序号 代码简称 到期日 净值 累计值周增长率收盘价涨跌%贴水值折价率%
1184701基金景福201412301.2174 2.6014-1.49690.93802.5137-0.2794-22.9506
2500015基金汉兴201412301.4248 2.4064-1.64301.10301.8467-0.3218-22.5856
3184693基金普丰201407141.1537 2.8227-0.41430.89502.4027-0.2587-22.4235
4184689基金普惠201401061.4989 3.50290.06681.16701.4783-0.3319-22.1429
5184691基金景宏201405051.4684 3.5584-2.38651.14802.1352-0.3204-21.8197
6184699基金同盛201411050.9262 2.9887-1.46810.73301.3831-0.1932-20.8594
7184690基金同益201404081.1621 4.06610.02580.92001.6575-0.2421-20.8330
8500056基金科瑞201703121.1171 3.6191-0.05370.88902.1839-0.2281-20.4189
9500005基金汉盛201405091.7384 3.8560-1.81301.38402.7468-0.3544-20.3866
10184698基金天元201408251.2493 3.8753-1.38920.99702.1516-0.2523-20.1953
11500006基金裕阳201307251.5281 4.25510.89801.22001.6667-0.3081-20.1623
12500018基金兴和201407131.1138 3.2528-1.62520.89102.6498-0.2228-20.0036
13500038基金通乾201608281.3820 3.03500.67021.10601.2821-0.2760-19.9711
14500058基金银丰201708140.9220 3.0820-0.53940.74501.2228-0.1770-19.1974
15184692基金裕隆201406141.0759 3.97490.04650.87501.7442-0.2009-18.6727
16500001基金金泰201303271.0026 3.7156-0.05980.81701.1139-0.1856-18.5119
17500003基金安信201306221.5661 4.7181-0.10211.28601.1802-0.2801-17.8852
18184728基金鸿阳201612090.7651 2.33662.34080.63201.6077-0.1331-17.3964
19500011基金金鑫201410200.8605 2.7365-0.82980.71200.9929-0.1485-17.2574
20500009基金安顺201406141.3409 4.27890.94101.12700.7149-0.2139-15.9520
21184688基金开元201303271.0352 4.66623.04600.89000.4515-0.1452-14.0263
22184722基金久嘉201707050.8290 3.5590-0.92030.71801.4124-0.1110-13.3896
23184721基金丰和201703220.7762 3.52420.06450.67700.7440-0.0992-12.7802
24184705基金裕泽201105310.9252 3.4952-1.54300.81302.1357-0.1122-12.1271
25500008基金兴华201304281.1445 4.9085-0.77161.01400.0987-0.1305-11.4024
26500002基金泰和201404070.8850 4.31500.46540.82000.9852-0.0650-7.3446
27184703基金金盛200911301.2322 3.8350-0.11351.15002.0408-0.0822-6.6710
28184706基金天华200907110.9599 2.3899-1.88080.90901.6779-0.0509-5.3026
29500025基金汉鼎200812311.3484 2.61291.88141.36202.87010.01361.0086
30184713基金科翔200812131.8914 4.97141.10111.91702.62310.02561.3535
31184712基金科汇200812131.3631 4.8806-0.17581.39003.11570.02691.9734