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债券基金净值近日到壹周增长龙虎榜(20141110)

2019-05-13 15:39  原创    字体:

  花样翻新时间:2014-11-10

  @代码基金名称单位净值累计净值日增长周增长150165东方吴转债B1.4011.4017.92%10.40%040023华装置却转债B1.1421.1424.55%7.53%040022华装置却吉祥坊1.1581.1584.66%7.52%690002民生强大债A1.4201.5503.03%6.85%690202民生强大债C1.3871.5172.96%6.77%150189招商转债B0.0000.000-10000.00%6.61%519977长信却吉祥坊1.2621.4254.25%6.38%519976长信却转债C1.2441.3974.24%6.37%000068民生加以银转债C1.1531.1534.34%6.17%000067民生加以银吉祥坊1.1601.1604.31%6.13%000358父亲成景祥B1.4631.4632.46%6.01%090008父亲成强大债1.1051.3052.60%5.04%310518申万却转债1.2321.3823.08%5.03%040013华装置强大债B1.1231.2942.40%4.86%040012华装置强大债A1.1451.3222.45%4.85%090017父亲成却转债1.2721.2822.99%4.78%150033嘉实多利0.0000.000-10000.00%4.69%161624融畅通标注普A1.1041.1043.71%4.25%550016信诚岁岁添金1.2701.2601.50%4.18%161625融畅通标注普C1.0971.0973.74%4.18%150063浦银增利B1.6971.6971.71%4.17%270029广发聚财债A1.2321.2411.22%3.88%270030广发聚财B1.2201.2281.23%3.83%000004中海却转债C1.1671.1672.14%3.73%165809东方吴中证债券1.1421.1422.98%3.72%000003中海却吉祥坊1.1721.1722.13%3.72%519989长信利丰1.2981.5111.69%3.67%162712广发聚利1.2511.3841.12%3.56%000150华装置副债C1.1551.1551.39%3.49%000149华装置副债A1.1601.1601.38%3.48%150144转债B0.0000.000-10000.00%3.37%150040中欧鼎利B0.0000.000-10000.00%3.35%163816中银转债增强大A1.4491.4492.83%3.28%163817中银转债增强大B1.4301.4302.80%3.25%000093新副载B1.2500.0000.96%3.22%150162银华永更加B0.0000.000-10000.00%3.21%000536前海开源债1.1911.1912.43%3.21%630007华商固定健副利债券型A1.3361.3971.27%3.17%150081信诚副载B1.6771.6771.07%3.14%630107华商固定健B1.3191.3731.29%3.13%000118广发聚鑫债A1.2001.2001.42%3.00%000119广发聚鑫债C1.1931.1931.34%2.93%000440父亲成景祥分级1.2061.2061.24%2.90%160915父亲成景丰1.1721.2311.71%2.90%080009同禧A1.1031.1031.45%2.89%092002吉祥坊C1.1971.7411.28%2.89%090002吉祥坊券1.2011.7841.28%2.89%080010同禧c1.0861.0861.38%2.84%690206民生副利c1.1981.2281.50%2.83%690006民生副利A1.2121.2421.49%2.80%150102长信利群B1.1511.1511.13%2.79%630009华商摆荡增利A1.2671.2671.03%2.76%620003金元丰利1.1211.1430.80%2.66%040010华装置进款B1.0941.3841.44%2.65%040009华装置进款A1.0981.4131.45%2.65%630109华商摆荡增利C1.2461.2460.96%2.64%150147同利B0.0000.000-10000.00%2.62%150042利鑫B1.4591.4590.89%2.56%000131父亲成景兴C1.1521.1521.22%2.49%000130父亲成景兴A1.1601.1601.21%2.47%161719招商转债0.0000.000-10000.00%2.38%040019华装置摆荡1.2041.2941.41%2.38%450018国富信誉债券A1.1201.1201.52%2.38%290007泰信强大债A1.1291.2451.27%2.35%291007泰信强大债C1.1221.2241.27%2.34%165517信诚副载1.4171.4610.85%2.31%000384富国恒利B0.0000.000-10000.00%2.30%450019国富信誉债券C1.1131.1131.44%2.30%150166国富恒利B0.0000.000-10000.00%2.28%270048广发纯债债A1.1241.1390.44%2.27%519060海富畅通纯债C0.0000.000-10000.00%2.27%519061海富畅通纯债A0.0000.000-10000.00%2.26%150160融畅通畅通福B1.3141.3140.53%2.26%213007珍载增收A/B1.2751.5271.15%2.20%213917珍载增收C1.2431.4951.15%2.19%270049广发纯债债C1.1181.1320.45%2.19%121009国投摆荡0.0000.000-10000.00%2.19%163005长信利群1.1171.1600.89%2.18%151002银河进款1.1802.3602.39%2.15%686869浙商聚载C1.1491.1490.70%2.13%150035聚利B0.0000.000-10000.00%2.13%686868浙商聚载A1.1591.1590.69%2.11%150116银华永兴B0.0000.000-10000.00%2.11%000151诺言装置信誉债券0.0000.000-10000.00%2.11%270009广发强大债1.2101.4130.58%2.11%150129鹏华丰利B0.0000.000-10000.00%2.10%510080长盛债券1.3042.1141.23%2.07%161216国投副债A0.0000.000-10000.00%2.06%161221国投副债C0.0000.000-10000.00%2.05%110027装置心报还A0.0000.000-10000.00%2.04%161614融畅通四节添利1.1061.2340.90%2.03%519661银河增利债C1.1591.1590.78%2.02%519660银河增利债A1.1651.1650.86%2.01%150137装置信珍利B1.1691.1690.34%2.01%160622鹏华丰利0.0000.000-10000.00%2.00%110028装置心报还B0.0000.000-10000.00%1.99%150132元盛B1.0311.0310.29%1.98%150161新华惠鑫B0.0000.000-10000.00%1.96%000633中银聚利B0.0000.000-10000.00%1.96%150067互利B1.4081.4080.92%1.96%163003长信利鑫1.3161.3570.67%1.93%000669国寿尊享债C1.0581.0580.47%1.93%000668国寿尊享债A1.0591.0590.47%1.92%270045广发副债添利C1.0801.0800.74%1.89%162108金鹰元盛1.0291.0450.29%1.88%270044广发副债添利A1.0891.0890.73%1.87%519519华泰增利A1.1921.4160.29%1.86%460003华泰增利B1.1661.3900.28%1.85%000184工银添福A0.0000.000-10000.00%1.81%164210天弘同利分级0.0000.000-10000.00%1.80%200013长城主动增利A1.1901.2700.84%1.80%160718嘉实多利1.0201.1400.89%1.79%000104华宸增利债券1.0891.1791.01%1.78%485107工银添利A0.0000.000-10000.00%1.76%161115善基岁丰0.0000.000-10000.00%1.75%485007工银添利B0.0000.000-10000.00%1.75%150128工银增B0.0000.000-10000.00%1.75%000026泰臻信誉A1.1681.1680.86%1.74%000185工银添福B0.0000.000-10000.00%1.74%200113长城主动增利C1.1711.2510.85%1.74%000299中海纯债C1.0601.0600.38%1.73%000081天治水却转债C1.1201.1201.16%1.73%000298中海纯债A1.0631.0630.38%1.72%519663银河岁岁报还C0.0000.000-10000.00%1.72%000080天治水却吉祥坊1.1261.1261.15%1.72%050116落时微不清雅C0.0000.000-10000.00%1.71%240012华珍强大债A0.0000.000-10000.00%1.71%519662银河岁岁报还A0.0000.000-10000.00%1.71%020027国泰信誉债券A1.1361.1360.88%1.70%240013华珍强大债B0.0000.000-10000.00%1.70%000194银华四节红0.0000.000-10000.00%1.69%519112浦银进款C1.3841.3940.58%1.69%000318中海惠利纯债B1.1451.1450.61%1.69%550017信诚添金1.0951.1450.55%1.67%000027泰臻信誉B1.1631.1630.77%1.66%519111浦银进款A1.4131.4230.57%1.65%000170泰臻高票息B1.1721.1720.43%1.65%206018鹏华产业债0.0000.000-10000.00%1.65%040045华装置信誉强大债1.1111.1380.72%1.65%000169泰臻高票息A1.1781.1780.42%1.64%020028国泰信誉债券c1.1251.1250.89%1.63%166401浦银增利1.3161.3160.68%1.62%150120东方吴鼎利B1.0691.0690.09%1.62%070015嘉实多元A1.1341.4160.79%1.61%050016落时微不清雅A0.0000.000-10000.00%1.61%000348广发金融债A1.1171.1170.40%1.59%162210集儿子利债券A1.2281.3360.55%1.59%163824中银盛利1.0911.1310.55%1.58%162299集儿子利债券C1.1981.3010.53%1.58%460008华泰固定健进款A1.1621.1620.43%1.57%166904民生添利A1.0981.1510.18%1.57%000405信诚月月活期1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