17622.755
    中信稳定双利9.30822.396
    招商安泰债券基金 A类3321.171820.50727.08735.2560.226
    华夏债券基金4447.19917.85828.70637.9150.158
    融通债券3314-1.102111.56929.25533.4170.235
    普天债券 A类23315.631110.351021.54824.9280.149
    大成债券22324.49149.281118.481024.4190.1410
    国泰金龙债券32112.61158.141220.06923.24100.207
    南方多利5.81107.2813
    诺安优化收益5.06136.2014
    博时稳定价值 - B类 1135.18126.17158.42110.1211
    嘉实超短债2.12163.3616
    泰信双息双利债券1.33172.4417
    易方达月月收益 - A 级11431.07191.93183.45120.0212
    友邦华泰短债0.76201.7719
    银河银信添利9.877
    工银瑞信增强收益债券-A类11.055
    平均值6.682116.591936.591249.99100.2312

                                        

    理柏评级(两年)总回报 (%)总回报 (%)总回报 (%)总回报 (%)波幅(%)
                        

    基金名称总回报稳定回报保本能力费用六个月一年二年三年二年
                        

    数值排名数值排名数值排名数值排名数值排名
                                                                             

        

                                                                         

                    

                         

                                                                                 

                                                                         

                                                                         

        

                                                                             

                                                                             

        

                                                                             

                                                                             

                    

                                                                                 

                                                                             

            

                                                                        

                                                                             

                                                                             

                                                                         

                                                                             

                         

                                                                         

                                                                         

                         

                                                                             

        

                             

                         

                                                                             

                    

                                                                        

                                                                         

                    

                                                                             

                                                                                 

            

        

            

                                                                         

                                                                                 

                                                                                 

                                                                         

                                                                             

                             

                                                                             

                                             

                    

                                                                                 

        

                                                                         

                    

                    

                                                                                 

                                                                             

        

                                                                             

            

                         

                                                                         

                    

            

                    

                    

            

                                                                                             

                                                                                                 

                                                                                             

                                                                                         

                                                                                         

                                                                                             

                                                                                             

                                                                                         

                                                                                             

                                                                                             

                                                                                             

                                                                                         

                                                                                             

                                                                                             

                                                                                             

                                                                                             

                                                                                             

    中邮核心优选43.6353257.151
    华夏大盘精选1436.2685250.432668.241618.1211.6013
    光大保德信红利44.3348225.603
    博时主题行业股票 44362.495225.044490.6071.3935
    汇添富优势2372.541218.855540.8321.6211
    博时精选股票基金 44466.493215.936464.1613402.0471.3934
    广发聚丰69.622214.827
    长信增利动态策略51.4528213.038
    富兰克林国海弹性55.0019208.489
    易基策略成长146.5942207.0010505.575512.6321.714
    兴业全球视野40.8971206.2411
    长信金利趋势41.1269203.3212
    多策略增长44452.9323200.4813407.3717342.99131.5518
    银华优质增长57.3512196.2714
    中信红利精选42.1564195.9715
    大成精选增值混合型2247.1039195.6616476.8491.743
    诺安股票61.786195.0317
    易方达价值44.5746193.9318
    荷银精选157.5311192.7619489.278461.0451.752
    光大保德信新增长基金43.0755191.5420
    融通动力先锋60.388191.4521
    易基策略二号46.9940190.7122
    华宝兴业动力组合56.6713187.5823
    建信优选成长44.4347186.1424
    国泰金龙行业精选 34156.6014185.8425412.9816395.8381.4528
    上投阿尔法3451.4527185.0626521.1841.4923
    交银施罗德成长55.7817184.5727
    国投瑞银核心企业39.1077184.4828
    银华核心价值3256.2416184.4429500.5661.656
    鹏华价值优势42.9458182.0130
    南方稳健成长33340.6572181.7431362.6728327.65161.5421
    南方高增42459.809179.8932473.76101.665
    长信银利精选334132.8294179.8233388.72211.4824
    天治核心成长31.3797178.0634
    友邦华泰盛世中国 33244.1149177.6535402.05181.4626
    景顺长城内需增长贰号54.9520176.7136
    国投瑞银创新动力43.7652175.9937
    交银施罗德精选 4450.5930174.2038400.57191.4231
    景顺长城内需增长基金147.6335173.8439527.043490.7741.6112
    长城消费增值58.9310173.0540
    景顺成长37.9180172.4041
    普天收益432249.9231172.3042418.9415385.4191.4527
    富国天益价值基金 44247.3238171.9543472.0411496.8331.5915
    国泰金鹰增长331353.0521169.9444392.6520365.07111.6014
    华安创新22346.4543169.6145382.9123365.61101.3637
    汇添富均衡增长53.0022169.1046
    易方达积极成长 44142.6062168.7347435.4314413.7061.639
    德盛精选30.2499168.1348
    南稳贰号35.0988167.5849
    华宝兴业先进成长39.2376166.5750
    汇丰晋信龙腾43.8851165.3251
    广发小盘42435.3487165.2552466.63121.781
    中银增长基金36.4184163.7953
    申万巴黎新动力33.9592163.4254363.18271.647
    天治品质优选混合型221134.8489163.3555336.16331.5616
    景顺资源40.9770162.5656
    招商安泰股票基金 22341.9365159.5257345.4230299.45201.3140
    南方积极配置332355.4818157.5958385.5422335.43151.638
    金鹰成份股优选 113142.6560155.6259301.5838222.88231.4429
    海富通风格优势41.2767155.2160
    国泰金马稳健回报基金33229.70103153.9561379.2224337.28141.5519
    中银国际中国精选混合型23342.6461151.1362337.55321.3041
    工银瑞信核心价值 32243.4554139.1363370.56251.6210
    富国天惠52.6424138.0264
    富国天合稳健47.5836137.6365
    海富通精选12226.68105137.4966329.0835323.94171.3042
    建信恒久价值30.12100137.2267
    鹏华行业成长基金 223236.2386137.1068366.2826351.56121.3638
    景顺长城优选股票 22236.9883134.4969339.3831312.46191.4230
    合丰周期222247.3237132.7070347.1429319.97181.4922
    中海分红增利11230.8398132.4371299.03391.3636
    工银瑞信精选平衡40.0673130.0772
    宝盈泛沿海区域增长111129.79102124.4373301.82371.5420
    合丰稳定114231.4396116.9974318.4636296.73211.3439
    富国天瑞强势地区精选212323.08106115.6475335.23341.5617
    万家公用事业行业 112121.97107112.7776208.43411.4132
    合丰成长111429.87101111.7277250.7940257.29221.4033
    金鹰中小盘精选基金11118.3110956.2978183.9142140.06241.4725
    宝盈策略增长44.8745
    内需动力37.3681
    招商核心价值48.6233
    博时第三产业成长48.7732
    工银瑞信稳健成长38.9078
    华商领先企业42.9957
    诺安价值增长42.7359
    华安中小盘成长39.5574
    华富成长趋势33.3093
    中欧新趋势41.1468
    益民红利成长16.46108
    申万巴黎新经济41.8666
    银华富裕主题43.9250
    鹏华优质治理38.0979
    诺德价值优势34.7390
    东吴双动力51.3829
    融通领先成长56.3115

      灵活混合型基金

      保守混合型基金

                                        

    理柏评级(两年)总回报 (%)总回报 (%)总回报 (%)总回报 (%)波幅(%)
                        

    基金名称总回报稳定回报保本能力费用六个月一年二年三年二年
                        

    数值排名数值排名数值排名数值排名数值排名
                    

                                 

                    

                        

                                

                        

                            

    兴业可转债基金27.471132.261266.251259.9910.951
    德盛安心成长22.11388.742137.8040.872
    国投瑞银融华基金19.32578.373156.392161.0320.783
    南方宝元19.83475.354151.583158.3630.754
    申万巴黎盛利强化配置22.20274.20599.4650.645
    银河收益13.08649.51686.686103.4940.546
    平均值20.67683.076149.696170.7240.756

                                        

    理柏评级(两年)总回报 (%)总回报 (%)总回报 (%)总回报 (%)波幅(%)
                        

    基金名称总回报稳定回报保本能力费用六个月一年二年三年二年
                        

    数值排名数值排名数值排名数值排名数值排名
                                                                        

                                                                             

                                                 

                         

                         

                                                                         

                                                                             

                    

                                                                             

        

        

        

                                                                             

                                                                         

                                                                         

                                                                         

                                                                         

                                                                             

        

                    

                                                                        

        

        

                                                                         

                    

                    

                         

        

                                                                         

                                                                                        

                                                                                         

                                                                                             

                                                                                             

                                                                                        

                                                                                             

                                                                                        

                                                                                             

                                                                                             

                                    

    华宝兴业收益增长52.168230.091
    华夏稳增56.424218.362
    兴业趋势45.5816212.013532.1221.3920
    巨田资源4249.1612211.414446.4251.693
    融通行业景气基金368.041207.615429.328363.7581.674
    华夏红利2354.586206.936476.1141.5512
    广发策略优选60.282205.517
    大成蓝筹稳健基金4257.333201.258435.896371.4461.627
    上投摩根中国优势3436.8441200.659561.121581.8111.751
    东方精选37.4738199.7610
    嘉实服务增值行业基金4340.7727193.5211435.797371.9851.5711
    鹏华中国50基金 4240.0929189.6212488.903457.2821.5810
    泰信先行策略基金444339.3632183.1113387.8115336.37131.675
    新世纪优选分红 331137.8535182.0414329.73251.646
    嘉实主题41.2326177.6315
    华夏成长43443.4722177.4616401.0210337.02121.4618
    中海优质成长 444137.7737177.2317396.7413347.94111.608
    博时增长3443.4721173.8218363.8219313.87181.3921
    融通新蓝筹444339.4531173.0919390.1414360.54101.4915
    银河银泰理财分红基金343437.1840169.9120369.5717322.06161.4914
    交银稳健44.9417169.8221
    华夏回报基金 331447.4913167.4222373.8016366.6671.3624
    长盛动态精选基金438.7334166.3023401.319361.9891.4817
    长城安心回报50.3010163.1624
    华夏回报二号44.3718162.8025
    博时增长贰号51.319161.0626
    招商先锋基金 334442.4524156.6927359.8220315.27171.3031
    国泰金鹏蓝筹49.5111156.5328
    信诚四季红43.5120154.9129
    宝盈鸿利收益 443234.1846154.3030399.4411323.95151.4816
    融通蓝筹成长 222455.555154.0831312.8028310.68191.3030
    德盛小盘11328.2653153.2132287.3031255.22251.3129
    东吴嘉禾优势精选432146.1015152.1333365.08181.5513
    上投摩根双息平衡40.3128150.9034
    广发聚富43341.4025149.8735397.1912396.6031.3723
    华安宝利22433.7247149.7936355.7221372.4641.2933
    海富通强化回报23.9857149.4837
    海富通收益增长基金12432.0349147.1138275.3533254.54261.3227
    国投瑞银景气基金231336.7142142.7539313.7527306.93211.3822
    华富竞争力优选 22118.6960141.0740303.99301.599
    宝康灵活配置 3331.0750140.3641347.7722325.63141.1936
    东方龙混合型 322130.0151140.0242322.82261.732
    嘉实成长收益基金22437.8536137.9943333.7923308.08201.2734
    景顺长城动力平衡221343.6619135.1444331.2224301.55231.3625
    银华优势企业 213343.2123133.3045305.2229306.42221.2535
    天弘精选111239.2433132.0046186.82371.3919
    德盛稳健114325.0355119.9347243.9434209.98271.3128
    中银收益基金21.9558113.9648
    长城久恒平衡型 111228.9852113.0749282.6432264.38241.3326
    天治财富增长基金111121.5359112.7050224.0135207.46281.3032
    富国天源平衡 113224.605692.6251189.7036161.88291.1537
    汇丰晋信动态策略34.7145
    建信优化配置35.5944
    嘉实策略36.5743
    万家和谐25.1654
    国泰金鼎价值精选37.1839
    鹏华动力53.147
    长盛同智优势成长47.0114
    华夏蓝筹33.2348
    中海能源39.8630
    平均值40.1960164.0351361.0337328.06291.4537

                                        

    理柏评级(两年)总回报 (%)总回报 (%)总回报 (%)总回报 (%)波幅(%)
                        

    基金名称总回报稳定回报保本能力费用六个月一年二年三年二年
                        

    数值排名数值排名数值排名数值排名数值排名
                                             

                                            

                                                     

    大成生命周期54.301183.071
    汇丰晋信2016生命周期27.322105.462
    平均值40.812144.272

      目标期限基金

      货币市场基金

                                        

    理柏评级(两年)总回报 (%)总回报 (%)总回报 (%)总回报 (%)波幅(%)
                        

    基金名称总回报稳定回报保本能力费用六个月一年二年三年二年
                        

    数值排名数值排名数值排名数值排名数值排名
                                                                 

                                 

                                                             

                                                        

                                

                    

                                    

                                                             

                                

                                                                 

                                                         

                                                             

                                 

                        

                                     

                    

                                                             

                                

                                                        

                                                            

                                         

                                                                 

                        

                                

                                                                 

                                         

                                         

                                                                 

                                

                                 

                                         

                        

                                                                 

                                

                                

                        

                                                             

                                     

                                     

                        

                                

    巨田货币2.4123.591
    嘉实货币市场基金2.4113.5425.5910.011
    万家货币市场2.2933.503
    汇添富货币市场基金 - A级2.2753.334
    鹏华货币市场 - A 级2.2843.3255.1540.017
    华夏现金增利基金2.1073.3065.3528.0510.015
    银河银富 - A 级2.1463.2775.2130.012
    建信货币市场2.01123.188
    海富通货币市场 - A 级2.01103.1295.0750.013
    益民货币1.95163.1110
    工银瑞信货币市场2.0983.1111
    长盛货币市场1.96153.0812
    中银国际货币市场1.98133.08135.0160.0111
    华安现金富利1.92173.06144.9977.7120.0115
    中信现金优势1.91193.04154.9880.0110
    长信利息收益基金1.86222.95164.90107.5840.019
    兴业货币市场2.01112.9417
    上投摩根货币市场 - A 级1.91182.94184.35240.0113
    富国天时货币 - A 级1.82242.9419
    交银货币 - A 级1.76282.9320
    广发货币2.0292.93214.71140.018
    融通易支付1.85232.9122
    南方现金增利1.77272.90234.9497.6630.0122
    大成货币市场 - A 级1.78262.90244.86110.0116
    华富货币1.68312.8725
    国泰货币1.97142.85264.68150.016
    长城货币1.79252.83274.73130.0112
    东方金账簿1.75302.8328
    华宝兴业现金宝 - A 级1.87212.83294.59180.0114
    景顺长城货币市场1.75292.77304.60170.0118
    荷银货币1.87202.72314.68160.014
    博时现金收益1.59342.72324.74127.4050.0123
    天治天得利1.55362.7133
    银华货币市场基金 - A 级1.67322.65344.46230.0119
    易方达货币市场基金 - A级1.65332.60354.48220.0120
    泰信天天收益1.57352.60364.49217.1060.0121
    申万巴黎收益宝1.48372.5937
    诺安货币市场1.42392.53384.51200.0124
    光大保德信货币1.46382.49394.51190.0117
    招商现金增值1.31402.41404.20256.7770.0125
    平均值1.87402.95404.79257.4770.0125

                                        

    理柏评级(两年)总回报 (%)总回报 (%)总回报 (%)总回报 (%)波幅(%)
                        

    基金名称总回报稳定回报保本能力费用六个月一年二年三年二年
                        

    数值排名数值排名数值排名数值排名数值排名
                    

                                

                                                            

                    

                        

    南方避险增值30.821114.251239.611255.0711.061
    嘉实浦安保本混合型25.33263.33287.3320.532
    国泰金鹿保本增值22.14356.663
    银华保本增值17.16428.80447.71350.2520.283
    平均值23.86465.764124.883152.6620.623

      保证基金

      封闭式基金

      封闭式股票型基金

      灵活混合型基金

      进取混合型基金

                                

                                                           

                                   

        

        

        

        

        

        

        

        

    基金名称市价总回报 (%)市价总回报 (%)市价总回报 (%)市价总回报 (%)
    六个月一年二年三年
    数值排名数值排名数值排名数值排名
    基金裕隆117.06 1325.04 1808.79 1604.09 1
    基金天元86.673289.24 2731.91 2574.87 2
    基金裕阳80.734271.55 3616.92 3513.89 5
    基金裕泽95.042236.90 4478.10 7514.23 4
    基金同盛77.325234.42 5533.91 4418.85 6
    基金兴安63.016229.45 6490.33 6550.41 3
    基金兴和62.977208.34 7506.61 5372.56 7
    基金鸿阳51.288161.82 8444.17 8330.23 8
    平均值79.268244.60 8576.34 8484.89 8

                                

                                                           

                                   

        

        

        

        

        

        

        

        

        

        

    基金名称市价总回报 (%)市价总回报 (%)市价总回报 (%)市价总回报 (%)
    六个月一年二年三年
    数值排名数值排名数值排名数值排名
    基金景宏76.414297.92 1659.29 2572.79 2
    基金久嘉114.06 1290.61 2742.78 1634.70 1
    基金普惠83.002235.89 3587.20 3466.26 4
    基金银丰53.978231.69 4562.13 4414.17 7
    基金景福67.995228.34 5520.44 7396.14 9
    基金同益63.806222.99 6551.29 5484.14 3
    基金汉盛82.413213.39 7544.41 6448.68 5
    基金天华63.177190.92 8445.95 9434.95 6
    基金普丰50.109190.31 9513.77 8412.01 8
    平均值72.779233.56 9569.70 9473.76 9
    基金科翔59.799201.43 13483.18 11577.49 3

                                

                                                           

                                   

        

        

        

        

        

        

        

        

        

        

        

        

        

        

        

        

        

        

    基金名称市价总回报 (%)市价总回报 (%)市价总回报 (%)市价总回报 (%)
    六个月一年二年三年
    数值排名数值排名数值排名数值排名
    基金泰和87.113322.11 1856.82 1738.33 1
    基金开元47.2515284.91 2647.46 3560.96 5
    基金通乾90.522270.44 3582.70 5444.96 12
    基金丰和74.395264.52 4701.35 2606.06 2
    基金兴华93.821249.22 5622.91 4474.56 9
    基金鸿飞55.0513224.41 6463.03 13395.94 14
    基金科瑞72.436222.98 7523.48 7461.04 11
    基金安信76.074218.19 8509.56 9480.58 8
    基金科汇54.1414209.58 9467.16 12576.48 4
    基金融鑫57.7711208.92 10428.76 14466.40 10
    基金金盛56.6012208.28 11503.45 10504.30 6
    基金金泰66.147201.95 12540.85 6427.50 13
    基金科翔59.799201.43 13483.18 11577.49 3
    基金安顺58.6510198.23 14514.18 8493.57 7
    基金金鑫20.0417177.21 15408.50 15301.77 15
    基金汉兴64.538176.25 16338.23 16282.87 17
    基金汉鼎32.7216120.41 17302.39 17287.44 16
    平均值62.7717221.12 17523.18 17475.31 17

      备注:1,回报:以单位价格计算,分红再投资。2, 波幅:以过去24个月的月回报计算标准差,数值愈大代表风险愈大。3,基金分类简述:以基金招募说明书的投资目标为分类基础。股票型:投资于股票,不对债券类资产做策略配置。进取混合型:投资于股票和债券类资产,股票投资比例超过65%。平衡混合型:投资于股票和债券类资产,股票投资比例介于35%-65%。灵活混合型:投资于股票和债券类资产,比例由管理人灵活掌握。保守混合型:投资于股票和债券类资产,股票投资比例低于65%。债券型:投资于到期时间一年以上固定收益产品。保证型:对本金或回报做出保证。货币市场:投资于到期时间一年以下固定收益产品。4,“理柏基金评级系统”按一年、二年、三年和综合的表现计算评级。所有属于股票型、债券型或混合资产型的开放式基金,具有至少一年的价格数据,并且同类型基金中至少有5只满足评级条件,就符合评级资格。同类型基金中,领先的20%基金被授予“优”(Leader)称号,之后均以20%为标准再区分为第2级、第3级、第4级及第5级。目前在内地所推出的评估标准有四种,包括费用、总回报、稳定回报和保本能力∶在总回报上获“优”(Leader)的基金,反映在其所属基金分类中有较高的总收益。在稳定回报上获“优”(Leader)的基金,反映在其所属基金分类中有较好的稳定性和风险调整收益。在保本能力上获“优”(Leader)的基金,反映在其所属资产类别(股票、混合资产、或债券)中有较高的保本能力。在费用上获“优”(Leader)的基金,反映在其所属基金分类中有较低的总体费用率。免责声明: 此基金报告的內容仅供资讯用途,不作为投资的建议,也不作为卖出或买进任何股票实体权益的推荐,同时也不保证此基金报告内容的精确性及完整性,也不担保使用报告内容所获得的结果。此外,Lipper(理柏)对于使用自Lipper或其关联机构获得资讯所产生的损失或损害,不负任何责任。