您现在的位置:主页 > 热点 >

162213基金净值查询,华夏基金收益排行榜

更新时间:2021-10-31 16:13:54

  1:我国的指数基金一共有哪些,截止2010年6月

  指数型也是股票基金,是按照指数所选的股票进行配置,较被动稳健。其他的股票型有各自的投资风格,选择要看个人偏爱。目前有上证50,中小版,上证180,深证100,央企、沪深300 等几种指数基金。

  2:指数基金有哪些

  指数基金(index fund),顾名思义就是以指数成份股为投资对象的基金,即通过购买一部分或全部的某指数所包含的股票,来构建指数基金的投资组合,目的就是使这个投资组合的变动趋势与该指数相一致,以取得与指数大致相同的收益率。指数基金是一种按照证券价格指数编制原理构建投资组合进行证券投资的一种基金。从理论上来讲,指数基金的运作方法简单,只要根据每一种证券在指数中所占的比例购买相应比例的证券,长期持有就可。
最简单的方法就是,带数字的基本上都是指数基金。
1 159902 华夏中小板 -17.44% 3.1820 2.6270 3.2820 2.7270
2 159906 大成深证成长40 -12.55% 1.0050 0.8790 1.0050 0.8790
3 090012 大成深证成长40联接 -10.65% 1.0040 0.8970 1.0040 0.8970
4 217016 招商深证100 -9.72% 1.1520 1.0400 1.1520 1.0400
5 162711 广发中证500 -9.68% 1.0950 0.9890 1.0950 0.9890
6 160119 南方中证500 -9.49% 1.2310 1.1140 1.2810 1.1640
7 160616 鹏华中证500 -9.43% 1.0290 0.9320 1.0290 0.9320
8 180003 银华道琼斯88 -9.09% 0.9349 0.8499 2.7349 2.6499
9 510130 中盘ETF -8.77% 3.1600 2.8826 1.0870 0.9915
10 481012 深证红利ETF联接 -8.57% 1.0051 0.9190 1.0051 0.9190
11 159901 易方达深证100 -8.50% 0.8170 0.7475 3.9930 3.6626
12 164205 天弘深证 -8.49% 0.9780 0.8950 0.9780 0.8950
13 161604 融通深证100指数 -8.35% 1.3410 1.2170 2.6910 2.5800
14 161812 银华深证100 -8.26% 1.2050 1.0900 1.2050 1.1070
15 159905 深证红利ETF -8.24% 1.0035 0.9208 1.0035 0.9208
16 110021 中盘ETF联接 -8.10% 1.0910 1.0026 1.0910 1.0026
17 110019 易方达深100联接 -8.07% 0.9960 0.9156 0.9960 0.9156
18 510070 上证民企50ETF -7.97% 1.2730 1.1720 1.0910 1.0050
19 217017 上证消费80ETF联接 -7.77% 0.9910 0.9140 0.9910 0.9140
20 206005 上证民企50ETF联接 -7.62% 1.0890 1.0060 1.0890 1.0060
21 040002 华安中国A股 -7.57% 0.8740 0.7980 3.3040 3.0870
22 159903 深成ETF -7.46% 1.2634 1.1694 0.9322 0.8629
23 161213 国投瑞银中证消费服务 -7.42% 0.9970 0.9230 0.9970 0.9230
24 161612 融通深成指 -7.33% 1.0090 0.9350 1.0090 0.9350
25 202017 南方深证联接 -7.10% 0.9468 0.8796 0.9468 0.8796
26 450008 国富沪深300指数 -6.81% 1.0870 1.0130 1.0870 1.0130
27 510170 上证大宗商品ETF -6.78% 1.0030 3.0140 1.0030 0.9350
28 166007 中欧沪深300 -6.77% 1.0081 0.9398 1.0531 0.9848
29 200002 长城久泰沪深300 -6.51% 1.2213 1.1418 4.0813 4.0018
30 163109 申万菱信深成指分级 -6.50% 0.9060 0.8360 0.9060 0.8410
31 257060 上证大宗商品ETF联接 -6.43% 0.9960 0.9320 0.9960 0.9320
32 161811 银华沪深300 -5.78% 0.9520 0.8970 0.9520 0.8970
33 161207 瑞和300 -5.76% 0.9730 0.9170 0.9310 0.8780
34 213010 宝盈中证100 -5.67% 0.9000 0.8490 0.9000 0.8490
35 202015 南方沪深300指数 -5.60% 1.1601 1.0019 1.2201 1.1619
36 519300 大成沪深300 -5.55% 0.9452 0.8927 2.3552 2.3027
37 270010 广发沪深300指数 -5.43% 1.3250 1.2530 1.6150 1.5430
38 481009 工银瑞信沪深300 -5.43% 1.1084 1.0203 1.2734 1.2153
39 165309 建信沪深300 -5.42% 0.8860 0.8380 0.8860 0.8380
40 160615 鹏华沪深300 -5.41% 1.0930 1.0340 1.1530 1.0940
41 020011 国泰沪深300 -5.41% 0.6280 0.5940 0.8990 0.8500
42 163001 长信中证央企100 -5.41% 0.9990 0.9450 0.9990 0.9450
43 510190 上证龙头企业ETF -5.40% 2.5520 2.4140 0.9780 0.9250
44 160807 长盛沪深300 -5.25% 1.0570 0.9530 1.0570 1.0030
45 160706 嘉实沪深300 -5.22% 0.8040 0.7619 2.6720 2.6299
46 000051 华夏沪深300指数 -5.21% 0.8830 0.8370 0.8830 0.8370
47 110020 易方达沪深300 -5.08% 0.9450 0.8970 0.9450 0.8970
48 050002 博时沪深300指数 -5.08% 0.8450 0.8020 2.8250 2.7820
49 519116 浦银安盛沪深300 -5.02% 0.9960 0.9460 0.9960 0.9460
50 202021 南方小康ETF联接 -4.63% 0.9820 0.9184 0.9820 0.9384
51 040180 华安上证180联接 -4.58% 0.9610 0.9170 0.9610 0.9170
52 519180 万家180 -4.56% 0.6715 0.6407 3.0115 2.9807
53 090010 大成中证红利 -4.43% 1.0160 0.9710 1.0160 0.9710
54 040190 上证龙头ETF联接 -4.39% 0.9790 0.9360 0.9790 0.9360
55 470007 汇添富上证综指 -4.33% 0.9000 0.8610 0.9000 0.8610
56 510180 华安180 -4.31% 0.6510 0.6230 2.4980 2.3940
57 163407 兴全沪深300指数 -4.21% 0.9620 0.9215 0.9620 0.9215
58 162509 国联安双禧中证100 -4.01% 1.0720 1.0290 1.0720 1.0290
59 410008 华富中证100 -3.94% 0.8294 0.7967 0.8294 0.7967
60 162213 泰达宏利财富大盘 -3.94% 1.0390 0.9980 1.0590 1.0180
61 161607 融通巨潮100 -3.88% 0.9010 0.8660 2.4150 2.3800
62 320010 诺安中证100 -3.80% 0.8160 0.7850 0.8160 0.7850
63 240014 华宝兴业中证100 -3.61% 0.8494 0.8187 0.8494 0.8187
64 162307 海富通中证100 -3.58% 0.8380 0.8080 0.8380 0.8080
65 510060 上证央企ETF -3.51% 1.3226 1.2764 0.8460 0.8164
66 163808 中银中证100指数 -3.51% 0.8530 0.8230 0.8630 0.8330
67 519100 长盛中证100指数 -3.20% 0.8420 0.8151 1.4620 1.4351
68 110003 易方达50指数 -3.07% 0.7573 0.7340 2.6073 2.5840
69 161211 国投瑞银金融地产 -3.04% 0.8220 0.7970 0.8220 0.7970
70 519027 上证周期行业50联接 -2.85% 0.8760 0.8510 0.8760 0.8510
71 510010 治理ETF -2.79% 0.7480 0.7270 0.8330 0.8090
72 510090 上证责任ETF -2.67% 0.9400 0.9150 1.1210 1.0920
73 519671 银河沪深300价值 -2.62% 0.8410 0.8190 0.8410 0.8190
74 519686 交银治理 -2.61% 0.8430 0.8210 0.8430 0.8210
75 510160 南方小康ETF -2.61% 0.4225 0.4116 1.0511 1.0240
76 530010 建信责任 -2.60% 1.0760 1.0480 1.0760 1.0480
77 510110 上证周期行业50 -2.53% 2.3880 2.3270 0.9580 0.9340
78 399001 中海上证50 -2.45% 0.8570 0.8360 0.8570 0.8360
79 510880 上证红利ETF -2.01% 2.1830 2.1380 1.4880 1.4590
80 310398 申万菱信沪深300 -1.91% 0.8360 0.8200 0.8360 0.8200
81 240016 上证180ETF联接 -1.90% 0.9470 0.9290 0.9770 0.9590
82 100038 富国量化沪深300 -1.79% 0.9510 0.9340 0.9510 0.9340
83 510030 上证180ETF -1.78% 2.5540 2.5090 0.8740 0.8590
84 510050 华夏上证50 -1.56% 1.9720 1.9410 2.5090 2.4720
85 050013 博时超大联接 -1.45% 0.7590 0.7480 0.7590 0.7480
86 510020 超大ETF -1.43% 0.2030 0.2000 0.7490 0.7380
87 160716 嘉实50 -0.37% 0.7389 0.7362 0.7389 0.7362
88 100032 富国天鼎中证红利 -0.06% 1.2990 1.1640 1.7380 1.7320
89 020021 国泰上证180金融联接 -- -- 0.9130 -- 0.9130
90 100053 富国上证综指ETF联接 -- -- 0.9280 -- 0.9280
91 161816 银华中证等权重90 -- -- 0.9100 -- 0.9100
92 165511 信诚500 -- -- 0.8940 -- 0.8940
93 320014 诺安新兴产业联接 -- -- 1.0030 -- 1.0030
94 460220 华泰柏瑞中小盘联接 -- -- 0.8820 -- 0.8820
95 510120 上证非周期100ETF -- -- 2.1960 -- 0.9250
96 510150 上证消费80ETF -- -- 2.7640 -- 0.9110
97 510210 富国上证综指ETF -- -- 2.7060 -- 0.9260
98 510220 华泰柏瑞上证中小盘 -- -- 3.2190 -- 0.8800
99 510230 国泰上证180金融 -- -- 3.1200 -- 0.8860
100 510260 诺安上证新兴产业 -- -- 0.9340 -- 0.9340
101 519032 上证非周期100ETF联接 -- -- 0.9380 -- 0.9380

  3:指数基金有哪些

  国内目前主要是股票市场指数。上证50 、上证180、深100、中证100、中证300、沪深300。还是比较多的。

  4:基金增长率排行榜

  你可以上天天基金网查询。
开放(639)股票型(332)混合型(149)型(150)DII(21)保本型(10)指数型(83)ETF(14)勾选 比较 序号 基金代码 基金简称 19日
单位净值 19日
累计净值 历史增长率统计
近三月 近半年 近一年 近二年 近三年 今年来 成立来
1 160607 鹏华价值优势 0.8770 2.7140 5.03% 7.74% 15.55% 21.13% -1.90% 8.81% 180.55%
2 118001 易方达亚洲精选 --- --- 4.72% 2.06% 14.65% --- --- 2.93% 8.80%
3 050015 博时亚太精选 --- --- 3.69% 2.45% --- --- --- 1.45% 4.60%
4 040018 华安精选 --- --- 3.61% -0.51% --- --- --- 1.46% -2.40%
5 519089 新华优选成长 1.7376 2.1376 2.40% 2.03% 21.33% 41.16% --- 0.21% 120.67%
6 481006 工银红利 1.0046 1.0446 2.27% 0.29% 16.81% 17.29% 0.19% 1.59% 0.46%
7 400007 东方策略成长 1.4454 1.4454 1.95% 2.20% 16.14% 30.43% --- 2.66% 44.54%
8 161211 国投瑞银金融地产 0.8530 0.8530 1.55% -0.35% 0.47% --- --- 3.77% -14.70%
9 150022 申万深指分级收益 1.0220 1.0330 1.39% 1.79% --- --- --- 1.09% 2.20%
10 200008 长城品牌优选 0.8204 0.8204 1.01% 5.18% 9.53% 8.33% -15.93% 7.07% -17.96%
11 510030 华宝上证180价值ETF 2.6690 0.9140 0.87% 1.41% -0.22% --- --- 4.50% -8.64%
12 160314 华夏行业精选 0.9540 4.2660 0.85% -4.31% 6.24% 20.61% 8.16% -2.45% -3.43%
13 050010 博时特许价值 1.2000 1.5450 0.76% 4.83% 23.07% 22.13% --- 1.81% 56.69%
14 510050 华夏上证50ETF 2.0350 2.5830 0.59% 0.35% 4.79% 0.50% -27.89% 3.19% 166.42%
15 110022 易方达消费行业 0.9570 0.9570 0.53% -6.73% --- --- --- -2.64% -4.30%
16 240016 华宝上证180联接 0.9850 1.0150 0.51% 0.51% 2.18% --- --- 4.01% 1.26%
17 320011 诺安中小盘精选 1.2300 1.2900 0.49% 2.24% 29.76% --- --- 2.24% 29.76%
18 161210 国投瑞银新兴市场 --- --- 0.48% -1.03% --- --- --- -2.67% 5.70%
19 519185 万家精选 0.9688 1.0488 0.39% -2.29% 9.19% 4.15% --- -0.93% 4.15%
20 510110 海富通上证周期ETF 2.4440 0.9810 0.33% 0.04% --- --- --- 2.35% -1.92%
21 519994 长信金利趋势 0.7818 2.3026 0.32% 2.81% 22.27% 20.07% -11.03% 1.47% 134.89%
22 160717 嘉实恒生中国企业 --- --- 0.21% -4.78% --- --- --- -0.23% -10.17%
23 110003 易方达上证50 0.7729 2.6229 0.21% -0.32% 6.01% -0.01% -28.55% 2.06% 134.90%
24 100032 富国天鼎中证红利 1.2160 1.7910 0.00% 3.86% 19.45% 19.08% --- 4.18% 64.34%
25 310398 申万沪深300 0.8680 0.8680 0.00% 1.64% 4.83% --- --- 3.83% -13.20%
26 519027 海富通上证周期联接 0.8920 0.8920 0.00% -0.34% --- --- --- 1.83% -10.80%
27 530010 建信责任联接 1.1050 1.1050 0.00% 0.73% --- --- --- 2.70% 10.50%
28 530006 建信核心精选 1.1420 1.8070 -0.09% -1.47% 23.86% 46.20% --- -2.79% 91.08%
29 100038 富国量化沪深300 0.9810 0.9810 -0.10% 1.76% 18.62% --- --- 3.15% -1.90%
30 202005 南方成份精选 0.9648 0.9848 -0.20% 1.33% 19.15% 13.49% -13.62% 1.33% -0.43%
31 519095 新华行业周期轮换 1.1290 1.1290 -0.26% -0.96% --- --- --- -1.31% 12.90%
32 510880 华泰柏瑞红利ETF 2.2600 1.5390 -0.40% -0.53% 6.20% 3.81% -29.41% 3.53% 54.09%
33 160716 嘉实基本面50 0.7723 0.7723 -0.45% 1.02% 1.89% --- --- 4.52% -22.77%
34 519671 银河沪深300价值 0.8670 0.8670 -0.57% 0.81% 4.33% --- --- 3.09% -13.30%
35 519093 新华钻石品质企业 1.0120 1.0120 -0.59% -2.88% 15.00% --- --- -0.88% 1.20%
36 206005 鹏华上证民企50联接 1.0780 1.0780 -0.65% -5.44% --- --- --- -1.01% 7.80%
37 150003 建信优势动力 0.9420 0.9420 -0.74% -4.66% 10.43% 23.95% -6.27% -2.99% -5.80%
38 610001 信达澳银领先增长 1.2088 1.4888 -0.76% 0.25% 25.02% 34.66% 6.21% -0.07% 46.87%
39 110009 易方达价值精选 1.2155 2.5555 -0.84% -3.92% 14.51% 19.21% 6.51% -2.95% 208.25%
40 399001 中海上证50 0.8800 0.8800 -0.90% 0.80% 1.27% --- --- 2.68% -12.00%
41 519686 交银180治理联接 0.8650 0.8650 -0.92% -0.12% 8.53% --- --- 2.61% -13.50%
42 510010 交银上证180治理ETF 0.7680 0.8550 -1.03% -0.13% 8.78% --- --- 2.67% -14.51%
43 161607 融通巨潮100 0.9070 2.4210 -1.09% -1.20% 7.59% 1.11% -24.79% 0.67% 199.71%
44 150002 大成优选 1.0480 1.1010 -1.13% -3.63% 26.07% 51.46% 26.22% -1.96% 10.34%
45 240014 华宝中证100 0.8620 0.8620 -1.16% -0.60% 8.92% --- --- 1.48% -13.80%
46 162307 海富通中证100 0.8510 0.8510 -1.16% -0.58% 8.96% --- --- 1.55% -14.90%
47 519100 长盛中证100 0.8574 1.4774 -1.18% 0.20% 10.52% 4.13% -22.13% 1.83% 36.43%
48 530001 建信恒久价值 0.7738 2.3520 -1.20% -2.17% 17.25% 28.30% 14.30% -3.11% 215.80%
49 200006 长城消费增值 0.8730 2.3130 -1.21% -7.54% 7.09% 15.14% -1.01% -3.94% 168.06%
50 162213 泰达宏利大盘指数 1.0600 1.0800 -1.21% -0.38% 8.07% --- --- 2.02% 8.07%
51 163808 中银中证100 0.8660 0.8760 -1.25% -0.69% 7.85% --- --- 1.52% -12.53%
52 160611 鹏华优质治理 0.9910 1.0910 -1.27% 1.58% 9.90% 15.14% -3.78% -2.40% 14.05%
53 519692 交银成长 2.6632 2.9082 -1.29% -3.97% 15.75% 23.29% 14.47% -4.03% 191.26%
54 163407 兴业沪深300 0.9735 0.9735 -1.31% 0.24% --- --- --- 1.20% -2.65%
55 320010 诺安中证100 0.8260 0.8260 -1.31% -0.72% 8.54% --- --- 1.23% -17.40%
56 410008 华富中证100 0.8391 0.8391 -1.32% -0.58% 9.69% --- --- 1.17% -16.09%
57 160119 南方中证500 1.2136 1.2636 -1.33% -4.18% 20.88% --- --- -1.41% 26.92%
58 090010 大成中证红利指数 1.0220 1.0220 -1.35% -0.58% 13.68% --- --- 0.59% 2.20%
59 270005 广发聚丰 0.7796 4.3556 -1.38% -2.16% 22.21% 18.86% -2.40% -2.79% 370.41%
60 260110 景顺长城精选蓝筹 0.8450 0.8450 -1.40% -2.09% 9.03% 2.18% -18.83% -1.97% -15.50%
61 160616 鹏华中证500 1.0150 1.0150 -1.46% -4.06% 20.40% --- --- -1.36% 1.50%
62 162711 广发中证500 1.0770 1.0770 -1.46% -4.44% 20.47% --- --- -1.64% 7.70%
63 288002 华夏收入 2.5400 3.9400 -1.47% 0.71% 13.09% 22.57% 12.88% 2.21% 480.23%
64 162509 国联安双禧中证100 1.0830 1.0830 -1.55% -0.73% 9.06% --- --- 1.03% 8.30%
65 360001 光大量化核心 0.9215 2.9252 -1.59% 1.35% 21.14% 23.26% -14.53% 0.44% 213.51%
66 213010 宝盈中证100增强 0.9020 0.9020 -1.64% -1.53% 6.87% --- --- 0.22% -9.80%

  5:590002基金的净值是多少

  中邮核心成长混合(基金代码590002,中高风险,波动幅度较大,适合较积极的投资者)2016年6月30日单位净值为0.8205元,下跌0.21%

  6:590002基金至成立以来的最高单位净值是多少

  中邮核心成长股票基金(基金代码590002,高风险,波动幅度较大,适合较激进的投资者)最高历史单位净值出现在2007年10月16日,当日该基金单位净值为1.1885元。