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      | B13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11月10日      来源:上海证券报      作者:
      计算截止日期2008-11-6

      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
                             

                    

                                

        

                         

                                                                         

            

                                                                         

                

            

                         

                        

            

            

                         

                         

                                                                    

                                                                                         

                                        

    华安宏利2-44.813-52.39154.8312.0219
    景顺长城鼎益股票型1-43.461-54.54246.392178.0611.8920
    上投摩根成长先锋 4142-48.354-56.10334.7432.1017
    中小板111-54.479-57.57411.7382.419
    银华-道琼斯88212-44.112-57.84528.094149.0522.0318
    招商优质成长432-50.525-59.32626.5852.1016
    泰达荷银首选-52.276-61.547
    海富通股票1141-53.187-63.648-6.652063.55122.1415
    长盛中证100-54.038-65.309
    易基503343-55.0511-65.751010.241285.5282.3613
    万家1803443-55.9812-65.991110.361192.2842.3712
    融通深证100指数 2224-57.6019-66.08123.141586.6372.473
    华安中国A股433-56.8917-66.221312.6872.3711
    上证50交易型开放式指数43-55.0210-66.671411.41989.6262.464
    光大保德信量化核心1232-58.2022-66.97151.891691.7552.428
    长城久泰中信标普300指数3324-57.1318-67.06169.9413103.9232.4110
    融通巨潮100指数 3432-56.2913-67.49177.571484.0392.437
    上证180 交易型4424-56.4014-67.521810.96102.512
    嘉实300231-57.9521-67.82190.781775.93102.435
    博时裕富2224-56.6915-67.8220-0.491971.83112.3514
    大成沪深3001214-57.7420-68.2721-0.41182.436
    易方达深证1001-59.5024-68.382218.8862.611
    友邦华泰上证红利ETF-58.5523-69.5223
    国泰沪深300-56.7616
    平均值-54.2124-63.912314.632097.68122.3220

      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
        

        

                                                                             

        

                    

                                                                        

                                                                         

                    

                    

                    

                                             

                                                                         

        

                                                                        

                                                                             

                         

        

                                                                         

                    

                                                                         

                    

        

        

                                                                        

        

                                                                        

                                                                         

                         

                                                                             

                         

                    

                                                                         

                    

                                                                         

                                                                        

                                                                         

                    

                    

        

                                                                        

                                                                             

                                                                         

                    

                                                                        

                                                                         

                                                                         

                                                                         

                    

                                                                         

                                                                        

                    

                                                                         

                                                                         

                                                                        

                                                                         

                         

        

                         

                                                                         

                                                                        

                    

                                                                         

                                            

                                                                         

                                                                        

                    

                                                                        

                                                                         

                         

                                                                         

                    

                                                                         

                         

                                                                         

                                                                         

                                             

                                                                         

                                                                         

                                                                         

                                                                        

                                                                         

                                                                             

        

                                                                         

                                                                         

                    

                    

                         

                    

                    

                                                                         

        

                                                                         

    合丰成长112-35.966-37.72134.5529120.54261.6771
    华夏大盘精选 4-36.968-39.372117.331373.6811.9637
    鹏华行业成长基金3241-34.543-42.78340.8919163.46101.7068
    中银中国精选混合型4342-35.715-43.89448.7212152.54151.6572
    多策略增长2-41.2227-44.46574.632186.9261.8559
    华夏复兴-36.777-45.776
    工银瑞信核心价值424-37.279-45.92741.1718161.90111.8755
    富国天益价值基金344-40.5019-46.18855.368205.4531.8658
    合丰周期2142-39.8617-46.89929.3937141.25181.7964
    兴业全球视野 4-43.7445-47.501069.5441.8754
    长城久富核心成长-40.7722-47.6411
    海富通精选贰号-37.7710-47.6512
    富兰克林国海弹性4-42.5736-47.771369.9831.9734
    中银增长基金 434-45.9570-48.191442.77141.9441
    中信红利精选 34-41.4128-48.361563.5371.9245
    交银施罗德成长-38.9513-48.481653.45101.9440
    华夏优势增长-40.7521-48.5817
    合丰稳定1142-39.7415-48.901818.7255113.57301.6870
    金鹰中小盘精选基金1121-41.7130-48.9619-16.457355.34401.9343
    富兰克林国海潜力组合-41.1826-50.0020
    招商安泰股票基金2242-39.4114-50.102134.5828121.77241.6869
    东吴双动力-40.9724-50.1522
    易方达价值4-41.8431-50.182353.5392.0029
    易方达积极成长 443-41.8732-50.522442.5715168.2781.9051
    华安创新334-39.8516-50.602536.7125136.93191.6373
    博时主题行业股票-41.5129-50.972664.766189.4451.8756
    富国天合稳健-44.3954-51.0927
    万家公用事业行业112-43.7846-51.92287.326852.86412.0226
    汇添富均衡增长 343-40.3518-51.942939.52221.8460
    工银瑞信红利-42.3735-52.0530
    工银瑞信精选平衡113-44.1652-52.083116.27581.7467
    汇添富优势24-35.434-52.193265.055213.8621.8161
    海富通精选1144-44.1050-52.463320.0951108.25311.7566
    交银施罗德精选 444-40.9925-52.483438.7723143.97161.7665
    天治品质优选混合型2221-44.2753-52.543529.2338107.36321.9049
    富国天瑞强势地区精选2122-50.10110-52.55367.9665114.54292.158
    工银瑞信稳健成长-42.5937-52.6337
    上投阿尔法34-48.0191-52.643841.6516199.6441.9050
    长盛同德主题增长-42.9039-52.7439
    益民红利成长-44.9257-52.8540
    富国天惠2124-46.9479-53.024118.72541.9931
    内需动力-47.0280-53.0742
    南方积极配置 3234-42.9440-53.514331.8233126.81201.9246
    景顺成长4434-43.3341-53.604436.95241.9342
    易基策略二号 3-40.8323-53.674544.15132.0323
    交银施罗德蓝筹-42.7738-53.6946
    易基策略成长 3-40.7020-54.124752.9111182.2372.0521
    建信恒久价值 1224-45.1059-54.264814.64612.0325
    博时新兴成长-43.8147-54.3249
    博时第三产业成长-42.3334-54.4750
    信诚精萃成长-45.9268-54.6251
    国泰金鹰增长 3311-45.9369-54.675231.2635126.70212.0128
    鹏华价值优势 434-48.3396-54.695336.55272.1012
    景顺长城优选股票213-46.1572-54.715413.316298.97341.9052
    华宝兴业动力组合4434-47.5186-54.785536.66261.9148
    金鹰成份股优选 2121-46.6575-55.165619.055388.53361.8753
    荷银精选4424-44.1451-55.175740.4020166.3392.0617
    国投瑞银创新动力-47.7888-55.2558
    德盛优势-43.5743-55.2859
    宝盈策略增长-44.0149-55.2860
    长城消费增值 3334-46.9478-55.416129.12391.9538
    宝盈泛沿海区域增长1112-48.2095-55.63627.346781.06381.9636
    景顺长城精选蓝筹-46.0571-55.6463
    易方达价值成长-49.59103-55.8364
    汇添富成长焦点-43.4742-56.0165
    南方稳健成长 333-45.8765-56.236629.4036106.79331.8657
    申万巴黎新经济-48.0492-56.2667
    银华优质增长 42-44.7855-56.406839.93211.9930
    大成精选增值混合型3424-45.2962-56.486931.3734152.56142.0716
    银华富裕主题-43.9148-56.5070
    富国天博创新主题-47.2084-56.8271
    国投瑞银核心企业442-47.1482-56.927232.56302.0815
    博时精选股票基金43-44.8956-56.947341.6117143.10171.8162
    南方绩优成长-46.3973-56.9674
    南方成份精选-45.8866-56.9975
    华宝兴业先进成长-54.63127-57.0776
    长城品牌优选-49.57102-57.0977
    诺安股票442-45.2760-57.167832.42321.9933
    普天收益222-45.0858-57.167919.8352122.69231.9344
    友邦华泰盛世中国3424-49.38101-57.278026.3143119.99271.9539
    南稳贰号223-45.7163-57.318120.43501.8163
    鹏华优质治理-46.6576-57.4782
    国泰金龙行业精选2321-47.9289-57.558327.1341120.88251.9635
    华宝兴业行业精选-50.13111-57.5784
    汇丰晋信龙腾 2322-49.71106-57.838517.68562.0519
    华安策略优选-47.0881-58.1186
    中海分红增利 1124-47.9490-58.16871.427169.62391.9147
    景顺长城内需增长贰号-45.7164-58.288821.92462.0520
    招商核心价值-46.7577-58.3189
    景顺长城内需增长基金3314-46.4474-58.639021.6047158.19122.0324
    光大保德信优势配置-50.65115-58.7391
    银华核心价值 343-47.2083-58.909226.5842153.13131.9932
    建信优选成长 3324-49.67104-59.239321.19482.0227
    长信增利动态策略-50.76116-59.2594
    诺德价值优势-49.74107-59.3595
    景顺资源2214-47.7587-59.529615.25602.0422
    益民创新优势-50.79117-59.7497
    光大保德信新增长基金4411-55.11130-59.839822.40442.284
    大成积极成长-48.1093-59.8999
    广发聚丰332-49.31100-59.9510032.45312.1111
    融通领先成长-50.47114-60.01101
    诺安价值增长-48.8999-60.48102
    海富通风格优势-52.81122-60.501038.07632.0814
    融通动力先锋-47.2985-60.68104
    长信银利精选 3312-49.85108-60.7010517.315794.67352.0813
    大成创新成长-45.8967-60.70106
    华安中小盘成长-53.30124-60.74107
    信达澳银领先增长-50.47113-60.76108
    国泰金牛创新-53.62125-61.12109
    中欧新趋势-53.04123-61.14110
    南方高增2214-51.56119-61.3911115.9359126.03222.1310
    泰达荷银市值-49.93109-61.55112
    国泰金马稳健回报基金1114-55.49131-61.611132.457087.00372.177
    泰信优质生活-48.1494-61.70114
    光大保德信红利 412-56.70134-61.8911528.07402.206
    长信金利趋势 2314-51.39118-61.9211620.90492.255
    德盛精选1214-54.86128-62.021178.05642.313
    申万巴黎新动力 1214-52.16120-62.161185.53692.139
    天治核心成长 121-48.7398-62.371197.96662.0618
    华富成长趋势-53.79126-62.72120
    广发小盘121-56.53133-63.64121-0.4772116.98282.352
    华商领先企业-56.08132-63.96122

                                                                     

                    

                                                                                         

                                                                                         

                                                                                                    

                                                                                                        

                                                                                         

                                                                                                    

                                                                                                    

                                                                                                        

                                                                                                    

                                                                                                    

                                                                                         

                                                                                                        

                                                                                                        

                                                                                     

                                                                                     

                                                                                                        

                                                                                         

                                                                                                        

                                                                                         

                                                                                                            

                                                                                                        

                                                                                                        

                                                                                     

                                                                                                        

                                                                                         

                                                                                                        

                                                                                         

                                                                                                        

                                                                                                        

                                                                                                    

                                                                                                        

                                                                                                        

                                                                                                    

                                                                                                    

                                

    中邮核心成长-54.88129-64.89123
    中邮核心优选 41-58.46135-67.4212422.39452.501
    宝盈资源优选-49.71105
    兴业社会责任-29.642
    景顺长城公司治理
    华商盛世成长
    中银动态策略-26.681
    农银汇理行业成长
    工银瑞信大盘蓝筹
    银华领先策略
    友邦华泰价值增长
    申万巴黎竞争优势
    东吴行业轮动-38.1812
    鹏华盛世创新
    新世纪优选成长
    国投瑞银成长优选-43.6444
    浦银安盛价值成长-50.19112
    东方策略成长
    大成景阳领先-48.7097
    招商大盘蓝筹
    易方达科讯-37.9511
    德盛红利
    天治创新先锋
    南方优选价值
    南方隆元产业主题-52.65121
    信诚盛世蓝筹
    华夏行业精选-41.9533
    嘉实研究精选
    嘉实优质企业-45.2961
    博时特许价值
    华安核心优选
    银河竞争优势成长
    广发核心精选
    易方达中小盘
    富兰克林国海深化价值
    华宝兴业大盘精选
    平均值-45.72135-55.1412431.1273138.39411.9773

      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

                             

                

                

        

                

            

            

                                 

        

                

            

            

                            

                                                                                                            

                                        

    招商安泰平衡型基金 211-23.352-32.06144.253109.69111.1316
    博时平衡配置-19.571-32.33272.3011.2515
    易基平稳32-28.283-37.79339.734122.3371.4513
    嘉实增长44-38.689-44.41437.746144.5221.6410
    富兰克林国海中国收益 11-35.874-45.1356.561548.77131.4114
    中信经典配置基金442-36.555-45.68638.295126.4041.689
    银河稳健42-37.967-47.03748.272180.4411.853
    宝康消费品334-43.9312-48.24829.2310115.7591.767
    诺安平衡基金334-37.166-49.12928.5911128.4331.738
    荷银效率124-39.5010-49.861011.51141.5812
    长盛成长价值基金2241-38.498-50.261114.581387.75121.854
    申万巴黎盛利精选基金 44-42.5011-50.691232.208113.28101.6211
    嘉实稳健3-46.2914-53.611332.707116.4481.796
    大成价值增长443-44.2613-53.651429.979124.4651.835
    广发稳健增长232-48.1315-59.231520.9512123.2961.912
    摩根士丹利华鑫基础行业基金-61.0316-67.9316-21.631618.53142.141
    上投摩根双核平衡
    平均值-38.8516-47.941629.0816111.43141.6616

      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
                        

                    

                        

                    

                    

                    

                            

    银河收益-2.961-5.12143.37478.2350.616
    申万巴黎盛利强化配置-6.112-10.16259.01281.2140.685
    南方宝元-14.914-18.70347.713104.2120.824
    兴业可转债基金-14.583-22.26489.481194.0711.061
    国投瑞银融华基金-16.965-26.84535.26689.3530.923
    德盛安心成长-18.936-26.91638.40575.8560.962
    平均值-12.416-18.33652.216103.8260.846

      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
        

                    

        

        

        

                    

                                             

                                                                        

                                                                             

        

                                                                        

                         

                         

        

        

        

        

        

                    

                         

                                                                             

                                                                             

                                                                        

        

                                                                         

                    

                    

                                                                             

                    

                         

                                                                        

                    

                                                                             

                                                                             

                    

                         

                                                                                                            

                                                                                                        

                                                                                                        

                                                                                                        

                                                                                                        

                                                                                                        

                                                                                                        

                                                                                                        

    荷银预算311-11.991-15.47159.346111.95251.0352
    华夏回报基金 3-23.583-27.812101.081244.1021.3951
    华夏回报二号 -24.634-33.43381.6731.5246
    天治财富增长基金111-22.732-37.45437.5423101.54271.3950
    长城久恒平衡型 311-32.926-38.12538.4421137.44161.5048
    兴业趋势-35.3711-41.47691.342280.6511.6242
    华安宝利43-37.2218-42.56746.1611163.0461.5745
    华夏红利-36.3313-43.75879.974229.7431.8426
    国投瑞银景气基金334-35.199-44.06944.8413136.64171.7433
    嘉实成长收益基金224-33.627-44.461038.1322139.22141.6243
    上投摩根双息平衡444-36.8916-44.491144.06151.6341
    中银收益基金-40.6827-46.001220.83361.7631
    友邦华泰积极成长-37.1617-46.8913
    华夏蓝筹-40.7128-47.1014
    融通新蓝筹44-32.625-47.781549.838158.3981.6938
    景顺长城动力平衡2244-38.7223-47.951629.2028126.10201.6440
    富国天源平衡 114-37.6920-48.04172.665152.88371.4749
    银华优势企业 1144-35.2510-48.241828.4229112.99241.5147
    汇丰晋信动态策略-36.3212-49.0219
    银河银泰理财分红基金432-36.7214-49.302043.7717138.53151.8524
    信诚四季红3344-40.7329-49.422134.05251.8029
    交银稳健44-40.1726-49.542245.73121.9718
    华夏成长-42.1835-49.602347.4610156.8791.8425
    摩根士丹利华鑫资源32-33.838-50.082463.275183.3042.0114
    德盛稳健1141-38.1021-50.102514.854274.36331.6144
    中海优质成长 4442-36.8515-50.102644.4514151.30101.8822
    招商先锋基金 3334-39.9124-50.402734.5124129.34191.7532
    宝康灵活配置 324-46.1146-51.092822.5434124.38211.6639
    宝盈鸿利收益 3331-40.0125-51.232929.7827147.43121.7036
    嘉实服务增值行业基金44-43.1637-52.543047.659150.43112.0016
    广发聚富234-44.6841-52.723124.9430141.13131.7830
    德盛小盘2232-44.5040-52.943222.963383.83311.8327
    鹏华中国50基金 424-43.3738-52.963343.7816181.3552.0015
    泰信先行策略基金4424-41.1930-53.503441.2119133.56181.9917
    博时增长44-41.6732-53.513531.4026120.50221.7135
    博时增长贰号 3444-41.6731-53.703624.78311.7037
    东吴嘉禾优势精选2234-37.2819-53.953720.8435117.41231.8723
    华夏稳增3-42.9536-54.103853.2871.9620
    中海能源-41.7533-54.2139
    融通蓝筹成长 222-38.1822-54.654016.844090.53301.7334
    嘉实策略-45.5943-55.7641
    海富通收益增长基金1224-45.6744-55.984215.314169.28351.8228
    长盛同智优势成长-41.9634-56.4643
    天弘精选1114-44.6942-57.12446.484728.25381.9719
    华富竞争力优选 1112-51.5258-57.28455.244979.94322.187
    建信优化配置-49.0950-57.3446
    广发策略优选 441-44.3739-57.384738.68202.0412
    海富通强化回报 2232-47.9748-58.124812.46441.9221
    广发大盘-47.6147-58.1749
    华宝兴业收益增长24-54.5461-59.125041.79182.214
    嘉实主题342-50.6956-59.305118.44382.262
    国泰金鼎价值精选-49.6552-59.8652
    国泰金鹏蓝筹 2314-50.6355-60.015311.22452.069
    东方龙混合型 1112-50.4554-60.1654-2.415274.23342.205
    鹏华动力-50.0653-60.4455
    万家和谐-45.9745-61.2556
    长盛动态精选基金121-48.5749-61.36578.214695.47292.0511
    上投摩根中国优势414-54.8662-61.645823.1632161.3772.281
    大成蓝筹稳健基金231-49.2551-61.915917.1039105.15262.0113
    长城安心回报 2214-52.4660-62.21606.23482.0610
    东方精选431-55.1463-62.626119.20372.196
    融通行业景气基金3422-51.9759-63.876213.524395.75282.243
    新世纪优选分红 1111-50.8557-64.11634.815058.04362.078
    万家双引擎
    长信双利优选
    国投瑞银稳健增长
    长盛创新先锋
    泰信优势增长
    富国天成红利
    信达澳银精华
    华夏策略精选

                                                                                                

                                                                                                

                                                                                            

                                                                                            

                                                                                            

                                                                                            

                        

    易方达科汇
    中欧新蓝筹
    诺德主题灵活
    诺安灵活配置
    汇添富蓝筹稳健
    金元比联成长动力
    平均值-41.5663-51.676333.4852128.59381.8352

      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

            

                     

             

                

                                                                    

        

                                                                         

            

                         

                

                                                                     

                         

            

        

                     

                     

            

        

                                                                                         

                                                                                                        

                                                                                     

                                                                                         

                                                                                                        

                                                                                                        

                                                                                     

                                                                                                    

                                                                                    

                                                                                                        

                                                                                                        

                                                                                                        

                                                                                                    

                                                                                                        

                                                                                    

                                                                                                        

                                                                                     

                                                                                                    

                                                                                                    

                                                                                                    

                                                                                                    

                                                                                     

                                                                                     

                                                                                                        

                                                                                    

                                                                                                        

                                                                                                        

                                        

    国泰金龙债券 A类 337.66412.05121.06933.9970.1214
    大成债券34447.29610.14221.07830.6290.1511
    中信稳定双利119.64110.04335.3440.265
    华夏债券基金4437.1879.71430.24641.9650.169
    博时稳定价值 - B类 22425.69157.80514.731317.18110.1512
    易方达稳健收益 - A 级2135.82147.5369.631511.28120.0718
    友邦华泰金字塔稳本增利-A11434.34187.4479.35160.0817
    工银瑞信增强收益债券-A类6.73106.058
    普天债券 A类2242.59245.61916.651227.43100.1016
    万家增强收益5.47165.3210
    融通债券33242.79224.821117.331135.4260.208
    招商安泰债券基金 A类4432.84214.721226.11733.3280.217
    嘉实超短债1142.71234.70138.48180.0319
    泰信双息双利债券 11231.28254.58147.45190.1115
    银河银信添利-B类3.30194.2815
    南方多利22221.23273.581611.40140.1610
    宝康债券21.25262.831738.99354.0140.266
    富国天利增长121.22282.531848.59180.8420.323
    诺安优化收益12220.01302.14198.52170.1313
    招商安本增利43110.9329-2.402020.76100.314
    嘉实债券1-1.0831-3.132133.79564.3030.372
    长盛债券基金13-2.8832-5.272244.98281.7710.421
    广发增强债券8.373
    天治稳健双盈
    国投瑞银稳定增利4.5217
    汇添富增强收益6.2711
    招商安心收益
    宝盈增强收益
    中海稳健收益债券7.365
    泰达荷银集利债券 A类
    交银施罗德增利债券 A类9.482
    长盛积极配置
    建信稳定增利
    益民多利债券
    富兰克林国海强化收益
    海富通稳健添利
    工银瑞信信用添利债券 A类6.869
    长城稳健增利
    华安稳定收益 A类6.1612
    嘉实多元收益 A类
    华富收益增强债券 A类
    光大保德信增利收益 A类
    信诚三得益债券 A类
    华夏希望债券 A类7.158
    天弘永利债券 A类3.2920
    东吴优信稳健
    易方达增强回报债券 A类5.8613
    大成强化收益
    鹏华丰收债券
    平均值4.42324.782222.341942.68120.1919

      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
                                                            

                                

                        

                        

                                                                                                

                                

    金元比联宝石动力保本2.522-4.001
    国泰金鹿保本增值(二期)2.621-5.58251.2320.592
    银华保本增值-1.133-6.45323.06339.7820.373
    南方避险增值-9.634-21.11477.091170.9811.131
    华安国际配置
    平均值-1.414-9.28450.463105.3820.703

      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
                        

                    

                                     

                                 

                        

                        

                                         

                                     

                    

                                         

                                     

                    

                        

                    

                    

                    

                            

                    

                        

                        

                                     

                        

                    

                        

                    

                        

                                         

                                         

                        

                            

                                    

                            

                    

                                 

                                         

                                         

                    

                                

                                

                                     

                                

    中信现金优势1.9634.3017.4629.5020.014
    嘉实货币市场基金2.2614.1627.8119.9510.021
    万家货币市场1.9143.7637.3930.016
    工银瑞信货币市场1.8663.6246.8450.017
    中银货币市场1.9923.6156.8068.8140.015
    博时现金收益1.8493.5666.37188.47100.0136
    华富货币1.82113.5576.53140.0114
    长盛货币市场1.81123.5586.7290.0123
    海富通货币市场 - A 级1.74163.5496.7488.7750.0110
    益民货币1.8573.48106.71100.022
    建信货币市场1.78133.48116.7670.0126
    长信利息收益基金1.8953.47126.53158.5580.0112
    南方现金增利1.83103.45136.45168.5870.0121
    华夏现金增利基金1.8483.45146.8949.0230.0113
    景顺长城货币市场1.70183.44156.29228.20140.0132
    易方达货币市场基金 - A级1.77143.43166.10278.06150.0131
    长城货币1.76153.42176.32198.30130.0111
    大成货币市场 - A 级1.65223.31186.30208.34120.0130
    光大保德信货币1.61243.27195.83327.93180.0122
    银河银富 - A 级1.61263.27206.63118.6560.019
    兴业货币市场1.66203.27216.30210.0118
    诺安货币市场1.71173.25225.87317.92190.0139
    华宝兴业现金宝 - A 级1.68193.24236.14247.99160.0125
    华安现金富利1.59283.22246.39178.40110.0119
    鹏华货币市场 - A 级1.52323.21256.61128.5190.0120
    泰信天天收益1.54313.16265.83337.79210.0133
    融通易支付1.62233.13276.12250.0128
    东方金账簿1.55293.12286.04290.0124
    招商现金增值1.61253.11295.58397.43230.0140
    广发货币1.54303.09306.11267.98170.0115
    交银货币 - A 级1.49343.07316.08280.0127
    国泰货币1.43353.01325.92307.84200.0116
    银华货币市场基金 - A 级1.60273.01335.73367.62220.0134
    摩根士丹利华鑫货币1.27402.91346.60130.023
    天治天得利1.66212.91355.70370.0138
    荷银货币1.50332.86365.66380.0117
    上投摩根货币市场 - A 级1.31392.81375.82347.26240.0129
    汇添富货币市场基金 - A级1.37382.81386.23230.018
    富国天时货币 - A 级1.42362.76395.77350.0135
    申万巴黎收益宝1.40372.49405.15400.0137
    平均值1.67403.29406.33408.33240.0140

      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
                            

                             

                                                                                    

                                     

    汇丰晋信2016生命周期-18.101-27.38155.9011.072
    大成生命周期-48.452-60.04219.7222.041
    汇丰晋信2026生命周期
    平均值-33.282-43.71237.8121.552

      环球股票基金

                                        

    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
                                            

                                             

                                            

                                                                        

                                                                        

                                                 

    南方全球精选配置-39.652-49.611
    华夏全球精选-36.131-49.902
    嘉实海外中国股票-44.443-57.663
    银华全球核心优选
    海富通中国海外精选
    平均值-40.073-52.393

      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
    基金兴和-46.30 4-41.22 182.574288.12 4
    基金裕阳-43.31 2-46.29 295.543298.24 3
    基金鸿阳-47.96 5-47.43 351.717214.17 6
    基金同盛-51.92 7-47.63 482.345259.79 5
    基金裕泽-42.22 1-49.80 580.796194.88 7
    基金天元-49.31 6-49.88 6101.42 2336.40 2
    基金裕隆-43.49 3-51.67 7121.56 1365.89 1
    平均值-46.36 7-47.70 787.997279.64 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
    基金汉盛-50.26 7-38.63 199.492305.54 2
    基金天华-35.93 1-44.52 262.438214.38 9
    基金普丰-47.09 3-44.83 367.247262.78 6
    基金同益-51.27 9-45.16 481.674276.74 4
    基金银丰-44.83 2-46.76 578.675287.23 3
    基金普惠-48.49 5-49.37 677.016266.14 5
    基金久嘉-51.24 8-49.89 7104.22 1345.18 1
    基金景宏-48.99 6-53.11 889.513261.20 7
    基金景福-47.99 4-54.14 957.729222.77 8
    平均值-47.34 9-47.38 979.779271.33 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
    基金兴华-36.29 1-31.62 1137.74 1416.13 1
    基金安顺-42.17 5-35.32 292.916314.04 5
    基金安信-41.22 4-36.65 3105.37 5302.97 6
    基金科翔-40.71 3-38.79 489.057263.16 7
    基金丰和-45.65 7-42.04 5117.98 3379.18 3
    基金汉兴-47.89 9-42.67 654.8112193.50 12
    基金科瑞-49.78 11-46.08 784.298258.12 8
    基金金泰-46.24 8-46.91 864.1411254.91 9
    基金开元-50.94 12-47.53 9106.53 4318.96 4
    基金泰和-48.07 10-47.75 10129.63 2406.65 2
    基金金盛-42.38 6-48.17 1166.2310238.45 11
    基金金鑫-50.94 13-48.69 1240.5313181.97 13
    基金通乾-55.38 16-52.13 1380.959245.55 10
    国投瑞银瑞福分级-进取-53.56 15-57.14 14
    大成优选-51.13 14-62.21 15
    建信优势动力
    基金汉鼎
    南方盛元红利-37.10 2
    平均值-46.22 16-45.58 1590.0113290.28 13

      备注:

      1. 回报:以收盘价格计算,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,详细定义请查阅www.lipperweb.com:

      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35%。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. 理柏基金评级简述,详细定义请查阅www.lipperweb.com:"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%基金为第5级,被授予"优"(Leader)称号,之后均以20%为标准再区分为第4级、第3级、第2级及第1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∶在总回报上获第5级,即被授予"优"(Leader)的基金,反映在其所属基金分类中有较高的总收益。在稳定回报上获第5级,即被授予"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。在保本能力上获第5级,即被授予"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。在费用上获第5级,即被授予"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。