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7月16日混合型开放式基金净值收益排行一览表_1

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7月16日混合型开放式基金净值收益排行一览表

7月16日混合型开放式基金净值收益排行一览表:

序号基金代码基金简称2015-07-152015-07-14日增长值日增长率手续费单位净值累计净值单位净值累计净值1001446招商丰泽混合C1.02001.02000.98900.98900.03103.13%---2001519建信鑫裕回报灵活配置混合1.08901.08901.06001.06000.02902.74%0.00%3000535长盛航天海工装备灵活配置1.23801.43301.22801.42300.01000.81%0.60%4001289银华汇利灵活配置混合1.06001.06001.05201.05200.00800.76%---5001408建信鑫丰回报灵活配置混合1.00201.00200.99500.99500.00700.70%0.60%6519020国泰金泰平衡混合1.10201.01001.09501.00400.00700.64%0.60%7001281长安鑫利优选混合1.03801.03801.03201.03200.00600.58%0.60%8000953国泰睿吉灵活配置混合A1.01401.01401.01101.01100.00300.30%0.60%9000511国泰国策驱动灵活配置混合1.39201.39201.38901.38900.00300.22%0.60519963长信利盈混合0.99600.99600.99400.99400.00200.20%0.80001172鹏华弘泽混合A1.02801.02801.02601.02600.00200.19%0.60000414嘉实绝对收益策略定期混合1.15501.15501.15301.15300.00200.17%1.50001411诺安创新驱动混合0.99700.99700.99600.99600.00100.10%0.60001331鹏华弘信混合A0.99800.99800.99700.99700.00100.10%0.60001290广发安泰混合1.00701.00701.00601.00600.00100.10%---16001249易方达新利灵活配置混合1.00701.00701.00601.00600.00100.10%---17001174中欧瑾和灵活配置混合C1.01401.01401.01301.01300.00100.10%0.00001264银华恒利灵活配置混合1.01701.01701.01601.01600.00100.10%---19001146中欧瑾源灵活配置混合A1.02601.02601.02501.02500.00100.10%---20001110中欧瑾泉灵活配置混合A1.05401.05401.05301.05300.00100.10%---21001059中金绝对收益1.05801.05801.05701.05700.00100.09%---22001226中邮稳健添利灵活配置混合1.09001.09001.08901.08900.00100.09%---23000844南方绝对收益1.11901.14901.11801.14800.00100.09%0.60%24080015长盛中小盘精选混合1.24001.24001.23901.23900.00100.08%0.60%25080008长盛战略新兴产业灵活配置混1.79601.84601.79501.84500.00100.06%0.60%