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      2008 年 1 月 14 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
    2008年01月14日      来源:上海证券报      作者:
      计算截止日期2008-1-10

      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10047.759176.821
    华安宏利42.2421151.372
    上投摩根成长先锋52.173147.823
    华安中国A股47.6110145.774
    长城久泰中信标普300指数3445.1617141.125491.033503.9621.725
    光大保德信量化核心34156.402140.826452.994447.6141.696
    友邦华泰上证红利ETF56.951139.477
    中小板44.5118136.878
    上证180 交易型49.605136.339
    万家180444349.934131.8410445.705447.5451.678
    融通深证100指数 211435.5322129.9211412.049438.5671.861
    招商优质成长247.0412129.8512520.4911.6212
    景顺长城鼎益股票型3146.9414128.5813498.7821.5713
    长盛中证10047.968126.9814
    嘉实30033143.2619126.9415419.6881.744
    融通巨潮100指数 232245.1716126.8316412.01101.743
    上证50交易型开放式指数43349.236126.1317434.406452.0231.752
    大成沪深30047.6011123.3718
    易基50124347.0013120.7119410.2311444.0861.687
    银华-道琼斯88322342.2920117.5020430.097530.6811.679
    博时裕富11145.2115115.7821393.2412402.5981.6610
    泰达荷银首选48.307101.8422
    海富通股票11130.492392.5323346.39131.6311
    平均值46.4523131.1023435.9313458.3881.6913

      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3466.851210.161746.901811.9811.6415
    博时主题行业股票 44350.3215172.292491.876530.6961.4242
    中邮核心优选51.7214171.593
    光大保德信红利58.115164.404
    富兰克林国海弹性53.329151.995
    广发聚丰260.163150.236543.8121.689
    华夏优势增长58.294148.677
    长信金利趋势48.0723148.398
    诺安股票444245.8239147.349455.24141.5525
    兴业全球视野45.1744147.2510
    长信增利动态策略45.5941144.7411
    光大保德信新增长基金52.3313144.2212
    南方绩优成长45.7840142.0513
    德盛精选442242.0264141.9914445.84151.745
    中信红利精选3146.0537140.1615516.4241.6316
    广发小盘41454.526139.7316489.1571.821
    汇添富优势1347.1926139.5117513.7651.6611
    博时精选股票基金 44453.0910138.2118430.5118457.28101.4540
    国泰金龙行业精选 44144.2750137.0019403.1720468.0391.4735
    融通动力先锋52.6011134.5920
    建信优选成长34.13102134.2421
    多策略增长333439.2378133.7622391.2326407.15161.5921
    易方达价值44.9946133.4923
    上投阿尔法4450.1416132.6124541.8131.5329
    南方高增441445.3442132.5925436.61161.697
    华宝兴业先进成长32.96107132.0426
    华宝兴业动力组合 334138.0689131.5127410.97191.4639
    中银增长基金46.1735130.1828
    友邦华泰盛世中国 333342.5262129.0529397.42241.5032
    易基策略成长143.9653128.9830487.078607.3921.744
    鹏华价值优势42.8560125.9631
    国投瑞银创新动力46.0038125.8432
    交银施罗德成长48.7722123.0833
    易基策略二号43.5855123.0534
    金鹰成份股优选 112142.7761122.6435298.7944286.51261.4834
    银华优质增长39.7276122.0836
    汇丰晋信龙腾43.7454121.9237
    普天收益333347.0028121.6338397.6723442.77121.4833
    天治核心成长46.7630121.1239
    银华核心价值1241.0567121.1140472.15111.688
    益民红利成长28.98112121.0741
    申万巴黎新经济46.2933120.4542
    荷银精选149.6917120.1043469.4812543.2251.792
    天治品质优选混合型112144.5849118.7344324.05401.6019
    南方稳健成长22238.9182118.1145353.6333397.03181.5723
    东吴双动力37.4992118.1046
    中银国际中国精选混合型22341.0966116.3947344.4537371.20211.3548
    国泰金鹰增长431349.3419116.3448399.2322447.70111.6217
    信诚精萃成长38.8384115.1349
    长信银利精选333134.80100113.9250386.06271.5427
    长城消费增值37.1293112.9551
    富国天合稳健43.0057111.9352
    易方达积极成长 44144.7447111.8753434.5317498.0771.6612
    泰信优质生活30.75109111.7454
    交银施罗德精选 34238.8983111.5755393.72251.4637
    富国天益价值基金 4444.2651110.6556474.2910593.3131.6118
    海富通风格优势46.1336110.6457
    大成精选增值混合型442239.7077110.0158456.2513486.6581.773
    诺安价值增长35.3499108.6759
    景顺长城内需增长贰号42.9258108.6760
    华安创新2336.0897108.3561351.2434416.19141.3845
    南稳贰号36.1096108.0062
    国投瑞银核心企业39.0680107.6163
    万家公用事业行业 113144.6648106.6664247.74481.4736
    富国天惠322247.4624106.6465378.90291.5526
    银华富裕主题41.5965106.4666
    国泰金马稳健回报基金32231.60108106.2167384.6528410.51151.5624
    工银瑞信核心价值 33340.7270105.5468401.71211.6513
    合丰成长114439.1079105.0869278.9046343.48241.4241
    申万巴黎新动力 221135.7798104.6170367.92301.716
    南方积极配置231340.2973103.6671356.8032369.79221.6710
    工银瑞信稳健成长38.9481102.9272
    汇添富均衡增长37.0494101.5273
    景顺长城内需增长基金141.0468101.0574480.649549.6641.6514
    鹏华行业成长基金 224338.2686100.2675363.6731428.76131.4044
    景顺资源34.0010498.7176
    建信恒久价值11233.7810598.6677262.28471.5328
    工银瑞信精选平衡36.649598.6678
    合丰周期212246.972997.9379347.5736400.76171.5330
    景顺成长34.1110396.8780
    宝盈泛沿海区域增长111137.849196.8481307.64431.5922
    中海分红增利113238.088895.5682283.38451.4143
    富国天瑞强势地区精选223333.0910695.5183349.39351.6020
    招商安泰股票基金 12434.7610194.4784322.1341337.63251.3547
    海富通精选22428.6411393.7185335.1839396.97191.3449
    景顺长城优选股票 22240.117488.4186340.8938375.30201.4638
    合丰稳定11229.8311180.0787309.2842358.74231.3746
    金鹰中小盘精选基金111117.9411451.2688184.0349191.87271.5131
    宝盈策略增长46.2434

      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 145.622130.311411.332525.6011.443
    银河稳健3140.155125.002424.771455.5821.542
    嘉实稳健44442.284119.373360.714400.3351.416
    大成价值增长 244.153117.994369.163426.8931.444
    巨田基础行业基金221249.161113.865276.3710274.72121.621
    中信经典配置基金33334.8910106.706319.956352.4871.339
    嘉实增长44331.0613104.847350.095403.4041.368
    申万巴黎盛利精选基金44434.909104.518316.477344.2891.3110
    宝康消费品33438.91695.229299.169351.3481.2711
    易基平稳22435.71888.7410246.0312287.13111.2412
    长盛成长价值基金22226.751587.8811258.3311306.46101.407
    博时平衡配置27.791487.0812
    诺安平衡基金 333325.981684.4113314.018373.3661.425
    荷银效率32.871279.6814
    荷银预算11134.091176.0315161.09150.9315
    招商安泰平衡型基金11224.601764.5916196.1313212.04130.9814
    富兰克林国海中国收益35.88762.2217168.18141.0513
    平均值35.581796.9717298.1215362.59131.3215

                                        

    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37.231120.161276.331327.8210.981
    德盛安心成长22.74270.632143.3630.882
    申万巴黎盛利强化配置19.86457.253104.995104.7750.665
    国投瑞银融华基金20.92356.164154.412184.1320.803
    南方宝元15.89647.365132.874164.9530.764
    银河收益18.16543.18692.946123.2840.556
    平均值22.47665.796150.826180.9950.776

      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
                                                                        

                                                                             

                                                                             

                         

                         

                         

                                                                         

        

                                                                             

                                                                        

                    

        

        

                                                                         

                                                                         

                                                                             

        

                                                                        

                                                                             

                                                                         

                                                                             

        

        

                                                                         

                                                                             

                                                                         

                    

                                                                         

                         

                    

        

                                                                             

                                                                                             

                                                                                        

                                                                                        

                                                                                             

                                                                                             

                                                                                        

                                                                                         

                                    

    华宝兴业收益增长50.227161.361
    东方精选42.6419159.972
    华夏稳增57.162158.593
    华夏红利2355.063155.334494.8431.5912
    巨田资源2247.7411150.145468.9751.743
    兴业趋势246.6112145.656566.6321.4220
    上投摩根中国优势2449.408141.297571.391701.5611.791
    广发策略优选51.215139.798
    融通行业景气基金444358.231138.519396.9410423.4681.715
    华夏成长3442.9718133.2510409.279419.0391.4918
    鹏华动力50.326132.4011
    泰信先行策略基金442330.5055130.3112373.1515399.31121.714
    鹏华中国50基金 2246.3513125.4513478.354549.0321.6310
    中海优质成长 443137.2637121.7614382.7313390.02141.648
    嘉实服务增值行业基金435.5242120.6715411.377435.5971.6011
    长盛同智优势成长42.4821119.4716
    华夏回报基金 433432.2452119.2917374.0014417.84111.3825
    华富竞争力优选 324138.5233118.2018361.84161.639
    大成蓝筹稳健基金243.5616116.7319416.516444.1251.657
    德盛小盘11325.5060115.5520298.7329320.93251.3628
    融通新蓝筹34333.9446114.8721355.5319418.38101.5316
    华夏回报二号42.6020114.7922
    长盛动态精选基金4451.774114.6323411.038462.9041.5315
    长城安心回报48.8210113.7724
    信诚四季红37.7934111.3625
    银河银泰理财分红基金333436.5741110.3126348.6120379.79161.5314
    广发聚富44437.7535108.9627386.9511485.2731.4024
    海富通收益增长基金11332.9750108.4828281.4132306.34271.3727
    上投摩根双息平衡41.0324108.3829
    嘉实主题38.8532107.1030
    招商先锋基金 34440.0226106.8931360.4618380.13151.3430
    海富通强化回报30.2257106.2332
    交银稳健38.8831104.0533
    博时增长2333.5947103.5134333.9322379.06171.4221
    宝盈鸿利收益 432239.6428100.4535385.9312397.31131.5217
    华安宝利3339.4829100.3536361.5517443.8061.3133
    国泰金鹏蓝筹36.963999.7537
    万家和谐24.296197.7638
    博时增长贰号39.742797.5339
    融通蓝筹成长 111449.32996.9440290.7030344.19231.3826
    新世纪优选分红 221130.575496.4941320.54281.706
    中银收益基金30.985395.9042
    天弘精选111144.391495.7343206.84351.4519
    银华优势企业 223336.804095.3144286.8631345.91221.2835
    东方龙混合型 321143.311794.9045324.3525355.38211.782
    国投瑞银景气基金222334.314592.1146322.5626368.40201.4122
    嘉实成长收益基金23435.194390.2247331.8523368.52191.3034
    东吴嘉禾优势精选331136.973890.0848344.22211.5813
    景顺长城动力平衡222333.164988.9749329.0824343.21241.4123
    宝康灵活配置 2224.116287.9650321.7027375.80181.2236
    德盛稳健114330.255678.4251228.9834248.82281.3529
    嘉实策略37.453677.6452
    长城久恒平衡型 113132.695175.6353276.5433315.76261.3431
    天治财富增长基金112126.245966.3154203.3836242.02291.3132
    富国天源平衡 114229.465864.3255192.5637199.27301.1937
    华夏蓝筹41.4023
    友邦华泰积极成长34.8944
    汇丰晋信动态策略40.9725
    广发大盘33.4548
    中海能源43.7315
    国泰金鼎价值精选38.9230
    建信优化配置41.9422
    平均值39.3462111.2755357.0437388.71301.4937

      灵活混合型基金

      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3118.81139.79186.591111.4910.402
    富国天利增长1216.68236.52273.72299.6120.393
    嘉实债券113.16428.70365.39388.9630.471
    宝康债券4416.06326.03450.16455.8440.264
    中信稳定双利12.31621.115
    招商安本增利11.33819.226
    招商安泰债券基金 A类3322.461816.86725.41637.5260.216
    华夏债券基金44349.31916.19828.67541.8550.158
    南方多利8.35109.869
    大成债券22324.60159.151013.561028.4790.149
    普天债券 A类23415.57139.131115.90931.3780.1111
    博时稳定价值 - B类 1137.01117.991210.20110.1310
    诺安优化收益6.42127.5713
    国泰金龙债券32214.62147.551417.77827.33100.187
    融通债券3314-0.86217.031519.64733.0970.225
    泰信双息双利债券3.15164.0816
    嘉实超短债2.50174.0117
    友邦华泰金字塔稳本增利-A1.92192.7618
    易方达月月收益 - A 级1131.41202.32193.76120.0212
    银河银信添利11.717
    工银瑞信增强收益债券-A类12.585
    平均值8.052114.521934.231255.55100.2212

      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26.65177.621228.801282.2111.081
    国泰金鹿保本增值26.08248.082
    银华保本增值19.52327.61350.99257.6520.292
    华安国际配置-7.314-7.504
    平均值16.24436.454139.892169.9320.692

      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2.7314.051
    嘉实货币市场基金2.7224.0426.1210.011
    万家货币市场2.5533.903
    鹏华货币市场 - A 级2.4643.7045.4950.019
    汇添富货币市场基金 - A级2.3953.635
    银河银富 - A 级2.3373.5665.5148.0030.012
    长盛货币市场2.24113.5175.5430.0114
    工银瑞信货币市场2.3863.498
    海富通货币市场 - A 级2.21123.4995.4468.0220.013
    华夏现金增利基金2.14163.48105.5728.1410.015
    建信货币市场2.21133.4711
    益民货币2.12193.4312
    华安现金富利2.18153.42135.3587.8940.0113
    中信现金优势2.2983.41145.4070.017
    中银国际货币市场2.12183.33155.2990.0112
    兴业货币市场2.2593.3216
    上投摩根货币市场 - A 级2.10213.29174.82210.0115
    广发货币2.20143.29185.04140.018
    国泰货币2.24103.25195.03150.016
    长城货币2.02233.23205.14130.0110
    南方现金增利1.94283.22215.21107.7750.0123
    长信利息收益基金1.93293.20225.16127.6860.0111
    交银货币 - A 级1.92313.1823
    大成货币市场 - A 级1.93303.16245.17110.0118
    富国天时货币 - A 级1.96263.1525
    东方金账簿2.06223.1426
    华富货币1.86323.1327
    融通易支付2.00243.1228
    华宝兴业现金宝 - A 级2.12173.11294.88190.0116
    景顺长城货币市场1.96273.10304.96160.0120
    荷银货币2.11203.04314.95180.014
    易方达货币市场基金 - A级1.97252.98324.84200.0119
    博时现金收益1.75362.94334.96177.4570.0125
    泰信天天收益1.80342.89344.80237.2680.0121
    银华货币市场基金 - A 级1.83332.89354.67250.0122
    光大保德信货币1.76352.81364.81220.0117
    诺安货币市场1.60372.76374.79247.2490.0124
    天治天得利1.38402.7138
    申万巴黎收益宝1.51382.6339
    招商现金增值1.48392.57404.46266.79100.0126
    平均值2.07403.25405.13267.62100.0126

      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46.141122.801
    汇丰晋信2016生命周期27.82263.022
    平均值36.98292.912

      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83.281185.33 1783.90 1734.04 1
    基金天元69.122168.77 2671.46 2695.78 2
    基金裕阳65.313151.18 3574.08 4614.14 3
    基金同盛63.134150.04 4580.09 3559.03 4
    基金裕泽62.115143.59 5465.08 7544.04 5
    基金兴和50.726134.19 6565.59 5481.44 6
    基金鸿阳48.727107.29 7497.56 6442.31 7
    平均值63.207148.63 7591.11 7581.54 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
    基金银丰60.504177.66 1648.87 3576.41 6
    基金景宏60.375168.83 2654.59 2693.22 2
    基金汉盛69.882160.51 3612.83 4600.06 4
    基金同益66.143160.38 4578.90 6675.40 3
    基金久嘉75.771153.48 5694.83 1708.71 1
    基金普惠57.446144.21 6603.98 5578.79 5
    基金普丰56.767126.75 7538.73 7544.66 7
    基金天华47.668118.67 8440.47 9489.15 8
    基金景福43.169110.94 9534.85 8481.01 9
    平均值59.749146.83 9589.78 9594.16 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
    基金泰和72.102187.63 1843.03 1914.03 1
    基金开元51.8013184.23 2681.48 3690.81 5
    基金金盛79.361168.42 3596.21 6645.99 7
    基金通乾67.403162.03 4611.20 5539.23 11
    基金兴华65.394161.34 5656.94 4573.03 9
    基金科翔55.969159.38 6534.48 9706.54 3
    基金科汇64.195157.79 7511.24 12699.50 4
    基金丰和60.266149.87 8724.94 2744.41 2
    基金鸿飞46.5315149.77 9506.83 13488.24 13
    基金安顺55.5110131.04 10547.58 8659.93 6
    基金汉兴54.8812131.02 11445.56 15393.23 15
    基金安信54.9611129.63 12532.31 10576.99 8
    基金金泰57.308123.81 13550.36 7517.03 12
    基金科瑞51.7814123.67 14518.38 11539.81 10
    基金汉鼎57.427120.03 15383.93 16400.57 14
    基金金鑫43.1616102.15 16454.91 14392.84 16
    平均值58.6316146.36 16568.71 16592.64 16

      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。