封闭式基金资产净值周报表截至2004年1月30日单位:人民币(元)
基金名称代码基金规模单位净值累计净值基金开元18468820亿1.18782.0368基金金泰50000120亿1.11291.7929基金兴华50000820亿1.37222.2762基金安信50000320亿1.13912.3061基金裕阳50000620亿1.16882.0718基金普惠18468920亿1.12061.7826基金泰和50000220亿1.13721.6622基金同益18469020亿1.14251.9565基金景宏18469120亿0.9431.413基金汉盛50000520亿1.08461.5676基金安顺50000930亿1.14361.6086基金裕隆18469230亿1.13861.5276基金普丰18469330亿1.03691.3179基金兴和50001830亿1.21661.5436基金天元18469830亿1.23211.5571基金裕元50001615亿1.28051.6805基金金鑫50001130亿1.13641.4084基金同盛18469930亿1.07731.3698基金裕华1846965亿1.19131.2806基金景阳50000710亿1.12581.4188基金景博18469510亿1.01281.2708基金景福18470130亿1.02211.1861基金汉兴50001530亿0.97131.1413基金同智1847025亿1.0731.1759基金裕泽1847055亿1.17731.2873基金金元5000105亿1.02671.0577基金兴科1847085亿1.20051.2485基金金盛1847035亿1.16191.2359基金金鼎5000215亿1.03131.0653基金景业5000175亿0.91350.9135基金汉鼎5000255亿0.95610.9621基金安久1847095亿0.98370.9837基金汉博5000355亿0.98220.9922基金安瑞5000135亿0.99951.0695基金兴安1847185亿1.07831.0843基金天华18470625亿0.9520.952基金隆元1847105亿0.99240.9924基金普润5000195亿0.98750.9875基金兴业5000285亿0.95090.9509基金同德5000395亿1.08731.0873基金普华1847115亿0.93020.9302基金科讯5000298亿1.20811.2081基金科汇1847128亿1.28471.2862基金科翔1847138亿1.28291.2829基金通宝1847385亿0.98590.9859基金鸿飞1847005亿1.08141.0814基金通乾50003820亿1.12311.1531基金鸿阳18472820亿1.02351.045基金久富1847205亿1.09291.0929基金科瑞50005630亿1.20091.2129基金丰和18472130亿1.12811.1431基金融鑫1847198亿1.37321.3732基金久嘉18472220亿1.15111.1511基金银丰50005830亿1.1821.222
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