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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
    2008年01月07日      来源:上海证券报      作者:
      计算截止日期2008-1-3

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

      开放式基金

      股票型基金

                                        

    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10038.2014190.971
    华安宏利34.3521171.582
    友邦华泰上证红利ETF47.241163.993
    上投摩根成长先锋47.222160.734
    华安中国A股38.5713157.855
    中小板40.0610154.776
    长城久泰中信标普300指数3436.6218152.907495.513474.0021.725
    上证180 交易型41.656148.718
    光大保德信量化核心44144.633146.009448.915408.5171.696
    万家180344343.204145.3410452.234424.8331.678
    嘉实30023135.5919139.0011425.2681.744
    融通深证100指数 211426.7822138.5012417.3510409.7261.861
    上证50交易型开放式指数31341.925136.4513438.486420.9741.752
    融通巨潮100指数 332237.4616136.0114418.5791.753
    招商优质成长237.4417135.8915517.1211.6212
    景顺长城鼎益股票型3140.967135.2116497.3221.5713
    大成沪深30039.5211134.7817
    易基50124340.868125.7818411.9311409.7751.697
    博时裕富12138.0615124.7619396.1312375.8481.6610
    银华-道琼斯88432335.4020121.5120436.777491.8911.679
    长盛中证10040.509116.8021
    海富通股票11124.4023101.3322350.50131.6311
    泰达荷银首选38.8712100.5223
    平均值38.6723140.8423438.9313426.9481.6913

      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
        

                                                                             

                    

                                                                         

                                                                         

                                                                             

                                                     

                                                                             

                                                                             

                                                                         

                             

                                                                        

                                                                             

                         

                                                                             

                                                                             

                                                     

                                                                         

                         

                         

                                                                             

                                                     

        

                                                                             

                                                                             

                    

                             

        

                                                                             

                                                                             

                                                                         

                                                                             

                                                                             

                    

                                                                         

                    

                                                                             

                                                                         

                                                                             

                                                                             

                    

        

                    

            

        

                                                                             

                         

            

                                                                         

                    

                         

                                                                                 

                                                                             

            

            

        

                                                                             

                    

                                                                         

                                                                        

                                                                             

                                                                             

                                                                                 

                    

                                                                                 

                                                                         

                             

                                                 

        

                    

                    

                                                                         

                         

                                                                         

            

            

                                                                                                 

    华夏大盘精选3457.771242.421771.531769.7911.6415
    中邮核心优选41.6024195.682
    博时主题行业股票 4347.228191.613493.6371.4241
    光大保德信红利48.296183.844
    富兰克林国海弹性47.717165.515
    兴业全球视野39.2033159.216
    广发聚丰50.574158.627531.5331.689
    长信金利趋势43.8914156.978
    华夏优势增长50.763156.059
    长信增利动态策略35.6562154.2910
    广发小盘41444.1412153.1411487.8381.821
    光大保德信新增长基金43.2816152.2112
    中银增长基金42.2421151.7213
    中信红利精选443140.2529150.3114498.6251.6316
    南方绩优成长39.0534150.0315
    博时精选股票基金 44449.245148.8616431.6816424.96101.4540
    易方达价值35.9559146.5117
    诺安股票41.6822145.9518433.09151.5525
    华宝兴业先进成长28.5198144.2319
    国泰金龙行业精选 44238.7937142.6920415.3319444.9681.4735
    上投阿尔法4445.0111142.4621561.7621.5328
    汇添富优势1338.1040142.0322517.3541.6711
    益民红利成长23.64111141.9323
    德盛精选34.8770141.6824422.81181.735
    多策略增长333434.8769140.1325394.8925385.78141.5920
    建信优选成长26.34106139.9626
    融通动力先锋45.5010138.9127
    友邦华泰盛世中国 333335.6561137.6828398.74241.5031
    南方高增441438.6338136.9029442.30141.697
    易基策略成长136.9848136.7830495.006574.6321.744
    鹏华价值优势36.0757136.7131
    易基策略二号36.2554135.3032
    金鹰成份股优选 112136.4751134.0433305.3244267.23241.4834
    国投瑞银创新动力38.8736133.7734
    汇丰晋信龙腾37.1547131.8935
    天治核心成长36.4052131.3136
    华宝兴业动力组合 334133.5778130.2337401.44231.4539
    申万巴黎新经济40.2130130.0738
    中银国际中国精选混合型22335.2166129.2439348.25371.3548
    信诚精萃成长35.9958129.1640
    交银施罗德成长42.7118128.7741
    东吴双动力36.7949125.0542
    银华优质增长34.5273124.8743
    万家公用事业行业 112135.3065124.6244246.47481.4736
    大成精选增值混合型42232.9383124.5745467.3613465.8361.783
    南方稳健成长22233.4080123.4746349.0136366.20181.5723
    天治品质优选混合型222135.7160123.4347322.76411.5921
    普天收益443341.6223123.2148405.2621421.45111.4833
    国泰金鹰增长431343.9013122.2549415.1520425.7991.6217
    富国天合稳健35.1468121.6350
    银华核心价值1235.1767121.6351485.29101.698
    荷银精选141.2825120.4752472.9912505.6251.792
    富国天益价值基金 4436.3353118.7753485.0111572.2931.6118
    海富通风格优势39.9631118.3754
    申万巴黎新动力 221128.3899118.0655370.63311.706
    长信银利精选333126.59105117.9656380.09281.5427
    南稳贰号31.6586117.0557
    国泰金马稳健回报基金33224.61110116.8158394.5927393.05131.5624
    诺安价值增长28.01100116.7159
    华安创新3329.4595114.5560355.4234385.11151.3845
    合丰成长114434.3975114.1261289.3045333.78221.4242
    南方积极配置331338.0841113.6462371.0230355.50201.6710
    泰信优质生活26.70104113.6263
    交银施罗德精选 34233.4779113.3964401.50221.4737
    国投瑞银核心企业31.6187113.2665
    景顺长城内需增长贰号36.6850113.2466
    长城消费增值31.2690111.5667
    银华富裕主题34.7671110.0768
    易方达积极成长 44133.1882109.1969424.5917452.4671.6612
    景顺长城内需增长基金134.7172107.4770485.509523.3941.6513
    鹏华行业成长基金 224331.8485107.4371369.6632408.28121.4044
    景顺成长27.26103106.2272
    工银瑞信核心价值 33233.1881104.3173394.83261.6514
    景顺资源27.57101104.0974
    汇添富均衡增长31.3389104.0375
    招商安泰股票基金 12431.4288103.4976324.2240321.89231.3547
    富国天惠212240.9127102.9477374.78291.5526
    建信恒久价值25.12109102.3778252.13471.5329
    海富通精选22423.57112101.4479339.3839376.31161.3449
    宝盈泛沿海区域增长111130.3993100.4580313.85431.5922
    富国天瑞强势地区精选113327.2810299.6981366.08331.6019
    工银瑞信精选平衡29.739498.9282
    中海分红增利113230.639298.0483280.96461.4143
    工银瑞信稳健成长28.939797.5584
    景顺长城优选股票 22235.306491.8685342.6938357.59191.4638
    合丰周期222238.014391.1886354.6135372.26171.5330
    合丰稳定11225.7110775.9187314.0642341.03211.3846
    金鹰中小盘精选基金111115.4611360.4688197.4749182.30251.5032
    内需动力42.2720

                                                                                

                                                                                 

                                                                                 

                                                                                 

                                                                                 

                                                                                

                                                                                

                                                                                 

                                                                                 

                                                                                 

                                                                                 

                                                                                 

                                                                                

                                                                                     

                                                                                

                                                                                 

                                                                                 

                                                                                 

                                                                                 

                                                                                

                                                                                 

                                                                                

                                                                                     

                                                                                 

                            

    博时第三产业成长35.4163
    招商核心价值43.4215
    宝盈策略增长36.1656
    华安中小盘成长39.0335
    国泰金牛创新36.2255
    富国天博创新主题34.3176
    长城久富核心成长40.9426
    华富成长趋势37.8744
    鹏华优质治理37.1946
    融通领先成长46.579
    诺德价值优势40.5428
    华商领先企业52.852
    景顺长城精选蓝筹30.9991
    中欧新趋势39.3432
    富兰克林国海潜力组合42.3119
    大成积极成长32.7884
    大成创新成长38.0242
    汇添富成长焦点37.3945
    南方成份精选38.3139
    信达澳银领先增长34.4774
    海富通精选贰号25.42108
    华宝兴业行业精选34.1377
    德盛优势29.1096
    易方达价值成长43.1617
    平均值36.30113127.9888402.0049417.10251.5649

      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

        

        

        

        

                                                                         

        

                                                                             

                         

                                            

                                    

    巨田基础行业基金221244.461133.661287.5510261.32121.621
    银河稳健3135.716126.712432.141421.3421.552
    广发稳健增长 136.813126.653402.912488.2011.444
    嘉实稳健44436.684126.124355.514368.9951.416
    大成价值增长 237.372124.425370.763394.4931.443
    中信经典配置基金33329.3010114.666321.987333.2381.339
    嘉实增长44327.2813110.027350.935390.8441.368
    申万巴黎盛利精选基金33432.657108.188326.806330.4791.3110
    宝康消费品33436.535100.029308.089345.3671.2711
    博时平衡配置25.911499.7710
    长盛成长价值基金22223.411597.6211264.9711294.36101.407
    易基平稳22429.90992.6512250.9912270.41111.2412
    诺安平衡基金 443322.011786.7513317.538352.6261.425
    荷银效率27.531281.1914
    荷银预算11128.111171.0115155.51150.9315
    招商安泰平衡型基金11222.401670.7516198.1413204.14130.9814
    富兰克林国海中国收益30.98866.4517164.33141.0513
    平均值31.0017102.1517300.5415342.75131.3215

      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28.221114.901269.041296.8410.971
    德盛安心成长20.43276.182141.2930.882
    申万巴黎盛利强化配置16.68359.873103.985101.0050.665
    国投瑞银融华基金16.67457.144154.872176.4820.803
    南方宝元14.83650.345135.764160.4530.764
    银河收益16.14545.54693.666120.3540.556
    平均值18.83667.336149.776171.0250.776

      灵活混合型基金

                                        

    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
                                                                             

                         

                                                                        

                                                                             

                         

                         

                                                                         

        

                    

                                                                             

        

                                                                        

                                                                         

                                                                             

        

        

                                                                         

                                                                         

        

                                                                         

        

                                                                             

                                                                         

                                                                         

                                                                             

                    

                    

                         

        

                                                                             

                                                                                        

                                                                                        

                                                                                             

                                                                                        

                                                                                             

                                                                                             

                                                                                         

                                                                                        

                                                                                             

                                    

    东方精选37.9017173.981
    华夏红利2349.553170.892489.4731.5912
    华宝兴业收益增长42.308170.843
    华夏稳增50.931164.154
    巨田资源2241.709163.535463.9051.743
    兴业趋势241.3010156.986568.6921.4220
    上投摩根中国优势2444.074156.107593.041671.6411.791
    融通行业景气基金44349.992146.838396.7311385.32111.715
    广发策略优选39.3512144.549
    华夏成长43438.6413136.8810415.548388.06101.4918
    华富竞争力优选 224133.1430133.7211356.38201.639
    泰信先行策略基金342327.6448132.5412381.4813375.14121.714
    中海优质成长 443129.3547131.9213380.8614369.77131.648
    大成蓝筹稳健基金238.5215128.6114423.117410.8671.657
    鹏华中国50基金 2237.3919128.4615489.394519.7321.6310
    嘉实服务增值行业基金429.8845127.3216424.226414.6861.6111
    华夏回报基金 443426.7152122.9717375.5115401.3381.3825
    嘉实主题31.6737122.3618
    银河银泰理财分红基金333433.1031122.0719358.6419362.58141.5314
    德盛小盘12317.7062120.1120290.7930291.62261.3628
    上投摩根双息平衡36.9920120.1021
    长盛动态精选基金44443.895119.8222406.689423.8351.5315
    长城安心回报43.606118.9423
    信诚四季红30.1943117.7124
    博时增长3331.3539117.3125337.2723353.13191.4221
    广发聚富43431.1241116.7226397.5510464.1331.4024
    华夏回报二号34.7824116.6227
    海富通强化回报24.4254116.2928
    招商先锋基金 34432.7932115.1029358.8718356.68171.3430
    融通新蓝筹44329.3946114.2930359.3517390.1491.5316
    海富通收益增长基金11327.6349112.5231282.1233287.37271.3727
    中银收益基金24.6853111.4332
    华安宝利3331.7836110.7833365.0616424.3441.3133
    交银稳健33.2628108.7234
    融通蓝筹成长 211443.447108.6035282.2831317.07241.3826
    国泰金鹏蓝筹32.1935106.9136
    东方龙混合型 221138.0316106.2737324.9125338.12211.782
    博时增长贰号36.6721104.9738
    万家和谐17.9461102.2239
    银华优势企业 113333.3527101.5340294.0629329.27221.2835
    东吴嘉禾优势精选331132.3234100.4241353.19211.5813
    宝盈鸿利收益 432231.244099.6142384.3912361.17161.5217
    新世纪优选分红 221123.885698.9143314.67281.696
    宝康灵活配置 2320.116097.7344328.5024361.90151.2236
    嘉实成长收益基金32430.424296.4145343.4522353.59181.3034
    天弘精选111137.621895.5546193.96361.4519
    国投瑞银景气基金222327.605095.2747321.8626351.85201.4122
    景顺长城动力平衡222327.015191.5848320.3727321.58231.4123
    德盛稳健113323.825781.4049230.6534231.67281.3529
    嘉实策略32.623377.7450
    长城久恒平衡型 113129.914477.3151282.1632301.37251.3431
    天治财富增长基金112120.805974.7852206.3935228.19291.3132
    富国天源平衡 114221.265864.1353187.2137179.84301.1937
    汇丰晋信动态策略33.4826
    友邦华泰积极成长31.6038
    鹏华动力40.2711
    国泰金鼎价值精选34.2625
    中海能源38.5914
    华夏蓝筹36.1722
    建信优化配置33.1629
    长盛同智优势成长36.1223
    广发大盘23.9855
    平均值33.3062117.9753358.9937365.53301.4937

      债券基金

                                        

    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
        

        

            

            

                                                                         

                                                                         

        

                                                                             

        

            

            

        

                    

                                                                         

                                                                             

                                                                     

                                                                    

                    

                                                                                         

                                                                                    

                                        

    长盛债券基金3117.69142.62189.221109.2310.412
    富国天利增长1215.70338.60276.78297.2120.393
    嘉实债券111.96430.17365.49387.2330.471
    宝康债券4415.78227.64451.03454.5040.274
    中信稳定双利10.90722.165
    招商安泰债券基金 A类3322.481820.43626.34637.3960.216
    招商安本增利10.38820.317
    华夏债券基金34348.81917.33829.59541.3450.158
    南方多利7.99109.819
    普天债券 A类33415.58139.551019.07930.1080.1410
    融通债券4314-1.02218.831123.79733.5970.235
    大成债券22324.65148.811215.641028.7690.159
    国泰金龙债券22214.63157.931321.07827.08100.197
    博时稳定价值 - B类 1136.75117.76149.94110.1311
    诺安优化收益6.49127.6715
    嘉实超短债2.53174.0316
    泰信双息双利债券3.05164.0317
    友邦华泰金字塔稳本增利-A1.84192.6818
    易方达月月收益 - A 级1131.41202.34193.80120.0212
    银河银信添利11.316
    工银瑞信增强收益债券-A类11.945
    平均值7.662115.411935.981254.64100.2312

      保证基金

                                        

    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
                    

                                                            

                    

                                                            

    南方避险增值22.79280.101229.191270.3411.081
    国泰金鹿保本增值24.40149.952
    银华保本增值17.48326.98349.70254.7520.292
    华安国际配置-7.284-7.284

      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2.7424.041
    嘉实货币市场基金2.7714.0326.1110.011
    万家货币市场2.5833.893
    鹏华货币市场 - A 级2.4843.6845.4750.019
    汇添富货币市场基金 - A级2.4853.625
    银河银富 - A 级2.3963.5865.5248.0320.012
    长盛货币市场2.26113.5075.5330.0114
    工银瑞信货币市场2.3873.488
    华夏现金增利基金2.20163.4795.5728.1510.016
    海富通货币市场 - A 级2.24123.46105.4360.013
    建信货币市场2.22153.4611
    益民货币2.15183.4412
    华安现金富利2.23143.42135.3587.9130.0113
    中信现金优势2.2893.40145.3870.017
    中银国际货币市场2.15173.32155.2890.0112
    兴业货币市场2.27103.3116
    上投摩根货币市场 - A 级2.14203.28174.80230.0115
    广发货币2.24133.27185.03140.018
    国泰货币2.2883.24195.03150.015
    长城货币2.08223.22205.13130.0110
    南方现金增利1.97273.21215.20107.7840.0123
    长信利息收益基金1.94313.19225.16117.7050.0111
    交银货币 - A 级1.94303.1723
    富国天时货币 - A 级1.99253.1524
    大成货币市场 - A 级1.94293.15255.16120.0118
    东方金账簿2.07233.1526
    华富货币1.89323.1327
    融通易支付2.01243.1128
    华宝兴业现金宝 - A 级2.15193.11294.88190.0116
    景顺长城货币市场1.97263.08304.95160.0120
    荷银货币2.11213.02314.94180.014
    易方达货币市场基金 - A级1.97282.97324.84200.0119
    博时现金收益1.75362.92334.94177.4660.0125
    泰信天天收益1.81342.90344.81217.2870.0121
    银华货币市场基金 - A 级1.85332.88354.68250.0122
    光大保德信货币1.76352.80364.81220.0117
    诺安货币市场1.61372.76374.78247.2680.0124
    天治天得利1.44402.7238
    申万巴黎收益宝1.51382.6339
    招商现金增值1.48392.57404.45266.8190.0126
    平均值2.09403.24405.12267.6090.0126

      目标期限基金

                                        

    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
                                             

                                            

                                                     

    大成生命周期38.521134.441
    汇丰晋信2016生命周期23.74270.502
    平均值31.132102.472

      封闭式基金

      封闭式股票型基金

                                

                                                           

                                   

        

        

        

        

        

        

        

        

    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65.451183.04 1708.53 1653.19 1
    基金天元62.192174.97 2657.92 2650.08 2
    基金裕阳58.183171.34 3555.69 5575.98 3
    基金同盛55.444161.87 4564.87 3514.72 4
    基金裕泽50.135146.44 5458.58 7502.40 5
    基金兴和45.116142.50 6559.86 4461.79 6
    基金鸿阳38.607118.18 7486.88 6396.82 7
    平均值53.597156.91 7570.33 7536.42 7

      灵活混合型基金

                                

                                                           

                                   

        

        

        

        

        

        

        

        

        

        

    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
    基金景宏59.313185.48 1664.72 2631.71 3
    基金同益58.344173.37 2574.13 5632.90 2
    基金银丰47.506170.33 3593.05 3500.28 6
    基金久嘉68.021168.76 4703.64 1668.42 1
    基金汉盛61.452162.57 5584.27 4558.96 4
    基金普惠48.945139.15 6549.89 6525.23 5
    基金普丰41.937133.42 7527.99 8496.25 7
    基金天华40.698121.32 8436.53 9456.11 8
    基金景福38.709120.85 9533.19 7439.98 9
    平均值51.659152.81 9574.16 9545.54 9

      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
    基金开元48.628185.60 1631.48 4627.23 5
    基金泰和66.151184.79 2869.09 1873.77 1
    基金兴华59.364182.86 3658.25 3543.71 8
    基金科汇62.262175.60 4519.12 11675.31 3
    基金科翔53.366166.10 5537.73 9666.08 4
    基金通乾56.535164.32 6585.23 5479.05 13
    基金鸿飞40.3916157.95 7481.78 13443.36 14
    基金丰和48.589154.19 8704.88 2689.06 2
    基金金盛61.843153.68 9544.12 7569.44 7
    基金安顺41.4715141.21 10551.67 6590.60 6
    基金安信44.2512139.56 11538.17 8523.10 9
    基金汉兴44.0914137.17 12418.99 16352.46 17
    基金科瑞44.1213134.11 13524.72 10497.21 10
    基金金泰45.7010129.61 14494.68 12483.65 12
    基金汉鼎50.227128.28 15384.05 17378.43 15
    基金融鑫44.8711128.07 16431.01 14491.11 11
    基金金鑫24.8017106.42 17426.25 15361.11 16
    平均值49.2117151.15 17547.13 17543.81 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。