|
大盘基金的隐含收益率 | ||||||
|
基金代码 |
基金简称 |
到期日期 |
份额净值(元) |
收盘价(元) |
隐含收益率 |
折/溢价率 |
|
150001 |
瑞福进取 |
2012-7-17 |
0.767 |
0.917 |
-16.36% |
19.56% |
|
150002 |
大成优选 |
2012-8-1 |
0.879 |
0.799 |
10.01% |
-9.10% |
|
184722 |
久嘉 |
2017-7-5 |
3.3028 |
2.99 |
10.46% |
-9.47% |
|
184688 |
开元 |
2013-3-27 |
2.7796 |
2.502 |
11.10% |
-9.99% |
|
184721 |
丰和 |
2017-3-22 |
2.5793 |
2.311 |
11.61% |
-10.40% |
|
500002 |
泰和 |
2014-4-7 |
2.8307 |
2.518 |
12.42% |
-11.05% |
|
500001 |
金泰 |
2013-3-27 |
3.0696 |
2.706 |
13.44% |
-11.85% |
|
184706 |
天华 |
2009-7-11 |
2.078 |
1.819 |
14.24% |
-12.46% |
|
184692 |
裕隆 |
2014-6-14 |
3.1096 |
2.674 |
16.29% |
-14.01% |
|
500056 |
科瑞 |
2017-3-12 |
3.2313 |
2.752 |
17.42% |
-14.83% |
|
184698 |
天元 |
2014-8-25 |
2.7151 |
2.284 |
18.87% |
-15.88% |
|
500008 |
兴华 |
2013-4-28 |
2.4892 |
2.089 |
19.16% |
-16.08% |
|
500011 |
金鑫 |
2014-10-20 |
2.617 |
2.186 |
19.72% |
-16.47% |
|
184728 |
鸿阳 |
2016-12-9 |
2.0503 |
1.711 |
19.83% |
-16.55% |
|
500003 |
安信 |
2013-6-22 |
2.7665 |
2.269 |
21.93% |
-17.98% |
|
500009 |
安顺 |
2014-6-14 |
2.582 |
2.106 |
22.60% |
-18.44% |
|
500006 |
裕阳 |
2013-7-25 |
2.9971 |
2.443 |
22.68% |
-18.49% |
|
500038 |
通乾 |
2016-8-28 |
2.7691 |
2.206 |
25.53% |
-20.34% |
|
184693 |
普丰 |
2014-7-14 |
2.564 |
2.039 |
25.75% |
-20.48% |
|
184689 |
普惠 |
2014-1-6 |
3.149 |
2.5 |
25.96% |
-20.61% |
|
184699 |
同盛 |
2014-11-5 |
2.3527 |
1.851 |
27.10% |
-21.32% |
|
184691 |
景宏 |
2014-5-5 |
2.7397 |
2.151 |
27.37% |
-21.49% |
|
500005 |
汉盛 |
2014-5-9 |
3.2871 |
2.579 |
27.46% |
-21.54% |
|
184690 |
同益 |
2014-4-8 |
2.4722 |
1.935 |
27.76% |
-21.73% |
|
500058 |
银丰 |
2017-8-14 |
1.835 |
1.424 |
28.86% |
-22.40% |
|
500018 |
兴和 |
2014-7-13 |
2.3457 |
1.82 |
28.88% |
-22.41% |
|
184701 |
景福 |
2014-12-30 |
2.3596 |
1.816 |
29.93% |
-23.04% |
|
500015 |
汉兴 |
2014-12-30 |
2.2843 |
1.734 |
31.74% |
-24.09% |
|
平均值 |
19.71% |
-15.82% | ||||
|
小盘基金的隐含收益率 | ||||||
|
基金代码 |
基金简称 |
到期日期 |
份额净值(元) |
收盘价(元) |
隐含收益率 |
折/溢价率 |
|
184712 |
科汇 |
2008-12-13 |
4.2529 |
4.045 |
5.14% |
-4.89% |
|
184713 |
科翔 |
2008-12-13 |
4.6781 |
4.387 |
6.64% |
-6.22% |
|
500025 |
汉鼎 |
2008-12-31 |
2.5915 |
2.44 |
6.21% |
-5.85% |
|
184703 |
金盛 |
2009-11-30 |
2.4986 |
2.295 |
8.87% |
-8.15% |
|
184705 |
裕泽 |
2011-5-31 |
2.8367 |
2.495 |
13.70% |
-12.05% |
|
平均值 |
8.11% |
-7.43% | ||||
