单只基金收益能力排名榜发布详细>>
基金收益能力综合排名是对基金产品期限参量包含3个月、6个月、12月、24个月的收益率进行排序,期限排名进行加权平均,进而更加客观公正展现基金产品的收益情况。将基金产品进行分类,分为开放式股票基金,开放式混合基金,开放式债券基金,开放式货币基金,开放式指数基金QDII基金,和封闭式基金。
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分为各类型基金近三个月收益率单项排名和近两年的综合收益排名。其中前者是用近三个月的收益率进行排名,后者通过对近24个月的对数月平均收益率进行了定量分析,并对每个月的对数收益率赋予权重,距2009年12月时间越近,权值越高,最后通过定量计算得出股票基金排行榜。
排名 | 基金代码 | 基金简称 | 收益率 | |||
---|---|---|---|---|---|---|
近1个月 | 近3个月 | 近6个月 | 综合得分 | |||
23.40% |
57.52% |
84.17% |
1662.78 |
|||
34.31% |
63.68% |
77.12% |
1651.73 |
|||
31.08% |
56.79% |
75.00% |
1626.99 |
|||
31.25% |
55.79% |
66.70% |
1504.90 |
|||
25.67% |
50.27% |
67.06% |
1416.63 |
|||
23.21% |
42.45% |
67.96% |
1353.99 |
|||
30.49% |
45.26% |
61.13% |
1335.83 |
|||
27.41% |
48.94% |
55.51% |
1335.59 |
|||
24.38% |
43.81% |
62.98% |
1325.53 |
|||
21.08% |
38.84% |
65.75% |
1280.15 |
排名 | 基金代码 | 基金简称 | 收益率 | |||
---|---|---|---|---|---|---|
近1个月 | 近3个月 | 近6个月 | 综合得分 | |||
37.24% |
73.74% |
85.52% |
1875.04 |
|||
36.72% |
72.90% |
84.89% |
1862.97 |
|||
31.69% |
64.46% |
82.86% |
1786.56 |
|||
31.52% |
64.11% |
82.29% |
1775.60 |
|||
34.26% |
67.94% |
78.02% |
1773.43 |
|||
34.27% |
67.81% |
77.82% |
1768.51 |
|||
32.20% |
64.65% |
85.86% |
1740.74 |
|||
32.05% |
64.48% |
85.35% |
1733.56 |
|||
33.78% |
58.67% |
82.18% |
1721.69 |
|||
33.83% |
58.63% |
82.03% |
1718.36 |
排名 | 基金代码 | 基金简称 | 收益率 | |||
---|---|---|---|---|---|---|
近1个月 | 近3个月 | 近6个月 | 综合得分 | |||
32.44% |
52.87% |
71.21% |
1523.87 |
|||
26.17% |
57.27% |
62.83% |
1471.43 |
|||
28.00% |
49.69% |
63.14% |
1420.85 |
|||
19.71% |
43.42% |
68.38% |
1392.56 |
|||
10.48% |
28.13% |
56.55% |
1214.66 |
|||
22.62% |
33.33% |
55.72% |
1165.72 |
|||
18.34% |
33.68% |
49.73% |
1144.65 |
|||
14.69% |
29.91% |
54.28% |
1115.63 |
|||
26.70% |
37.19% |
51.30% |
1096.95 |
|||
10.46% |
27.87% |
55.75% |
1090.87 |
排名 | 基金代码 | 基金简称 | 收益率 | |||
---|---|---|---|---|---|---|
近1个月 | 近3个月 | 近6个月 | 综合得分 | |||
51.83% |
120.25% |
158.24% |
2258.33 |
|||
52.99% |
108.29% |
136.29% |
2077.81 |
|||
46.83% |
100.55% |
133.81% |
2003.06 |
|||
42.33% |
79.70% |
97.97% |
1988.45 |
|||
40.76% |
78.65% |
96.90% |
1912.58 |
|||
38.28% |
74.33% |
95.74% |
1863.04 |
|||
37.25% |
72.47% |
89.36% |
1855.29 |
|||
39.98% |
75.56% |
90.71% |
1838.27 |
|||
36.95% |
71.05% |
87.86% |
1826.66 |
|||
36.25% |
71.51% |
87.57% |
1788.98 |
排名 | 基金代码 | 基金简称 | 收益率 | |||
---|---|---|---|---|---|---|
近1个月 | 近3个月 | 近6个月 | 综合得分 | |||
3.48% |
15.62% |
11.68% |
495.22 |
|||
3.28% |
15.12% |
11.06% |
447.37 |
|||
7.04% |
15.18% |
15.61% |
441.00 |
|||
3.08% |
14.58% |
10.50% |
436.32 |
|||
5.83% |
14.74% |
15.53% |
435.40 |
|||
7.13% |
15.01% |
15.29% |
432.69 |
|||
7.13% |
15.01% |
15.29% |
432.69 |
|||
9.41% |
17.20% |
17.03% |
421.87 |
|||
6.85% |
14.36% |
14.63% |
416.09 |
|||
1.93% |
10.89% |
4.24% |
308.80 |
排名 | 基金代码 | 基金简称 | 收益率 | |||
---|---|---|---|---|---|---|
近1个月 | 近3个月 | 近6个月 | 综合得分 | |||
237.07% |
279.65% |
317.09% |
4272.38 |
|||
100.68% |
275.92% |
401.88% |
3808.62 |
|||
93.71% |
218.53% |
321.42% |
3358.19 |
|||
68.79% |
151.68% |
196.84% |
3062.60 |
|||
56.80% |
133.43% |
189.81% |
2952.27 |
|||
48.43% |
93.64% |
162.01% |
2420.17 |
|||
34.57% |
83.43% |
163.31% |
2351.71 |
|||
46.07% |
86.33% |
169.97% |
2326.31 |
|||
46.21% |
89.26% |
149.04% |
2306.92 |
|||
50.27% |
94.93% |
135.81% |
2300.01 |