封闭式基金折价率(20080821)

时间:2008年08月21日 15:30:00 中财网
更新时间:2008-08-21

@代码名称交易价净值代码基金净值升贴水值折价率
510880红利ETF1.985495303N2.0910.106-5.07%
510180180ETF5.631491105N2.053-3.578174.34%
510180180ETF5.631491105N3.119-2.51280.54%
510050上证50ETF2.050495001N2.1190.069-3.26%
500058基金银丰0.627500058N0.8960.269-30.02%
500056基金科瑞0.740500056N1.0510.311-29.56%
500039基金同德0.737500039N3.0882.351-76.13%
500038基金通乾0.891500038N1.2730.382-30.00%
500029基金科讯0.790500029N2.5451.755-68.96%
500025基金汉鼎1.202500025N1.2880.086-6.70%
500018基金兴和0.749500018N1.0550.306-28.99%
500015基金汉兴0.959500015N1.3860.427-30.78%
500011基金金鑫0.555500011N0.8000.245-30.62%
500009基金安顺0.945500009N1.2750.330-25.89%
500008基金兴华0.887500008N1.1160.228-20.48%
500007基金景阳0.768500007N3.7873.019-79.72%
500006基金裕阳1.101500006N1.4590.358-24.55%
500005基金汉盛1.204500005N1.6680.464-27.81%
500003基金安信1.134500003N1.4950.361-24.13%
500002基金泰和0.667500002N0.8220.155-18.85%
500001基金金泰0.693500001N0.9350.242-25.86%
184728基金鸿阳0.518184728N0.7150.197-27.54%
184722基金久嘉0.572184722N0.7960.224-28.18%
184721基金丰和0.535184721N0.7390.204-27.59%
184719基金融鑫0.950184719N3.7002.750-74.32%
184718基金兴安0.703184718N3.9663.263-82.27%
184713基金科翔1.651184713N1.7580.107-6.08%
184712基金科汇1.331184712N1.306-0.0251.93%
184706基金天华0.835184706N0.9240.089-9.61%
184705基金裕泽0.772184705N0.9240.152-16.49%
184703基金金盛1.030184703N1.1380.108-9.52%
184701基金景福0.805184701N1.1740.369-31.42%
184699基金同盛0.618184699N0.8870.269-30.34%
184698基金天元0.822184698N1.1710.349-29.78%
184696基金裕华0.832184696N2.9072.075-71.38%
184693基金普丰0.751184693N1.0870.336-30.91%
184692基金裕隆0.743184692N1.0370.294-28.37%
184691基金景宏0.982184691N1.4070.425-30.19%
184690基金同益0.775184690N1.1040.329-29.79%
184689基金普惠0.988184689N1.4030.415-29.56%
184688基金开元0.678184688N0.8750.197-22.50%
160910大成创新0.694492409N0.7150.021-2.94%
159902中小板ETF1.701491307N1.7660.065-3.68%
159901深100ETF2.505491707N2.6110.106-4.06%
150002大成优选0.527150002N0.6650.138-20.75%
150001瑞福进取0.595150001N0.414-0.18143.72%
@平均值--1.149--1.5330.384-20.31%
@代码名称交易价净值代码基金净值升贴水值折价率


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