基金160630最深圳能源股票新净值查询鹏华治理净值 鹏华160607 基金净值

股票商场是一个充溢机会和应战的商场,出资者需求有正确的出资心态,防止盲目跟风和过度自傲,防止形成不必要的丢失。下面常识中的这篇文章是关于基金160630最新净值查询鹏华办理净值的相关信息,期望能够协助到你。

本文概要:1、基金增加率排行榜2、现在有哪些基金重仓万科3、有谁知道鹏华价值这个基金?基金增加率排行榜

答:你可天天基金网查询。

敞开(639)股票型(332)混合型(149)债券型(150)QDII(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 前史增加率计算

近三月 近半年 近一年 近二年 近三年 今年来 建立来

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 华安香港精选 --- --- 3.61% -0.51% --- --- --- 1.46% -2.40%

5 519089 新华优选生长 1.7376 2.1376 2.40% 2.03% 21.33% 41.16% --- 0.21% 120.67%

6 481006 工银盈利 1.0046 1.0446 2.27% 0.29% 16.81% 17.29% 0.19% 1.59% 0.46%

7 400007 东方战略生长 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 202408 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 华夏职业精选 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 1.2024 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 易方达消费职业 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 320241 诺安中小盘精选 1.2300 1.2900 0.49% 2.24% 29.76% --- --- 2.24% 29.76%

18 161210 国投瑞银新式商场 --- --- 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 520244 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 嘉实恒生我国企业 --- --- 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 富国天鼎中证盈利 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 建信职责联接 1.1050 1.1050 0.00% 0.73% --- --- --- 2.70% 10.50%

28 530006 建信中心精选 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 202424 南边成份精选 0.9648 0.9848 -0.20% 1.33% 19.15% 13.49% -13.62% 1.33% -0.43%

31 519095 新华职业周期轮换 1.1290 1.1290 -0.26% -0.96% --- --- --- -1.31% 12.90%

32 510880 华泰柏瑞盈利ETF 2.2600 1.5390 -0.40% -0.53% 6.20% 3.81% -29.41% 3.53% 54.09%

33 160716 嘉实根本面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 新华钻石质量企业 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 信达澳银抢先增加 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办理联接 0.8650 0.8650 -0.92% -0.12% 8.53% --- --- 2.61% -13.50%

42 510010 交银上证180办理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 建信长久价值 0.7738 2.3520 -1.20% -2.17% 17.25% 28.30% 14.30% -3.11% 215.80%

49 202406 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 鹏华优质办理 0.9910 1.0910 -1.27% 1.58% 9.90% 15.14% -3.78% -2.40% 14.05%

53 519692 交银生长 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 320240 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 南边中证500 1.2136 1.2636 -1.33% -4.18% 20.88% --- --- -1.41% 26.92%

58 090010 大成中证盈利指数 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 光大量化中心 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%

现在有哪些基金重仓万科答:持有 万科A(000002)的基金

报告期:2024-03-31

序号 基金代码 基金简称 持仓市值(元) 持仓数量(股) 占基金净值份额(%)

1 202424 南边绩优生长 1,062,890,024.19 72,921,641.00 9.83

2 160106 南边高增加 796,320,000.00 48,000,000.00 9.66

3 519017 大成生长 698,064,497.34 42,077,426.00 5.67

4 519688 交银精选 570,476,895.87 34,386,793.00 2.65

5 202424 南边稳健生长 548,700,729.15 33,074,185.00 3.20

6 202401 南边避险增值 485,651,894.07 29,273,773.00 8.20

7 160105 南边积配 447,930,000.00 27,000,000.00 7.74

8 184698 基金天元 383,941,960.40 25,894,094.00 4.68

9 160805 长盛同智优势生长 379,664,173.98 22,885,122.00 3.33

10 378010 上投摩根生长前锋 376,265,463.63 22,680,257.00 4.01

11 159901 深100ETF 351,181,367.04 21,168,256.00 8.57

12 320243 诺安股票 312,023,641.65 18,807,935.00 4.82

13 110005 易方达活跃生长 309,288,664.02 18,643,078.00 1.97

14 050004 博时精选股票 298,615,172.31 17,999,709.00 2.23

15 110001 易方达平稳增加 296,187,922.59 17,853,401.00 3.03

16 090004 大成精选增值 282,360,157.59 17,019,901.00 3.36

17 500016 基金裕元 273,900,000.00 16,500,000.00 8.12

18 160610 鹏华动力增加 272,589,692.76 16,430,964.00 2.61

19 213003 宝盈战略增加 261,167,809.56 15,742,484.00 2.54

20 161005 富国天惠 250,273,471.77 15,085,803.00 3.68

21 519692 交银生长 248,850,000.00 15,000,000.00 3.93

22 500002 基金泰和 234,890,713.80 14,150,043.00 4.43

23 050201 博时价值增加贰号 232,260,000.00 14,000,000.00 2.93

24 519018 汇添富均衡增加 223,965,000.00 13,500,000.00 3.49

25 377010 上投摩根阿尔法 222,318,193.65 13,400,735.00 3.39

26 519013 海富通风格优势 221,670,000.00 15,000,000.00 1.99

27 002024 华夏报答二号 215,873,791.56 13,012,284.00 4.46

28 090001 大成价值增加 214,011,000.00 12,900,000.00 4.55

29 161605 蓝筹生长 208,196,022.51 12,549,489.00 2.53

30 184689 基金普惠 203,578,556.20 12,885,907.00 4.21

31 184699 基金同盛 199,200,000.00 12,000,000.00 3.17

32 090006 大成财富办理 196,416,541.86 11,839,454.00 9.51

33 450002 国富弹性市值 193,834,490.85 11,683,815.00 3.95

34 166001 中欧趋势 189,237,584.34 11,406,726.00 2.62

35 320245 诺安价值增加 175,715,158.29 10,591,631.00 2.93

36 519690 交银稳健 174,678,897.12 10,529,168.00 3.03

37 180012 银华殷实主题 165,901,576.05 10,000,095.00 3.56

38 161604 融通100 164,778,250.56 9,932,384.00 8.13

39 161609 融通动力前锋 162,990,114.00 9,824,600.00 3.43

40 320241 诺安平衡 162,965,195.82 9,823,098.00 3.28

41 500058 基金银丰 161,592,783.00 9,734,505.00 2.31

42 500005 基金汉盛 155,094,749.00 11,257,515.00 3.12

43 500011 基金金鑫 149,400,000.00 9,000,000.00 2.74

44 184692 基金裕隆 144,120,000.00 12,000,000.00 1.93

45 160706 嘉实300 138,714,680.37 8,361,343.00 2.34

46 184706 基金天华 137,448,647.40 8,280,039.00 2.72

47 500038 基金通乾 126,160,000.00 7,600,000.00 3.07

48 500010 基金金元 117,528,000.00 7,080,000.00 8.51

49 202401 南边宝元债券型 116,572,200.00 7,580,000.00 8.51

50 184728 基金鸿阳 116,200,000.00 7,000,000.00 2.85

51 162207 泰达荷银功率 115,964,100.00 6,990,000.00 4.67

52 020249 国泰金鹏蓝筹价值 107,992,256.61 6,509,479.00 3.05

53 160605 我国50 104,237,458.50 6,283,150.00 3.21

54 519100 长盛中证100 101,831,626.47 6,138,133.00 3.66

55 519087 新世纪优选 101,373,029.10 6,110,490.00 9.60

56 500007 基金景阳 99,764,987.40 6,009,939.00 3.54

57 050001 博时价值增加 99,536,831.31 5,999,809.00 2.87

58 184710 基金隆元 97,940,000.00 5,900,000.00 8.15

59 290004 泰信优质日子 91,245,000.00 5,500,000.00 4.04

60 180003 银华-道琼斯88精选 82,951,045.17 5,000,063.00 3.50

61 500018 基金兴和 75,474,821.60 4,546,676.00 1.13

62 162202 泰达荷银周期 72,996,000.00 4,400,000.00 5.52

63 184693 基金普丰 68,256,062.60 4,111,811.00 1.00

64 121003 国投瑞银中心企业 66,192,606.90 3,989,910.00 3.55

65 161607 融通巨潮 65,254,674.66 3,933,374.00 3.50

66 162607 景顺资源 64,584,206.40 3,892,960.00 3.38

67 240001 宝康消费品基金 54,745,423.95 3,299,905.00 1.44

68 184708 基金兴科 51,460,000.00 3,100,000.00 4.13

69 160607 鹏华价值 48,940,500.00 2,950,000.00 3.71

70 184705 基金裕泽 46,805,409.00 3,372,615.00 3.92

71 184711 基金普华 39,176,000.00 2,360,000.00 3.71

72 500019 基金普润 37,848,000.00 2,280,000.00 3.02

73 050002 博时裕富 31,554,478.62 1,902,018.00 3.18

74 260103 景顺动力平衡 31,521,000.00 1,900,000.00 2.52

75 090003 大成蓝筹稳健 31,521,000.00 1,900,000.00 5.23

76 360001 光大量化中心 31,521,000.00 1,900,000.00 4.68

77 184700 基金鸿飞 29,880,000.00 1,800,000.00 2.58

78 519001 银华中心价值 29,862,000.00 1,800,000.00 2.97

79 020241 国泰金鹰增加 24,885,000.00 1,500,000.00 3.15

80 310328 申万巴黎新动力 24,884,021.19 1,499,941.00 3.22

81 213001 宝盈鸿利收益 22,962,268.77 1,384,103.00 4.06

82 160603 普天收益基金 19,908,000.00 1,200,000.00 2.40

83 202402 长城久泰 18,733,577.31 1,129,209.00 2.48

84 040002 华安我国A股 18,514,440.00 1,116,000.00 2.05

85 213002 宝盈泛滨海 16,590,000.00 1,000,000.00 4.43

86 519300 大成沪深300 15,793,099.35 951,965.00 2.41

87 360006 光大新增加 11,181,660.00 674,000.00 2.66

88 151001 银河稳健 9,539,250.00 575,000.00 4.24

89 450001 富兰克林国海收益 8,112,510.00 489,000.00 2.90

90 020243 国泰金龙精选 5,633,847.87 339,593.00 2.95

91 510081 长盛动态精选 1,659.00 100.00 0.00

有谁知道鹏华价值这个基金?答:这是该基金的根本概略

鹏华价值优势股票型证券出资基金(LOF)

基金称号 鹏华价值优势股票型证券出资基金(LOF) 基金代码 160607

最新净值 1.0600元 累计净值 3.2450元

出资风格 平衡型 出资类型 股票型

基金司理 程世杰 基金办理人 鹏华基金办理有限公司

最新规划 690648277.11 基金托管人 我国建设银行

最大申购费率 1.50% 办理费率 1.50%

HFI值 22.94 建立日期 2024-07-18

和讯评级 ★★★★

成绩体现

项目 最近30日 最近90日 最近180日 最近360日 今年以来

净值增加率(%) 0.01 0.30 0.56 2.11 1.22

上证综指(%) 13.21 34.45 52.73 175.24 60.92

上证180(%) 4.24 36.76 64.27 282.29 160.14

尽管咱们无法防止日子中的问题和困难,可是咱们能够用达观的心态去面临这些难题,活跃寻觅这些问题的处理办法。常识期望基金160630最新净值查询鹏华办理净值 鹏华160607 基金净值,能给你带来一些启示。

发布于 2024-04-30 14:04:09
收藏
分享
海报
35
目录

    推荐阅读