封闭式基金折价率排行12-06

80酷酷网    80kuku.com

  

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3.6813.31760.363410.9537%
184700基金鸿飞3.0443.1193-0.0753-2.4140%
184719基金融鑫3.1003.2664-0.1664-5.0943%
500007基金景阳3.5343.7319-0.1979-5.3029%
184712基金科汇3.9894.2157-0.2267-5.3775%
184713基金科翔4.2654.5874-0.3224-7.0279%
500025基金汉鼎2.0662.3364-0.2704-11.5734%
184703基金金盛2.3062.6315-0.3255-12.3694%
184705基金裕泽2.8473.2523-0.4053-12.4620%
184722基金久嘉3.3143.8380-0.5240-13.6529%
500002基金泰和2.7043.1465-0.4425-14.0632%
184706基金天华2.0492.3966-0.3476-14.5039%
184692基金裕隆2.9373.4813-0.5443-15.6350%
184688基金开元2.3802.8454-0.4654-16.3562%
500008基金兴华2.8173.3841-0.5671-16.7578%
184721基金丰和2.2322.7134-0.4814-17.7416%
500056基金科瑞2.8483.5036-0.6556-18.7122%
500006基金裕阳2.7433.4126-0.6696-19.6214%
184698基金天元2.3852.9711-0.5861-19.7267%
184691基金景宏2.5463.1870-0.6410-20.1130%
500001基金金泰2.7463.5007-0.7547-21.5585%
500009基金安顺2.1892.8322-0.6432-22.7103%
500038基金通乾2.2672.9465-0.6795-23.0613%
184689基金普惠2.7023.5134-0.8114-23.0944%
500003基金安信2.3893.1081-0.7191-23.1363%
500005基金汉盛2.6063.3931-0.7871-23.1971%
500018基金兴和2.1892.8541-0.6651-23.3033%
500011基金金鑫2.2072.9062-0.6992-24.0589%
184699基金同盛2.0052.6544-0.6494-24.4650%
184693基金普丰2.1632.8647-0.7017-24.4947%
184701基金景福2.1122.8309-0.7189-25.3948%
184728基金鸿阳1.6772.2597-0.5827-25.7866%
500058基金银丰1.4441.9840-0.5400-27.2177%
500015基金汉兴1.7252.3914-0.6664-27.8665%
184690基金同益1.9972.9668-0.9698-32.6884%

分享到
  • 微信分享
  • 新浪微博
  • QQ好友
  • QQ空间
点击: