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数据日期:2008-03-31
序号基金代码基金简称基金份额(万份)基金资产净值(万元)基金资产总值(万元)
1590002中邮核心成长3,901,405.863,196,453.723,211,051.79
2270005广发聚丰3,850,597.243,105,438.37未公布
3160706嘉实3003,078,840.472,951,849.622,973,788.75
4002011华夏红利1,114,281.092,948,245.68未公布
5110010易基价值成长2,227,765.492,849,828.162,884,102.83
6519018汇添均衡3,254,446.272,846,870.412,860,504.13
7320003诺安股票2,710,540.242,830,162.202,855,591.43
8070003嘉实稳健2,410,067.332,725,734.732,751,987.28
9050001博时增长3,113,736.952,537,752.912,551,049.09
10050009博时新兴成长2,782,738.402,417,384.172,430,418.24
11110003易基502,223,213.542,312,420.712,328,820.51
12163402兴业趋势未公布2,308,871.152,329,822.33
13160505博时主题1,136,529.432,243,859.51未公布
14160311华夏蓝筹核心未公布2,235,098.582,264,791.95
15202801南方全球未公布2,229,530.602,247,720.66
16240010华宝行业精选2,103,999.992,195,898.65未公布
17000041华夏全球精选2,900,741.062,182,504.212,210,012.91
18050004博时精选1,305,646.152,163,252.012,190,457.67
19202003南方绩优成长880,918.292,157,292.492,181,480.16
20000021华夏优势1,015,638.072,127,557.632,155,434.13
21377016上投亚太优势3,091,568.122,106,782.172,120,561.92
22270006广发优选863,719.732,076,837.092,095,258.20
23202005南方成份精选1,812,702.822,052,139.162,073,844.57
24070012嘉实海外2,940,290.251,971,918.901,986,399.74
25590001中邮核心1,316,992.131,915,260.97未公布
26161601新 蓝 筹2,282,474.691,873,216.461,912,028.54
27519068添富焦点未公布1,860,778.98未公布
28090003大成蓝筹稳健2,183,374.331,819,021.48未公布
29200008长城品牌优选1,910,422.001,787,140.311,801,783.58
30360001量化核心1,635,544.391,784,984.031,798,684.43
31260110景顺长城精选1,767,067.911,767,180.191,776,924.15
32270007广发大盘成长1,834,355.741,761,086.401,769,531.28
33519001银华优选股票1,391,651.321,705,601.23未公布
34002001华夏回报1,329,424.941,678,167.52未公布
35040008华安策略优选2,045,694.521,677,514.55未公布
36050002博时裕富1,643,563.191,668,313.57未公布
37040007华安成长1,322,746.681,647,855.081,669,839.28
38360007光大优势配置1,971,601.461,596,503.741,609,088.46
39100020富国天益1,719,614.391,589,008.801,600,530.00
40162703广发小盘678,639.911,583,811.47未公布
41160910大成创新成长1,630,976.431,549,975.24未公布
42040005华安宏利591,042.211,536,115.471,570,367.51
43163803中银增长1,584,655.911,534,149.611,552,416.36
44530005建信配置1,581,545.571,508,222.761,529,393.21
45519694交银蓝筹1,754,121.561,489,286.241,496,074.38
46003003华夏现金1,487,805.751,487,805.751,608,329.65
47160610鹏华动力846,681.871,477,508.311,511,443.64
48050008博时第三产业1,242,054.291,466,838.151,483,584.72
49160607鹏华价值未公布1,466,655.391,478,481.82
50510050上证50ETF508,656.681,454,794.751,457,710.41
51090001大成价值增长1,828,351.351,442,103.061,451,249.16
52110009易基价值527,282.221,375,281.85未公布
53202002南稳贰号1,201,340.331,354,902.04未公布
54090006大成财富1,841,249.961,348,569.67未公布
55519029华夏稳增750,990.931,347,842.881,382,464.67
56070008嘉实货币1,342,131.881,342,131.881,612,035.40
57180003银华道琼斯881,333,899.451,338,159.681,349,449.64
58110005易基积极935,963.901,325,751.031,345,894.71
59200007长城安心回报1,660,084.511,322,939.661,329,409.17
60162605景顺鼎益1,052,250.331,315,794.161,330,146.48
61377020上投内需动力1,161,077.431,298,022.351,314,753.81
62519994长信金利1,341,231.231,275,646.02未公布
63378010上投先锋501,511.731,265,526.91未公布
64202001南方稳健成长932,528.341,259,195.441,275,498.25
65320005诺安价值未公布1,254,388.71未公布
66070011嘉实策略未公布1,216,206.82未公布
67398021中海能源986,677.691,194,157.581,213,800.46
68270002广发稳健632,867.451,183,973.001,383,522.00
69202007南方隆元未公布1,183,527.53未公布
70519035富国天博1,341,177.631,177,242.531,185,302.78
71160611鹏华优质治理未公布1,167,298.661,189,140.87
72040001华安创新1,369,594.021,162,423.891,167,269.54
73519688交银精选1,048,363.691,160,548.17未公布
74483003工银平衡1,276,965.631,160,153.76未公布
75519039长盛同德未公布1,145,666.011,151,374.70
76162607景顺资源1,302,585.831,143,035.871,151,794.47
77375010上投优势388,806.661,139,689.26未公布
78377010上投α211,057.411,112,230.381,127,344.60
79217009招商价值841,284.651,111,064.911,123,318.18
80110029易方达科讯1,319,628.231,104,040.321,120,954.22
81160314华夏行业精选未公布1,089,549.75未公布
82000001华夏成长763,165.421,084,085.811,097,880.55
83610001信达澳银增长885,189.741,083,564.83未公布
84460001友邦盛世1,341,007.361,071,345.421,076,791.58
85217005招商先锋1,302,120.571,065,689.31未公布
86110002易基策略261,621.961,062,526.751,085,205.48
87121003国投股票1,011,015.951,049,981.98未公布
88240003宝康债券916,337.211,049,936.68未公布
89050201博时价值贰号1,351,539.461,040,399.34未公布
90519011海富精选1,227,872.731,037,715.191,053,501.72
91161604融通深证100681,698.671,033,115.75未公布
92180010银华优质增长572,737.001,033,054.881,043,371.04
93450003国富潜力741,100.531,019,739.121,031,477.35
94320001诺安平衡1,319,869.251,012,807.451,019,136.87
95630001华商领先企业未公布1,003,255.601,011,907.53
96112002易策二号663,912.48979,890.08990,929.93
97180012银华富裕1,009,714.67973,939.261,004,465.25
98290002泰信先行1,273,912.13963,332.60972,887.74
99002021华回报二946,005.34957,300.23968,796.98
100070010嘉实主题862,291.36952,894.56未公布
101500056基金科瑞300,000.00935,981.29938,545.76
102161706招商成长630,774.69928,231.91940,414.50
103260103景顺长城动力1,114,479.45923,072.33未公布
104160106南方高增398,911.19916,872.79926,712.26
105184692基金裕隆300,000.00914,941.89920,864.37
106270001广发聚富660,027.97885,823.90未公布
107162209荷银市值优选未公布856,368.22未公布
108400003东方精选923,930.56855,645.80未公布
109050003博时现金收益849,282.83849,282.83未公布
110519008添富优势201,933.90832,423.83837,918.24
111240008华宝收益255,848.25824,580.51未公布
112481001工银价值928,466.66814,383.00未公布
113481004工银成长512,462.32812,370.34未公布
114450002国富弹性425,672.82804,563.31818,886.25
115202301南方现金增利792,420.91792,420.91793,790.16
116040003华安富利790,873.68790,873.68797,587.52
117184698基金天元300,000.00788,222.91790,829.68
118360005光大红利238,921.97786,754.66799,192.34
119240005华宝策略1,173,787.83778,056.29未公布
120519021金鼎价值精选698,511.10774,879.29未公布
121519300大成300604,280.90756,580.15763,445.15
122184721基金丰和300,000.00750,399.24783,343.95
123500009基金安顺300,000.00749,184.76未公布
124184693基金普丰300,000.00741,576.58743,364.64
125340006兴业全球视野242,161.31736,482.29743,855.84
126020005国泰金马852,712.74733,870.73755,008.27
127310358新经济902,983.18733,117.62未公布
128070006嘉实服务209,792.61717,183.84728,112.59
129161609融通动力先锋351,518.54716,666.72724,706.32
130217004招商现金增值713,785.36713,785.36未公布
131260108景顺成长617,723.36700,628.09709,987.52
132519692交银成长312,934.73698,878.90767,134.19
133500011基金金鑫300,000.00691,865.50未公布
134184699基金同盛300,000.00683,724.14685,925.58
135560003益民创新优势706,685.25679,939.52682,810.45
136500018基金兴和300,000.00677,953.67682,180.93
137184701基金景福300,000.00677,868.79679,625.58
138161610融通领先成长584,571.49676,007.33未公布
139500015基金汉兴300,000.00669,296.69未公布
140070099嘉实优质807,735.15668,845.79673,930.69
141070005嘉实债券565,749.78667,415.19677,377.16
142519993长信增利622,761.97661,483.68671,098.48
143570001诺德价值优势585,173.07659,726.90未公布
144110001易基平稳402,478.27657,208.12665,084.77
145180001银华优势企业592,238.12647,279.61660,006.72
146500005基金汉盛200,000.00643,584.34未公布
147184722基金久嘉200,000.00638,080.58未公布
148460002友邦积极成长594,641.52633,801.79644,169.40
149519180万家180748,680.39631,752.64未公布
150288002中信红利300,653.99624,446.41649,500.91
151310328新动力626,834.15613,123.01未公布
152240009华宝先进257,000.16612,938.38未公布
153162006长城久富415,115.35608,895.27615,698.40
154519005海富股票792,727.66608,226.88615,138.62
155184689基金普惠200,000.00605,551.45614,552.86
156373010上投双息609,725.74603,434.25607,841.42
157162207荷银效率738,684.82603,116.90未公布
158519019大成景阳未公布588,453.11592,613.36
159519003海富收益682,639.59581,974.11585,886.80
160519690交银稳健229,840.83581,928.57586,327.57
161500006基金裕阳200,000.00581,488.36未公布
162200006长城股票653,524.83578,119.09未公布
163100022富国天瑞730,929.15577,416.84582,964.18
164160805长盛同智396,146.99576,298.84585,120.12
165398001中海成长776,912.90574,955.60593,361.09
166160605鹏华中国50313,944.72565,628.84未公布
167260109景顺内需贰号未公布560,113.97566,957.08
168161606融通行业562,616.00558,815.71563,272.95
169510880红利ETF未公布557,198.25558,210.68
170001001华夏债券A/B694,001.54555,587.06776,771.95
171163503天治核心成长827,122.54554,740.83未公布
172481006工银瑞信红利未公布553,482.64未公布
17337001b上投货币B未公布553,221.57未公布
174530003建信成长526,187.92551,445.35558,516.61
175500002基金泰和200,000.00547,080.71未公布
176159901深证100ETF未公布542,521.26543,179.20
177040002华安A股163,154.27542,016.65558,112.63
178500003基金安信200,000.00541,951.11未公布
179500038基金通乾200,000.00539,928.61561,760.05
180550001信诚四季598,323.94539,291.48未公布
181100026富国天合稳健616,739.97528,742.45538,031.23
182519013海富优势384,128.47528,707.16542,806.41
183482002工银货币527,757.66527,757.66559,833.80
184519999长信利息523,921.08523,921.08未公布
185500058基金银丰300,000.00522,314.10523,634.44
186184688基金开元200,000.00522,305.47524,293.80
187202202南方避险225,439.87521,367.87537,606.91
188213003宝盈策略417,596.76521,216.98未公布
189184691基金景宏200,000.00521,196.21未公布
190290001泰信天天512,660.68512,660.68513,181.15
191420001天弘精选702,283.94507,980.61519,961.90
192000011华夏大盘76,222.96507,457.34未公布
193213002宝盈区域增长602,471.60505,313.08未公布
194184706基金天华250,000.00503,282.74505,227.39
195020010国泰金牛创新503,714.31502,311.80506,391.70
196162204荷银精选116,160.63501,483.27未公布
197161605融通蓝筹345,968.59500,705.61未公布
198160105南方积配302,858.05494,456.85501,082.71
199121007国投瑞福优先600,033.30493,956.07未公布
200150001国投瑞福进取584,054.53493,956.07495,081.42
201500001基金金泰200,000.00490,844.33未公布
202500008基金兴华200,000.00482,826.39未公布
203020011国泰沪深300643,756.58477,731.17482,574.51
204184690基金同益200,000.00473,106.83474,626.86
205040004华安宝利479,629.19459,686.17466,102.53
206090004大成精选增值305,980.74457,107.87未公布
207519017大成成长435,199.93456,162.06未公布
208121005国投瑞银创新354,381.73453,317.74未公布
209100018富国天利债券367,942.87445,846.38467,322.06
210260104景顺内需增长126,824.88441,212.07443,428.10
211163804中银收益506,065.24437,703.12未公布
212070001嘉实成长508,808.39434,037.80未公布
213260101景顺长城优选317,949.10426,238.53未公布
214121009国投瑞银稳定增利419,331.10422,554.17511,308.13
215000031华夏复兴未公布422,277.28未公布
216620001宝石动力保本2,833,748.85417,407.29未公布
217530002建信货币416,342.06416,342.06416,566.12
218519506海富通货币B未公布414,049.39未公布
219217008招商安本增利376,361.96411,641.90未公布
220166001中欧趋势329,133.81411,221.10415,172.78
221159902中小板未公布404,891.43未公布
222530001建信价值326,529.71404,277.70411,648.73
223150002大成优选467,430.51399,236.45未公布
224240004华宝动力436,492.45396,389.64未公布
225121002国投景气487,635.03393,448.24395,581.64
226150103银河银泰448,560.31392,952.03400,333.71
227580002东吴动力196,805.04391,829.97403,561.41
228184728基金鸿阳200,000.00388,899.28391,590.30
229519015海富通精选2号345,661.58387,223.87394,971.23
230500007基金景阳0.00383,054.94未公布
231540003汇丰晋信策略332,094.69373,584.97379,565.00
232519996长信银利455,774.52373,284.23未公布
233288102中信双利360,056.51372,832.41447,132.04
234580001东吴嘉禾457,532.70365,270.17未公布
235184713基金科翔80,000.00358,999.73359,980.33
236519007海富回报438,124.52351,838.59未公布
237161607融通巨潮277,461.65351,257.75358,142.68
238050007博时平衡配置313,855.39345,769.59未公布
239121008国投瑞银成长优选398,970.49341,850.53未公布
240184712基金科汇80,000.00330,288.28未公布
241519666银河银信309,643.21328,254.61328,931.72
242398011中海分红404,414.09326,577.10334,804.77
243500016基金裕元150,000.00320,075.20未公布
244161005富国天惠227,707.25319,680.82326,597.12
245257010德盛小盘353,352.82317,858.02319,667.04
246519181万家和谐增长401,153.84317,767.37319,493.04
247240001宝康消费234,248.54315,392.41未公布
248290004泰信优质253,527.57313,939.32未公布
249020009国泰金鹏蓝筹未公布308,763.13312,035.80
250257020德盛精选291,677.61302,120.96306,127.11
251162208泰达荷银首选185,139.76292,632.66295,269.93
252184719基金融鑫0.00292,116.32292,781.42
253240002宝康配置180,277.53287,847.09未公布
254410001华富优选291,362.96285,589.02292,873.99
255550002信诚精萃316,098.38276,481.12279,290.10
256560002益民红利284,332.18271,557.45273,961.89
257160603鹏华收益326,281.26270,186.04未公布
258070002嘉实增长70,036.72269,179.98270,428.76
259202101南方宝元债券230,206.89268,290.82269,971.76
260410003华富成长309,908.23266,432.46280,125.61
261050006博时稳定债券B未公布259,559.50未公布
262240006华宝现金宝A296,755.88251,700.07未公布
263240007华宝现金宝B296,755.88251,700.07未公布
264200002长城久泰173,860.18245,649.56247,842.01
265290003泰信双息双利未公布242,332.21251,703.95
266210001金鹰优选295,320.00240,074.84242,560.67
267485105工银强债A653,661.96237,042.63未公布
268485005工银强债B653,661.96237,042.63未公布
269163302巨田资源146,349.76231,835.48236,320.59
270288001中信经典120,100.54227,551.87228,831.91
271340001兴业转基193,497.49226,416.63未公布
272184695基金景博0.00220,715.37未公布
273360006光大增长171,112.42220,483.65223,940.70
274310308盛利精选224,054.65219,080.74221,779.98
275001003华夏债券C类未公布217,565.89776,771.95
276257030德盛优势161,771.36213,195.90215,565.24
277270004广发货币209,571.26209,571.26未公布
278510080长盛债券169,504.79208,360.78244,067.55
279510081长盛精选178,619.25202,776.57未公布
280184710基金隆元0.00200,959.83未公布
281500029基金科讯0.00200,270.76未公布
282163801中银中国112,739.04195,430.01222,430.92
283202102南方多利未公布189,365.63189,909.06
284540002汇丰龙腾81,747.17185,321.53未公布
285184718基金兴安0.00184,093.18未公布
286217001招商安泰股票203,235.41175,799.00未公布
287110006易方达货币A296,693.55171,733.87未公布
288519087新世纪优选229,049.71171,647.61174,512.04
289151001银河稳健192,040.22166,642.69未公布
290519100长盛100141,718.85159,305.65未公布
291450001国富收益144,861.04157,635.89160,675.44
292500010基金金元0.00154,638.02未公布
293500039基金同德0.00153,576.52154,184.73
294519505海富通货币A563,290.47149,241.08572,413.46
295260102景顺长城货币147,631.40147,631.40154,503.06
296400001东方龙182,834.48146,587.79148,341.32
297090005大成货币A232,949.70146,506.63未公布
298091005大成货币B232,949.70146,506.63未公布
299162201荷银成长78,081.48145,205.63146,372.78
300184700基金鸿飞0.00143,674.47145,312.05
301180002银华保本增值123,418.26143,631.05未公布
302184705基金裕泽50,000.00140,331.76140,837.21
303184708基金兴科0.00139,799.95未公布
304163802中银货币138,869.75138,869.75142,973.58
305184696基金裕华0.00137,264.58未公布
306184720基金久富0.00135,638.62未公布
307080001长盛成长149,087.08132,620.60133,467.84
308213001宝盈鸿利159,741.87131,994.77未公布
309500019基金普润50,000.00129,552.02未公布
310510180180ETF未公布129,189.60129,331.75
311110016易方达货币B未公布124,959.68未公布
312070009嘉实短债124,556.64124,765.99129,702.38
313020008国泰混合81,950.45124,614.42126,587.27
314500025基金汉鼎50,000.00124,381.52124,716.36
315500035基金汉博0.00122,168.41未公布
316184711基金普华50,000.00120,416.34未公布
317184703基金金盛50,000.00117,371.03118,649.38
318184738基金通宝0.00114,402.89未公布
319519589交银货币B145,467.90113,743.43未公布
320519588交银货币145,467.90113,743.43未公布
321184709基金安久50,000.00112,938.15未公布
322540001汇丰201657,123.58111,994.04未公布
323320004诺安债券未公布107,911.08未公布
324151002银河收益67,605.16107,543.21未公布
325500013基金安瑞49,674.99106,043.62未公布
326100016富国天源平衡99,522.08103,824.30未公布
327200003长城货币92,818.4092,818.4093,025.65
328150015银河银富B未公布90,066.99未公布
329370010上投货币641,473.0488,251.47未公布
330110008易方达收益B未公布87,856.90198,430.22
331110007易方达收益A未公布87,856.90198,430.22
332080011长盛货币85,890.4285,890.4285,933.25
333162202荷银周期48,962.6679,986.56未公布
334206001鹏华行业成长89,231.9979,949.69未公布
335184702基金同智0.0079,266.33未公布
336500017基金景业50,000.0075,305.50未公布
337161902万家增强收益未公布74,658.5477,790.20
338500021基金金鼎0.0074,590.56未公布
339519508万家货币71,738.6571,738.6571,872.56
340320002诺安货币70,471.5870,471.5870,628.06
341092002大成债券C类未公布68,598.25140,284.38
342121001国投融华51,736.7667,862.0768,185.40
343020001国泰金鹰增长77,059.4067,600.6472,660.65
344360003光大货币65,894.9365,894.93未公布
345160606鹏华货币A108,819.1165,748.33112,139.44
346519517汇添富货币B151,085.8565,350.80153,188.06
347519518汇添富货币151,085.8565,350.80153,188.06
348020003国泰金龙行业75,635.7565,244.19未公布
349090002大成债券123,039.9065,110.26140,284.38
350310338收益宝62,476.7562,476.7562,547.09
351161603融通债券51,123.5861,143.8162,958.36
352200001长城久恒平衡40,756.2759,682.8360,148.69
353519519友邦增利A156,179.7158,804.32165,807.54
354460003友邦增利B156,179.7158,804.32165,807.54
355020002国泰金龙债券56,192.4056,985.5557,381.79
356100028富国天时货币B未公布56,274.6776,573.93
357500028基金兴业50,000.0053,416.21未公布
358340005兴业货币53,048.7753,048.7753,129.22
359020006金象保本增值0.0049,765.95未公布
360162206荷银货币49,416.1049,416.1049,514.35
361410002华富货币49,274.1849,274.1849,331.92
362162203荷银稳定36,722.2349,079.53未公布
363288101中信货币45,497.9745,497.9750,490.58
364161903万家公用56,322.6944,603.1646,332.83
365050106博时稳定债券A未公布43,831.27未公布
366160609鹏华货币B未公布43,070.78112,139.44
367217003招商债券59,097.1942,574.8168,518.48
368350001天治财富50,173.4640,872.23未公布
369