封闭式基金折价率排行12-07

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基金代码基金名称市价(元)
(每日盘后更新)
最新单位净值(元)升贴水值(元)升贴水率
500029基金科讯3.6813.48460.19645.6362%
500007基金景阳3.5893.7866-0.1976-5.2184%
184700基金鸿飞3.0603.2941-0.2341-7.1066%
184719基金融鑫3.1003.4216-0.3216-9.3991%
184712基金科汇4.0344.4846-0.4506-10.0477%
184713基金科翔4.3084.8565-0.5485-11.2941%
500025基金汉鼎2.0872.4288-0.3418-14.0728%
184703基金金盛2.3282.7449-0.4169-15.1882%
184705基金裕泽2.8793.4050-0.5260-15.4479%
500002基金泰和2.7253.2841-0.5591-17.0245%
184722基金久嘉3.3474.0361-0.6891-17.0734%
184706基金天华2.0722.5015-0.4295-17.1697%
184692基金裕隆2.9663.6527-0.6867-18.7998%
184688基金开元2.4062.9843-0.5783-19.3781%
184721基金丰和2.2502.8244-0.5744-20.3371%
500008基金兴华2.8293.5565-0.7275-20.4555%
500006基金裕阳2.8073.5649-0.7579-21.2601%
184691基金景宏2.6023.3436-0.7416-22.1797%
184698基金天元2.4203.1213-0.7013-22.4682%
500056基金科瑞2.8653.7294-0.8644-23.1780%
500001基金金泰2.8023.6514-0.8494-23.2623%
500009基金安顺2.2202.9665-0.7465-25.1643%
500018基金兴和2.2453.0038-0.7588-25.2613%
500038基金通乾2.3223.1226-0.8006-25.6389%
500003基金安信2.4093.2508-0.8418-25.8952%
184689基金普惠2.7343.6942-0.9602-25.9921%
500005基金汉盛2.6353.5609-0.9259-26.0019%
500011基金金鑫2.2453.0432-0.7982-26.2290%
184699基金同盛2.0412.7857-0.7447-26.7330%
184693基金普丰2.1913.0061-0.8151-27.1149%
184690基金同益2.0212.7839-0.7629-27.4040%
184701基金景福2.1482.9844-0.8364-28.0257%
184728基金鸿阳1.7052.3711-0.6661-28.0924%
500058基金银丰1.4682.0780-0.6100-29.3551%
500015基金汉兴1.7502.5071-0.7571-30.1982%

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