股票投资是一种长期的投资方式,投资者需要耐心和毅力,不断学习和调整自己的投资策略,才能在市场中获得长期的稳定回报。接下来,艾尚财经带你了解007690国投瑞银基金净值,做好相应的准备,007690国投瑞银基金净值,国投瑞银001838基金净值希望可以帮你解决现在所面临的一些难题。

国投瑞银基金怎么样

国投瑞银基金怎么样

答:首先按投资标的分类标准,国投瑞银稳健增长混合属于混合型基金,他的风险较之股票型基金大,但比债券型基金和货币市场基金小,风险适中、收益也适中,和基金的名字一样,比较稳健。

作为基金定投来投资的话,还是比较适合的,股票型基金和指数型基金也是基金定投比较好的选择,债券型基金和货币市场型基金就不适合基金定投了。

关于风险、收益:看了一下这支基金过去两年的和同类型基金的比较以及收益率,表现非常不错,可长期持有,会有回报,但持有时间至少3年。

关于赎回时间:如果你能够判断大盘行情,那么在行情即将步入下行通道的前一天,也就是大盘最高点,进行赎回是最佳的时机,可问题在于,绝大部分人都不具备这种能力,即使是证券从业人员、天天上电视的分析师,在行情突变时,判断几乎都是错的。07年在6000多点高位时,绝大部分人仍继续唱多,报纸、电视还报道能上10000点、20000点的都有。所以,作为普通投资者来说,需要的是耐心,以时间作为代价等待财富的增值。

怎样查“国投瑞银核心企业基金”2007年9月27日的净值?

答:国投瑞银核心企业股票基金(基金代码121003,高风险,波动幅度较大,适合较激进的投资者)2007年5月24日单位净值为0.9935,累计净值为2.4335。

具体如下图:

净值又称“帐面价值”。股票价值的一种。通过公司的财务报表计算而得,是股东权益的会计反映,或者说是股票所对应的公司当年自有资金价值。

股票净值代表了股东们共同拥有的自有资金和应享有的权益。股票净值与股票真值、市值有密切关系。由于股票净值表示的是公司过去年份的经营和财务状况,因此可作为测算股票真值的主要依据。如某股票净值高,表示该公司经营财务状况好,股东享有的权益多,股票未来获利能力强,该股票的真值一定较高,市值也会上升;反则反之。

基金增长率排行榜

答:你可天天基金网查询。

开放(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 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 华安香港精选 --- --- 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%

我们通过阅读,知道的越多,能解决的问题就会越多,对待世界的看法也随之改变。所以通过本文,艾尚财经相信大家的知识有所增进,明白了007690国投瑞银基金净值。