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      2008 年 9 月 1 日
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      | B12版:基金·数据
    晨星基金业绩排行榜
    更多新闻请登陆中国证券网〉〉〉
     
     
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    晨星基金业绩排行榜
    2008年09月01日      来源:上海证券报      作者:
                                        

                                                                            

                                                                                                                                                                    

                                

    基金代码基金名称单位净值(元)7月晨星评级(两年)今年以来最近三月设立以来最近两年风险评价
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    短债基金(1)
    070009 嘉实超短债1.0015 --2.16--0.737.540.52--1.00 --

        

        

            

        

            

        

        

        

        

        

        

        

        

        

        

        

        

        

        

        

        

            

            

        

            

        

        

        

        

        

        

        

        

    000021华夏优势增长1.6310-- -36.5117-21.0280.24--------
    160311华夏蓝筹核心0.9140-- -35.5916-20.87-3.56--------
    000031华夏复兴0.6660-- -34.1913-19.86-33.40--------
    160314华夏行业精选0.6650-- -34.2214-20.93-32.68--------
    000001华夏成长1.1080★★★★-35.0515-19.24243.7732.400.72
    540002汇丰晋信龙腾1.2336-- -45.54122-25.3863.87--------
    519008汇添富优势精选 2.1565★★★★-41.6364-17.18269.2636.261.02
    519018汇添富均衡增长 0.6592-- -39.5941-20.4289.27--------
    519068汇添富成长焦点 0.9013-- -43.5294-21.35-0.94--------
    070006嘉实服务增值行业 2.4170★★★★★-41.2559-22.58180.2936.200.86
    160706嘉实沪深3000.6270★★ -52.75183-31.10140.0341.731.26
    070010嘉实主题精选0.8080-- -42.9684-25.7496.93--------
    070011嘉实策略增长0.8430-- -44.44110-23.85-1.98--------
    070099嘉实优质企业0.6000-- -41.6966-23.95-40.00--------
    070013嘉实研究精选0.9680-- -----3.20-3.20--------
    530001建信恒久价值0.7940★★★-41.9970-21.93101.8033.150.97偏低
    530003建信优选成长0.7434-- -46.06133-27.6671.87--------
    530005建信优化配置0.6592-- -43.99104-26.15-2.95--------
    150003建信优势动力0.6820-- -----27.37-31.80--------
    519688交银施罗德精选 0.8332★★★★-38.2227-20.27214.2333.200.89
    519690交银施罗德稳健 1.4204★★★★-33.489-19.44115.4334.79偏低0.89
    519692交银施罗德成长 1.7762-- -36.5518-20.0589.88--------
    519694交银施罗德蓝筹 0.6531-- -39.5942-20.91-33.79--------
    260104景顺长城内需增长 2.5360★★★-44.84113-22.02254.1638.661.15
    162605景顺长城鼎益0.8910★★★★-38.9633-20.16244.8435.45偏低0.93偏低
    162607景顺长城资源垄断 0.6500★★★-44.01105-23.53139.6836.771.08
    260108景顺长城新兴成长 0.8660-- -40.1548-23.9793.53--------
    260109景顺长城内需增长贰号1.5670-- -43.77101-21.1870.38--------
    260110景顺长城精选0.7790-- -39.1437-20.75-22.10--------
    260101景顺长城优选股票 0.9369★★ -41.5462-21.68206.4333.720.98偏低
    163302摩根士丹利华鑫资源优选1.2139★★★-43.3989-20.21221.6139.281.06
    160105南方积极配置0.9786★★★-41.0556-22.15162.7135.19偏低0.94偏低
    160106南方高增长1.2193★★ -50.92169-30.05183.0937.781.11
    202002南方稳健成长贰号 0.8380-- -42.4377-21.9378.10--------
    202003南方绩优成长1.3996-- -46.89139-25.8360.32--------
    202005南方成份精选0.8102-- -43.6899-23.54-17.97--------
    202007南方隆元0.5420-- -48.58158-31.22-47.76--------
    202009南方盛元0.8100-- -----18.92-19.00--------
    202001南方稳健成长0.9651★★★-42.6280-22.59222.3834.58偏低0.91偏低
    320003诺安股票0.7993★★★-43.6196-20.95200.8634.91偏低1.04
    320005诺安价值增长0.6464-- -48.04154-26.3428.48--------
    570001诺德价值优势0.7856-- -45.65126-25.46-21.44--------
    160605鹏华中国501.2990★★★★-41.8367-21.75241.3737.261.00
    160607鹏华价值优势0.6250★★★★-42.4076-24.6199.9436.050.92偏低
    160610鹏华动力增长1.0070-- -45.57123-26.5215.78--------
    160611鹏华优质治理0.7880-- -45.62124-24.95-21.20--------
    206001鹏华行业成长0.6921★★★-36.7821-18.67183.6530.520.87
    160603鹏华普天收益0.5780★★★-45.32119-23.85212.3034.59偏低1.01
    519110浦银安盛价值成长 0.6890-- -----28.30-31.10--------

      计算截止日期:2008-8-29

      数据来源:Morningstar晨星(深圳)基金数据中心     http://cn.morningstar.com

      开放式基金

      股票型基金

                                                 

                                                                                        

                                                                                                                                                                                

                      

                                      

                                            

                  

                 

                                  

                                  

                                  

                                       

                  

                              

                          

                  

                                  

                                  

                                  

                      

                                      

                                  

                                       

                      

                     

                      

                                  

                      

                      

                             

                                       

                                      

                                  

                                       

                     

                                  

                          

                                            

                         

                                  

                                            

                  

                     

                     

                                  

                                  

                  

                                  

                                  

                                  

                      

                 

                                  

                                  

                         

                          

                                  

                                  

                 

                                      

                                            

                     

                      

                                  

                     

                                  

                                  

                                  

                                      

                     

                     

                     

                                  

                                       

                              

                     

                                  

                           

                                       

                                  

                                  

                     

                 

                  

                  

                                  

                                  

                      

                                  

                                  

                 

                          

                      

                      

                                  

    基金代码基金名称单位净值(元)7月晨星评级(两年)今年以来最近三月设立以来最近两年风险评价
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    股票型基金(205)
    213002宝盈泛沿海区域 0.5976 ★★-42.90 83-24.55 139.82 34.24偏低1.05
    213003宝盈策略增长 0.9652 ---41.21 58-21.41 7.75--------
    213008宝盈资源优选 0.8080 -------35.92 ----------
    050004博时精选股票 1.2595 ★★★★-42.12 73-22.19 203.05 35.11偏低0.92 偏低
    160505博时主题行业 1.5940 ★★★★★-37.51 25-17.32 280.33 32.050.81
    050201博时价值增长贰号0.5910 ---40.36 49-23.15 67.48 --------
    050008博时第三产业 0.9160 ---39.06 35-19.65 -6.79 --------
    050009博时新兴成长 0.6610 ---40.82 54-21.78 -12.62 --------
    050010博时特许价值 0.9740 -------2.60 -2.60 --------
    050001博时价值增长 0.6050 ★★★★-41.66 65-22.54 220.33 30.920.84
    050002博时裕富0.6730 -52.24 180-29.97 114.01 41.661.24
    200002长城久泰3000.9306 ★★-52.32 181-29.92 144.18 41.791.20
    200006长城消费增值 0.6737 ★★★★-37.32 23-18.31 106.86 32.410.91
    200007长城安心回报 0.5515 ---47.59 147-25.69 60.34 --------
    162006长城久富核心成长1.1543 ---36.56 19-18.96 21.31 --------
    200008长城品牌优选 0.7128 ---39.82 44-21.32 -28.72 --------
    510081长盛动态精选 0.7850 ★★-51.83 178-27.34 139.11 36.161.10
    519100长盛中证1000.7830 ---49.79 164-27.16 18.39 --------
    160805长盛同智优势成长0.7475 ---43.90 103-21.22 27.89 --------
    519039长盛同德0.6153 ---43.42 92-21.76 -40.77 --------
    080001长盛成长价值 0.7010 ★★-40.14 47-20.88 170.36 28.500.88
    519996长信银利精选 0.5799 ★★★-45.84 129-24.88 152.41 38.561.08
    519994长信金利趋势 0.6344 ★★-48.88 160-25.69 78.53 40.411.22
    519993长信增利动态策略0.7179 ---45.85 130-30.58 71.37 --------
    090003大成蓝筹稳健 0.5976 ★★-47.80 149-23.54 161.29 36.00偏低1.01
    090004大成精选增值 0.7182 ★★-46.56 137-26.99 202.87 37.781.04
    519300大成沪深3000.8179 -53.35 185-30.97 82.67 41.251.26
    090006大成20200.5240 ---47.86 151-25.46 69.54 --------
    519017大成积极成长 0.7350 ---47.08 142-26.57 7.08--------
    160910大成创新成长 0.6680 ---49.62 163-24.94 -34.72 --------
    519019大成景阳0.5310 ---45.96 131-25.42 -42.80 --------
    090001大成价值增长 0.5742 ★★★-42.46 78-23.83 234.68 32.690.89
    400001东方龙0.5336 -51.25 174-33.25 112.56 38.881.17
    400003东方精选0.6000 ★★★-51.29 175-32.42 167.18 38.571.07
    400007东方策略成长 0.9534 ---------4.66 --------
    580001东吴嘉禾优势精选0.5746 -45.19 117-22.74 127.11 34.66偏低1.02
    580002东吴价值成长 1.1724 ---26.55 1-17.20 64.79 --------
    580003东吴行业0.7723 -------20.65 -22.77 --------
    100020富国天益价值 0.7184 ★★★★-36.92 22-20.14 349.16 33.760.83
    100022富国天瑞强势 0.5624 ★★★-40.86 55-26.29 177.91 33.79偏低0.99 偏低
    161005富国天惠成长 1.0546 ★★★-40.49 50-22.46 186.49 34.06偏低0.94 偏低
    100026富国天合稳健 0.6581 ---38.11 26-21.51 58.19 --------
    519035富国天博创新主题0.6392 ---43.30 88-23.98 -10.33 --------
    481001工银瑞信核心价值0.7235 ★★★★-34.00 11-16.49 226.07 31.970.85
    483003工银瑞信精选平衡0.6948 ---39.19 38-23.03 59.09 --------
    481004工银瑞信稳健成长1.2237 ---38.59 30-23.04 22.37 --------
    481006工银瑞信红利 0.7444 ---36.70 20-23.33 -22.91 --------
    360001光大保德信量化核心0.7445 ★★-50.34 166-29.68 137.74 38.961.15
    360005光大保德信红利 1.8513 ★★★★★-45.20 118-29.06 141.41 37.530.97 偏低
    360006光大保德信新增长0.8862 ---45.63 125-29.29 84.48 --------
    360007光大保德信优势 0.5843 ---44.67 112-26.64 -41.57 --------
    162703广发小盘成长 1.3786 -51.31 176-34.65 193.63 38.551.17
    270005广发聚丰0.5426 ★★★-47.93 153-26.42 227.40 37.271.04
    270006广发策略优选 1.4063 ---47.46 146-25.37 86.75 --------
    270007广发大盘成长 0.6355 ---47.59 148-28.16 -36.45 --------
    450002富兰克林国海弹性市值1.5440 ★★★★★-33.41 8-20.45 160.61 33.370.70
    450003富兰克林国海潜力组合1.0806 ---38.88 32-20.27 8.06--------
    450004富兰克林国海深化价值0.9459 ---------5.41 --------
    257010德盛小盘精选 0.6350 ★★★-43.15 86-27.51 105.27 32.350.91 偏低
    257020德盛精选股票 0.6570 ★★-50.08 165-32.68 155.56 39.421.15
    257030德盛优势股票 0.9040 ---43.17 87-24.54 -1.68 --------
    020005国泰金马稳健 0.5840 ★★★-45.37 120-29.47 155.62 33.460.94 偏低
    020009国泰金鹏蓝筹价值0.7580 ---43.43 93-24.73 57.17 --------
    519021国泰金鼎价值 0.7900 ---44.99 114-24.90 -14.58 --------
    020010国泰金牛创新成长0.7050 ---46.06 132-27.77 -26.44 --------
    020011国泰沪深3000.4920 ---50.95 170-30.41 -50.75 --------
    020001国泰金鹰增长 0.6300 ★★★-43.42 91-24.73 214.03 37.011.05
    020003国泰金龙行业精选0.5990 ★★★-45.70 127-26.59 193.78 35.03偏低0.98 偏低
    121003国投瑞银核心企业0.7575 ★★★-42.61 79-25.84 87.51 38.730.96 偏低
    121005国投瑞银创新动力0.9326 ---41.96 69-25.40 73.61 --------
    121008国投瑞银成长优选0.6448 -------23.08 -39.90 --------
    519005海富通股票0.5200 -49.07 161-29.06 123.48 33.81偏低1.00
    519007海富通强化回报 0.5740 ★★★-43.39 90-25.74 61.32 32.190.86
    519013海富通风格优势 0.8600 ---46.29 135-27.98 54.12 --------
    510180上证180ETF5.5450 ★★-53.27 184-30.50 109.08 43.801.28
    040005华安宏利1.9483 ---38.68 31-21.14 127.08 --------
    040007华安中小盘成长 0.8392 ---47.07 141-27.03 -12.91 --------
    040008华安策略优选 0.6005 ---42.77 81-22.36 -37.84 --------
    040002华安MSCI中国A股0.6680 ★★★-51.49 177-29.91 170.62 40.901.14
    240005华宝兴业多策略增长0.5062 ★★★★★-30.88 2-23.09 219.49 34.10偏低0.75
    240004华宝兴业动力组合0.6607 ★★★★-40.59 51-25.37 202.63 35.98偏低0.95 偏低
    240008华宝兴业收益增长2.2556 ★★★★-42.34 74-27.37 125.56 38.630.97 偏低
    240009华宝兴业先进成长1.7312 ---39.50 40-26.00 73.12 --------
    240010华宝兴业行业精选0.7434 ---43.60 95-26.40 -25.66 --------
    410001华富竞争力优选 0.6673 ★★-46.08 134-28.49 129.28 36.04偏低1.00
    410003华富成长趋势 0.6099 ---47.80 150-27.19 -22.33 --------
    630001华商领先企业 0.7650 ---45.74 128-31.34 -17.94 --------
    000011华夏大盘精选 4.9330 ★★★★★-31.48 4-18.21 468.32 38.430.79
    510050上证50ETF2.0410 ★★★-50.90 168-26.56 154.94 42.931.23
    002011华夏红利2.1270 ★★★★★-32.00 5-18.79 298.50 33.750.73
    159902中小企业板ETF 1.5910 ★★-46.54 136-29.97 59.10 40.891.23
    519029华夏平稳增长 1.3110 ---41.55 63-21.40 134.96 --------

        

        

        

        

        

        

        

        

    161606融通行业景气 0.6980★★ -48.71159-25.98137.7538.001.07
    161607融通巨潮100 0.8090★★ -51.22173-27.51167.3341.721.23
    161609融通动力先锋 1.1940-- -48.56157-24.2453.12--------
    161610融通领先成长 0.8040-- -45.44121-24.86-8.27--------
    161604融通深证100 0.9310★★ -52.38182-33.26139.8542.481.19
    375010上投摩根中国优势1.9081★★★-47.91152-31.39288.7041.721.06
    377010上投摩根阿尔法3.9464★★★★★-39.0936-24.31306.8834.03偏低0.81
    378010上投摩根成长先锋1.8536-- -43.6798-24.3585.36--------
    377020上投摩根内需动力0.8415-- -39.7543-23.50-8.38--------
    310328申万巴黎新动力0.6812★★ -45.07116-26.86159.6037.041.08
    310358申万巴黎新经济0.6032-- -41.0857-24.5640.37--------
    162204泰达荷银行业精选3.0662★★★★-43.73100-25.78234.8038.631.02
    162208泰达荷银首选企业1.0894-- -47.08143-28.4913.79--------
    162209泰达荷银市值优选0.5247-- -51.21172-30.42-47.53--------
    162201泰达荷银成长 1.4527★★★-34.0712-22.30220.0126.840.67
    162202泰达荷银周期 1.2011★★★-38.5329-25.10225.5332.050.86
    162203泰达荷银稳定 1.0545★★ -37.3824-18.77196.5531.000.89
    290002泰信先行策略 0.5685★★★-41.3460-22.46155.0139.551.03
    290004泰信优质生活 0.8378-- -48.38155-26.7517.34--------
    420001天弘精选0.4967 -46.62138-25.3056.2135.73偏低1.15
    350002天治品质优选 0.6212★★★-44.46111-28.61122.5235.08偏低1.00
    163503天治核心成长 0.4551 -50.75167-28.9895.8740.051.23
    350005天治创新先锋 0.7874-- -----15.88-21.26--------
    161903万家公用事业 0.5788★★ -44.15106-26.3683.8432.670.98偏低
    519181万家和谐增长 0.5453-- -48.40156-25.7012.47--------
    519180万家1800.5769★★★-51.16171-29.40130.5940.541.17
    519087新世纪优选分红0.4788 -51.89179-32.21100.5139.981.12
    550002信诚精萃成长 0.6355-- -40.7353-24.3053.58--------
    550003信诚盛世蓝筹 0.9770-- -------2.30--------
    610001信达澳银领先增长0.8434-- -47.34145-25.46-4.54--------
    163402兴业趋势0.9306★★★★★-30.913-15.38363.8432.880.73
    340006兴业全球视野 2.4366-- -32.176-19.31143.66--------
    340007兴业社会责任 0.8720-- -----9.36-12.80--------
    110003易方达500.7439★★★-49.23162-26.62126.0941.151.17
    110005易方达积极成长0.9698★★★★-39.0434-21.71242.6535.59偏低0.88
    159901易方达深证100ETF2.4270★★★-55.15187-35.50137.4045.481.22
    110009易方达价值精选1.5416-- -39.2739-21.81114.85--------
    112002易方达策略成长贰号1.0890-- -41.9368-21.60101.99--------
    110010易方达价值成长0.9070-- -43.6297-28.53-5.77--------
    110029易方达科讯0.6605-- -32.717-18.42-26.67--------
    110002易方达策略成长2.9740★★★★-42.7882-21.70321.7539.570.97偏低
    560002益民红利成长 0.6053-- -44.42109-28.3947.82--------
    560003益民创新优势 0.6744-- -47.05140-27.21-31.53--------
    519668银河竞争优势成长0.9608-- -----3.92-3.92--------
    180003银华-道琼斯88 0.7961★★★-41.4261-17.66236.4736.681.04
    519001银华核心价值 0.9092★★★★-42.3875-21.64249.3435.79偏低0.97偏低
    180010银华优质增长 1.3402★★★★-42.0071-21.85104.5837.510.99
    180012银华富裕主题 0.7262-- -42.0872-21.7044.84--------
    460001友邦华泰盛世中国0.5752★★★-43.1585-25.85190.2434.91偏低0.97偏低
    510880友邦华泰上证红利ETF1.9210-- -58.59189-36.9825.88--------
    460002友邦华泰积极成长0.8594-- -33.6210-16.67-14.06--------
    161706招商优质成长 1.0530★★★★-43.83102-25.64254.0936.570.95偏低
    217009招商核心价值 0.9574-- -45.00115-23.86-4.26--------
    217010招商大盘蓝筹 0.9830-- -------1.70--------
    398001中海优质成长 0.5650★★★-39.8846-22.13171.0633.84偏低0.92偏低
    398011中海分红增利 0.5573 -47.16144-29.4299.8832.260.99偏低
    398021中海能源策略 0.8947-- -44.18107-25.82-4.71--------
    166001中欧新趋势0.9112-- -44.30108-24.222.05--------
    288002中信红利精选 1.5605★★★★★-40.6752-26.05251.3237.380.95偏低
    163803中银持续增长 0.7042★★★★-39.8445-26.08136.7032.920.82
    163804中银收益0.6647-- -38.2928-23.3847.40--------
    163805中银策略0.8965-- -----10.37-10.35--------
    590001中邮核心优选 0.9018-- -55.30188-35.3082.05--------
    590002中邮核心成长 0.5249-- -53.90186-33.47-47.51--------

      积极配置型基金

                                                      

                                                                                            

                                                                                                                                                                                

                              

                          

                               

                                                     

                                                     

                                                

                                  

                              

                                  

                          

                                      

                      

                                                

                          

                                      

                              

                          

                               

                              

                           

                                           

                              

                                      

                                                

                              

                               

                               

                                  

                          

                         

                          

                                   

                                                

                                  

                           

                         

                                           

                      

                          

                                                         

                               

                                                         

                              

                          

                              

                          

                               

                              

                              

                              

                           

    基金代码基金名称单位净值(元)7月晨星评级(两年)今年以来最近三月设立以来最近两年风险评价
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    积极配置型基金(51)
    213001宝盈鸿利收益0.6282 ★★★-37.67 22-19.64 188.37 33.591.15
    050007博时平衡配置1.0050 ★★★★★-20.55 2-8.39 107.02 25.300.63
    200001长城久恒1.2040 ★★★★-29.13 4-17.87 188.20 27.730.86
    080002长盛创新先锋0.9633 ---------3.67 --------
    519991长信双利优选0.9270 ---------7.30 --------
    100029富国天成红利0.8881 -------11.19 -11.19 --------
    100016富国天源平衡0.8091 -36.23 16-19.93 92.17 24.920.93
    270002广发稳健增长1.0833 ★★★-44.76 39-26.49 223.85 34.991.21
    270001广发聚富0.9647 ★★★-40.38 32-23.53 264.88 30.360.99 偏低
    450001富兰克林国海中国收益0.8550 ★★-34.00 8-18.99 80.27 24.720.89
    255010德盛稳健1.4330 -40.45 33-21.48 102.33 29.77偏低1.10
    121002国投瑞银景气行业 0.6516 ★★★★-35.08 11-20.00 175.32 30.530.94 偏低
    121006国投瑞银稳健增长 0.9690 ---------3.10 --------
    519003海富通收益增长 0.5880 ★★-45.20 40-28.21 96.75 31.731.10
    519015海富通精选贰号 0.8640 ---38.11 24-22.65 -13.60 --------
    519011海富通精选0.6202 ★★★-40.89 36-26.24 222.46 29.42偏低0.98 偏低
    040004华安宝利配置0.7570 ★★★★★-31.83 6-17.36 243.70 26.610.72
    040001华安创新0.6200 ★★★★-37.81 23-19.38 222.96 30.21偏低0.88
    240001宝康消费品1.0011 ★★★-35.67 13-22.59 219.62 30.251.03
    240002宝康灵活配置1.2120 ★★★★-35.32 12-22.02 223.63 30.230.97 偏低
    002021华夏回报贰号0.8770 ---27.01 3-11.59 117.52 --------
    002001华夏回报1.0900 ★★★★★-19.57 1-10.73 333.87 26.860.64
    540003汇丰晋信动态策略 0.8895 ---40.08 29-19.01 -11.05 --------
    519066汇添富蓝筹稳健 0.9970 ---------0.30 --------
    070001嘉实成长收益0.6779 ★★★-38.45 25-17.85 230.81 29.77偏低1.01
    070002嘉实增长2.9620 ★★★★-33.91 7-19.55 294.27 28.430.88
    070003嘉实稳健0.8280 ★★★★-40.22 31-25.94 201.26 33.011.05
    162102金鹰中小盘0.9095 -40.47 34-31.70 52.60 27.721.20
    210001金鹰成份股优选 0.5545 ★★-46.02 41-31.99 94.13 32.941.18
    260103景顺长城动力平衡 0.6556 ★★★-34.90 9-19.40 204.56 29.80偏低1.02
    233001摩根士丹利华鑫基础行业0.5798 ★★-53.62 42-39.44 55.27 36.641.30
    320001诺安平衡0.5959 ★★-37.33 21-21.02 186.41 31.531.05
    320006诺安灵活配置0.9390 -------6.01 -6.10 --------
    161605融通蓝筹成长1.0510 -44.54 38-20.62 143.04 34.591.26
    161601融通新蓝筹0.6418 ★★★★-40.47 35-18.28 233.30 33.641.01
    373010上投摩根双息平衡 0.7563 ★★★-36.67 18-21.19 88.95 30.890.93
    373020上投摩根双核平衡 0.9234 -------7.66 -7.66 --------
    310308申万巴黎盛利精选 0.7586 ★★★★-36.14 15-20.45 154.02 31.370.95 偏低
    162207泰达荷银效率优选 0.6137 ★★-39.98 28-22.12 47.61 28.541.02
    290005泰信优势增长1.0060 --------0.60--------
    350001天治财富增长0.6516 ★★-35.06 10-16.14 103.60 29.00偏低0.99 偏低
    519183万家双引擎1.0052 --------0.52--------
    550001信诚四季红0.6976 ★★★-37.19 20-22.32 81.66 30.251.01 偏低
    110001易方达平稳增长 1.3220 ★★-31.20 5-13.93 223.93 27.440.88
    150103银河银泰理财0.6491 ★★★-42.18 37-22.17 138.58 35.051.14
    151001银河银联稳健0.6627 ★★★★★-38.96 27-21.13 214.47 34.121.07
    180001银华优势企业0.8793 ★★-37.04 19-17.27 205.59 29.08偏低1.01
    217005招商先锋基金0.6255 ★★★-40.12 30-22.98 166.30 31.291.03
    217001招商安泰股票0.6825 ★★★-36.23 17-19.64 199.79 29.94偏低0.99 偏低
    288001中信经典配置1.4489 ★★★-38.72 26-22.12 146.73 30.09偏低0.99 偏低
    163801中银中国精选1.1939 ★★★★-35.84 14-19.44 190.75 30.551.02

      保守配置型基金

                                             

                                                                                        

                                                                                                                                                                            

                         

                            

                     

                     

                         

                        

                    

                        

    基金代码基金名称 单位净值(元)7月晨星评级(两年)今年以来最近三月设立以来最近两年风险评价
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    保守配置型基金(8)
    253010德盛安心成长0.8010 ★★-23.33 8-10.70 86.38 17.34偏低1.07 偏低
    121001国投瑞银融华债券1.0560 -22.88 6-8.71 124.61 18.20偏低1.14
    540001汇丰晋信20161.7463 ★★★★-22.61 5-9.25 86.92 22.621.08
    202101南方宝元债券1.0162 ★★★★-14.19 2-8.84 144.08 16.530.75
    310318申万巴黎盛利配置0.9656 ★★-9.48 1-3.90 79.69 14.730.61
    162205泰达荷银风险预算1.2516 ★★★-15.05 3-7.44 123.84 19.571.00 偏低
    340001兴业可转债 1.0437 ★★★★★-17.41 4-6.69 214.87 24.871.10
    217002招商安泰平衡1.6785 ★★★-23.09 7-10.63 152.73 21.571.25

      普通债券基金

                                                          

                                                                                                

                                                                                                                                                                                    

                                                        

                                   

                                                   

                          

                                  

                                      

                      

                                      

                                      

                                               

                                               

                                                        

                                  

                                                     

                                                    

                                               

                                               

                               

                                                    

                                                    

                                                    

                                                    

                                  

                                      

                                                    

                               

                                                         

                                               

                                               

                                   

                                   

                                                            

                                  

                                  

                                          

                                       

                                                    

                                                    

                               

                                     

                                     

                                               

                                               

                                                        

                                       

                                                    

                           

                                               

                                     

                              

                                  

                               

                                                        

                               

    基金代码基金名称单位净值(元)7月晨星评级(两年)今年以来最近三月设立以来最近两年风险评价
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    普通债券基金(54)
    213007宝盈增强收益1.0133 ------1.271.33--------
    050006博时稳定价值 - B1.0820 ★★1.41150.8412.38 2.17偏低0.50 偏低
    050106博时稳定价值 - A1.0850 --1.59130.938.18--------
    510080长盛中信全债1.1296 ★★★★★-6.98 28-2.68 102.66 9.282.22
    090002大成债券 - A/B1.0401 ★★★3.0221.1639.02 1.940.41
    092002大成债券 - C1.0253 ★★★2.6661.0414.58 1.930.49
    100018富国天利增长债券1.1914 ★★★★★-2.24 25-1.27 88.16 7.651.53
    485005工银瑞信增强收益债券 - B1.1029 ---0.42 191.1112.29 --------
    485105工银瑞信增强收益债券 - A1.1089 ---0.14 181.2212.90 --------
    485107工银瑞信信用添利债券 - A1.0172 ------1.101.72--------
    485007工银瑞信信用添利债券 - B1.0156 ------0.991.56--------
    270009广发增强债券1.0160 ------1.091.60--------
    020002国泰金龙债券 - A1.0340 ★★★3.4710.9830.76 1.940.25
    020012国泰金龙债券 - C1.0330 --------0.78--------
    121009国投瑞银稳定增利1.0252 ------0.942.52--------
    040009华安稳定收益债券 - A 1.0130 ------1.081.30--------
    040010华安稳定收益债券 - B 1.0117 ------0.981.17--------
    240003宝康债券1.1439 ★★★★-0.95 21-1.24 62.90 5.050.73 偏低
    410004华富收益增强 - A1.0127 ------1.271.27--------
    410005华富收益增强 - B1.0116 ------1.161.16--------
    001011华夏希望债券 - A1.0190 ------0.991.90--------
    001013华夏希望债券 - C1.0180 ------0.891.80--------
    001001华夏债券 - A/B1.0910 ★★★1.84110.8446.27 3.47偏低0.60 偏低
    001003华夏债券 - C1.0810 ★★★1.58140.6626.13 3.44偏低0.64 偏低
    519078汇添富增强收益1.0190 ------1.091.90--------
    070005嘉实债券1.1560 ★★★★-5.56 27-3.26 64.94 8.012.48
    530008建信稳定增利1.0090 --------0.90--------
    519680交银施罗德增利债券 - A/B1.0226 ------1.682.26--------
    519682交银施罗德增利债券 - C1.0208 ------1.562.08--------
    202102南方多利增强1.0287 ★★-2.12 24-1.52 9.603.33偏低1.17
    320004诺安优化收益1.0275 ★★-0.86 20-1.33 7.802.42偏低0.85
    160612鹏华丰收1.0120 ------1.201.20--------
    160602鹏华普天债券 - A1.1300 ★★★2.9130.6227.97 1.080.07
    160608鹏华普天债券 - B1.1090 ★★★2.3190.4514.27 1.060.13
    161603融通债券1.1460 ★★★2.8540.1741.40 4.361.17
    290003泰信双息双利1.0372 ★★1.0616-0.14 6.271.95偏低0.84 偏低
    420002天弘永利债券 - A1.0146 ------0.841.46--------
    420102天弘永利债券 - B1.0160 ------0.931.60--------
    161902万家增强收益1.0143 ★★★★-0.07 170.9550.06 5.311.15
    110007易方达稳健收益 - A 1.0314 2.4870.996.970.570.48
    110008易方达稳健收益 - B 1.0338 2.6951.077.420.590.47
    110017易方达增强回报债券 - A1.0170 ------0.691.70--------
    110018易方达增强回报债券 - B1.0150 ------0.591.50--------
    560005益民多利债券1.0103 ------1.031.03--------
    519666银河银信添利 - B1.0374 ---1.22 23-0.04 12.76 --------
    519667银河银信添利 - A1.0383 ------0.060.11--------
    151002银河银联收益1.5042 ★★★★-11.10 29-3.12 92.18 11.393.40
    460003友邦华泰金字塔稳本增利 - B1.0242 ------0.322.13--------
    519519友邦华泰金字塔稳本增利 - A1.0261 2.4480.406.030.810.44
    217008招商安本增利1.0994 ★★★-4.51 26-0.70 20.34 6.442.28
    217203招商安泰债券 - B1.1372 ★★★1.81120.7925.42 5.740.71 偏低
    217003招商安泰债券 - A1.1483 ★★★★2.12100.9042.70 5.750.64 偏低
    395001中海稳健收益1.0190 ------0.891.90--------
    288102中信稳定双利1.0167 ★★★★-1.12 220.0224.95 5.081.36

      保本基金

                                        

                                                                                

                                                                                                                                                                            

                        

                             

                    

                    

    基金代码基金名称 单位净值(元)7月晨星评级(两年)今年以来最近三月设立以来最近两年风险评价
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    保本基金(4)
    020018 国泰金鹿保本二期1.0070 ---8.75 --0.5952.58 48.20--1.49 --
    620001 宝石动力保本0.9710 ---8.71 ---0.34 -2.90 --------
    202201 南方避险增值2.0780 ---22.42 ---6.24 199.62 23.76--1.13 --
    180002 银华保本增值1.0070 ---8.00 ---1.14 41.74 7.74--0.38 --

      短债基金

      货币市场基金

                                                  

                                                                                        

                                                                                                                                                                            

                                      

                                               

                                               

                                      

                                          

                                          

                                              

                                          

                                              

                                          

                                          

                                               

                                               

                                      

                                              

                                      

                                          

                                          

                                               

                                      

                                              

                                          

                                           

                                               

                                          

                                              

                                          

                                              

                                      

                                               

                                          

                                              

                                          

                                          

                                          

                                          

                                          

                                      

                                          

                                               

                                               

                                          

                                          

                                               

                                      

                                              

                                          

                                          

                                      

                                      

                                               

    基金代码基金名称单位净值(元)7月晨星评级(两年)今年以来最近三月设立以来最近两年风险评价
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    货币市场基金(51)
    050003博时现金收益 1.0000 --2.17--0.8012.33 0.22------
    200003长城货币1.0000 --1.92--0.758.350.30------
    080011长盛货币1.0000 --2.05--0.777.800.34------
    519999长信利息收益 1.0000 --2.05--0.8112.03 0.34------
    090005大成货币 - A 1.0000 --2.02--0.738.580.26------
    091005大成货币 - B 1.0000 --2.17--0.799.430.26------
    400005东方金帐簿 1.0000 --1.84--0.735.92--------
    100025富国天时货币 - A1.0000 --1.69--0.676.060.29------
    100028富国天时货币 - B1.0000 --1.85--0.735.56--------
    482002工银瑞信货币 1.0000 --2.04--0.747.120.46------
    360003光大保德信货币1.0000 --2.00--0.678.020.26------
    270004广发货币1.0000 --1.84--0.728.240.42------
    020007国泰货币1.0000 --1.75--0.638.020.46------
    519505海富通货币 - A1.0000 --2.12--0.7610.39 0.37------
    519506海富通货币 - B1.0000 --2.28--0.827.11--------
    040003华安现金富利 1.0000 --1.90--0.7612.78 0.34------
    240006华宝兴业现金宝 - A1.0000 --1.95--0.758.670.36------
    240007华宝兴业现金宝 - B1.0000 --2.10--0.819.570.36------
    410002华富货币1.0000 --2.09--0.726.460.24------
    003003华夏现金增利 1.0000 --2.07--0.7812.49 0.38------
    519517汇添富货币 - B1.0000 --1.84--0.714.87--------
    519518汇添富货币 - A1.0000 --1.68--0.656.960.52------
    070008嘉实货币1.0000 --2.05--0.7910.26 0.54------
    530002建信货币1.0000 --2.07--0.787.070.33------
    519588交银施罗德货币 - A1.0000 --1.93--0.706.950.26------
    519589交银施罗德货币 - B1.0000 --2.09--0.764.29--------
    260102景顺长城货币 1.0000 --2.08--0.768.160.30------
    163303摩根士丹利华鑫货币1.0000 --1.65--0.566.58--------
    202301南方现金增利 1.0000 --1.93--0.7312.23 0.25------
    320002诺安货币1.0000 --1.94--0.759.440.19------
    160606鹏华货币 - A 1.0000 --2.02--0.749.280.47------
    160609鹏华货币 - B 1.0000 --2.14--0.766.78--------
    161608融通易支付 1.0000 --1.92--0.727.110.32------
    370010上投摩根货币 - A1.0000 --1.67--0.617.320.36------
    370011上投摩根货币 - B1.0000 --1.78--0.668.140.37------
    310338申万巴黎收益宝1.0000 --1.59--0.635.300.22------
    162206泰达荷银货币 1.0000 --1.63--0.656.980.44------
    290001泰信天天收益 1.0000 --1.90--0.7111.73 0.25------
    350004天治天得利货币1.0000 --1.90--0.785.670.20------
    519508万家货币1.0000 --2.20--0.787.470.52------
    340005兴业货币1.0000 --1.93--0.786.590.41------
    110006易方达货币 - A1.0000 --1.95--0.789.190.32------
    110016易方达货币 - B1.0000 --2.11--0.836.430.32------
    560001益民货币1.0000 --1.95--0.706.530.35------
    150005银河银富货币 - A1.0000 --2.05--0.7810.43 0.47------
    150015银河银富货币 - B1.0000 --2.21--0.846.56--------
    180008银华货币 - A 1.0000 --1.79--0.708.860.29------
    180009银华货币 - B 1.0000 --1.95--0.769.860.28------
    217004招商现金增值 1.0000 --1.90--0.7211.52 0.15------
    288101中信现金优势 1.0000 --2.97--0.9810.14 0.46------
    163802中银货币1.0000 --2.04--0.768.430.35------

      封闭式基金

                                            

                                                         

                                                                                                                                                    

                      

                      

             

             

             

             

             

             

             

    基金代码 基金名称单位净值(元)今年以来最近三月设立以来最近两年风险评价折价率(%)
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    封闭式基金(33)
    150001瑞福进取0.3760 -67.61 33-45.11 -55.53 --------61.17
    150002大成优选0.6210 -46.88 32-21.09 -35.83 ---------15.78
    184688基金开元0.8355 -44.37 30-30.48 427.84 37.781.09 -20.77
    184689基金普惠1.3468 -45.74 31-25.61 280.99 34.401.17 -27.98
    184690基金同益1.0705 -42.26 22-22.57 389.59 33.290.99 -28.91
    184691基金景宏1.3535 -44.12 29-27.06 278.66 38.951.05 -28.41
    184692基金裕隆1.0167 -35.16 7-19.03 332.09 33.03偏低0.92 -26.23
    184693基金普丰1.0667 -42.34 23-23.00 178.58 32.38偏低1.09 -29.31
    184698基金天元1.1447 -40.30 17-23.97 313.40 34.280.95 偏低-28.71

                                            

                                                         

                                                                                                                                                    

             

             

             

             

             

             

             

             

             

    基金代码 基金名称单位净值(元)今年以来最近三月设立以来最近两年风险评价折价率(%)
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    封闭式基金(33)
    184699基金同盛0.8701 -42.81 26-22.17 188.02 33.531.13 -30.12
    184701基金景福1.1485 -43.68 28-20.56 142.30 34.401.12 -28.78
    184703基金金盛1.1176 -40.72 18-23.91 241.64 35.031.06 -9.63
    184705基金裕泽0.9193 -40.80 19-19.26 242.50 34.221.15 -15.59
    184706基金天华0.8957 -34.14 5-15.35 131.42 30.200.93 偏低-8.79
    184712基金科汇1.2933 -36.17 10-22.80 490.71 34.910.97 偏低2.92
    184713基金科翔1.6653 -36.56 12-26.73 396.37 33.600.93 偏低-3.92
    184721基金丰和0.7139 -33.92 4-20.62 222.17 31.23偏低0.90 -25.90
    184722基金久嘉0.7898 -35.43 8-19.94 244.92 33.411.00 -27.70

                                            

                                                         

                                                                                                                                                    

             

             

             

             

             

             

             

             

             

             

             

             

             

             

             

    基金代码 基金名称单位净值(元)今年以来最近三月设立以来最近两年风险评价折价率(%)
    总回报率(%)排名总回报率(%)总回报率(%)波动幅度(%)评价晨星风险系数评价
    封闭式基金(33)
    184728基金鸿阳0.7003 -43.41 27-21.31 93.41 33.22偏低1.25 -27.32
    500001基金金泰0.9141 -42.37 24-23.67 322.75 33.281.10 -24.73
    500002基金泰和0.7787 -41.25 20-26.47 410.47 34.490.94 偏低-16.40
    500003基金安信1.4462 -33.13 3-20.10 593.00 29.100.83 -22.00
    500005基金汉盛1.6273 -36.38 11-24.05 325.13 29.980.83 -24.17
    500006基金裕阳1.4151 -39.00 15-21.00 474.96 30.99偏低0.92 -22.62
    500008基金兴华1.0796 -32.27 2-14.27 698.43 30.540.84 -18.67
    500009基金安顺1.2361 -29.79 1-16.74 432.89 28.440.76 -23.71
    500011基金金鑫0.7873 -42.64 25-24.54 155.64 30.951.10 -30.65
    500015基金汉兴1.3451 -36.12 9-19.98 151.37 28.320.88 -28.85
    500018基金兴和1.0245 -38.11 14-20.88 239.73 30.100.94 偏低-25.33
    500025基金汉鼎1.2346 -34.52 6-26.33 112.28 32.12偏低0.98 偏低-7.18
    500038基金通乾1.2245 -39.05 16-25.12 170.95 33.511.05 -27.48
    500056基金科瑞1.0070 -42.03 21-24.07 215.15 33.591.12 -26.81
    500058基金银丰0.8880 -37.72 13-18.01 182.54 32.92偏低1.03 -29.17

      注1:晨星对开放式基金以投资组合为基础进行分类,对新设立的开放式基金暂时按招募说明书规定分类。分类和评级方法请查阅http://cn.morningstar.com

      注2:货币市场基金和保本基金提供回报率,但不提供排名。其他类型基金不提供最近一周、最近一月、最近三月和最近六月的回报率排名。

      注3:晨星风险评价及夏普比率计算周期为两年,且建立在月度收益基础上。

      免责声明:本公司不保证信息的准确性、完整性和及时性,同时也不保证本公司做出的任何建议或评论不会发生任何变更。过往业绩并不代表将来业绩。在任何情况下,我公司不就本报告中的任何内容对任何投资做出任何形式的担保。本报告内容的版权归Morningstar晨星公司所有。