MSCI主题基金有哪些 MSCI主题基金收益率排行榜

    来源: 互联网 作者:佚名

    摘要: MSCI主题基金有哪些MSCI主题基金收益率排行榜平均收益率0.79%1.86%2.26%19.48%周期近一周近一个月今年以来近一年排名24/16680/166140/166135/166基金名称单

      MSCI主题基金有哪些 MSCI主题基金收益率排行榜

      

    平均收益率0.79%1.86%2.26%19.48%
    周期近一周近一个月今年以来近一年
    排名24/16680/166140/166135/166
    基金名称单位净值累计净值收益率
    近一周近一月今年以来近一年
    前海开源MSCI1.56431.56431.09%5.72%13.88%36.31%
    -67122020-6-82020-6-8
    前海开源MSCI1.55971.55971.08%5.70%13.78%36.02%
    -67132020-6-82020-6-8
    中金MSCI质量1.7961.7960.59%4.92%14.45%44.52%
    -63412020-6-82020-6-8
    中金MSCI质量1.79341.79340.58%4.90%14.32%44.26%
    -63422020-6-82020-6-8
    华泰柏瑞MSCI1.20291.20290.75%2.06%3.96%25.46%
    -5125202020-6-82020-6-8
    富国MSCI中国1.41491.41491.14%2.03%5.40%27.71%
    -60342020-6-82020-6-8
    新华MSCI中国1.37011.37010.88%2.00%5.47%22.86%
    -5129202020-6-82020-6-8
    平安MSCI中国1.2081.2080.76%1.97%2.33%22.16%
    -5123602020-6-82020-6-8
    MSCIETF联接A1.36991.36990.71%1.96%3.30%22.70%
    -62862020-6-82020-6-8
    中金MSCI价值1.11811.11811.76%1.94%-6.25%-0.97%
    -63492020-6-82020-6-8
    MSCIETF联接C1.35961.35960.70%1.93%3.19%22.19%
    -62932020-6-82020-6-8
    中金MSCI价值1.11491.11491.74%1.92%-6.36%-1.21%
    -63502020-6-82020-6-8
    前海开源MSCI1.22351.32350.81%1.92%3.12%18.68%
    -65242020-6-82020-6-8
    平安MSCI中国1.09911.09910.15%1.89%-0.82%13.38%
    -5123902020-6-82020-6-8
    前海开源MSCI1.21961.31960.79%1.89%3.02%18.42%
    -65252020-6-82020-6-8
    平安MSCI中国1.24011.24010.71%1.87%2.08%20.41%
    -58682020-6-82020-6-8
    MSCI中国A股1.20451.20450.85%1.86%4.10%23.29%
    -5120902020-6-82020-6-8
    平安MSCI中国1.23631.23630.71%1.85%2.02%20.24%
    -58692020-6-82020-6-8
    华安中国A股0.864.0231.18%1.65%1.90%20.45%
    -400022020-6-82020-6-8
    华夏MSCI中国1.2971.2970.81%1.63%3.22%23.94%
    -5129902020-6-82020-6-8
    创金合信MSCI1.12081.12080.93%1.59%1.50%20.39%
    -55672020-6-82020-6-8
    创金合信MSCI1.11481.11480.92%1.57%1.41%20.13%
    -55682020-6-82020-6-8
    景顺长城MSCI1.13511.13510.76%1.55%1.75%18.78%
    -5122802020-6-82020-6-8
    华夏MSCI中国1.16441.22070.77%1.53%2.95%22.34%
    -9752020-6-82020-6-8
    MSCI中国A股1.19871.19870.71%1.53%2.88%22.75%
    -5121602020-6-82020-6-8
    华夏MSCI中国1.16231.21860.76%1.50%2.86%22.00%
    -57352020-6-82020-6-8
    MSCI中国A股1.27361.27360.68%1.45%2.84%21.62%
    -57882020-6-82020-6-8
    MSCI中国A股1.26331.26330.67%1.41%2.66%21.12%
    -57892020-6-82020-6-8
    建信MSCI中国1.12891.12890.74%1.40%1.20%18.12%
    -5121802020-6-82020-6-8
    景顺长城MSCI1.13051.13050.71%1.35%1.48%17.32%
    -58322020-6-82020-6-8
    建信MSCI联接1.23231.23230.69%1.29%1.07%16.38%
    -58292020-6-82020-6-8
    建信MSCI联接1.22121.22120.68%1.26%0.90%15.95%
    -58302020-6-82020-6-8
    招商MSCI中国1.17391.17390.67%1.21%1.20%17.20%
    -57612020-6-82020-6-8
    华安MSCI中国1.31791.31790.66%1.16%0.87%16.62%
    -5128602020-6-82020-6-8
    招商MSCI中国1.16131.16130.66%1.16%0.97%16.62%
    -57622020-6-82020-6-8
    华安MSCI中国1.23261.23260.61%1.01%0.74%14.61%
    -57472020-6-82020-6-8
    华安MSCI中国1.22151.22150.60%0.97%0.55%14.12%
    -57482020-6-82020-6-8
    景顺长城MSCI1.23131.23130.56%0.96%4.39%23.11%
    -60632020-6-82020-6-8
    中金MSCI中国1.22121.22120.02%0.96%-2.50%8.70%
    -63432020-6-82020-6-8
    中金MSCI中国1.21961.21960.02%0.94%-2.60%8.44%
    -63442020-6-82020-6-8
    中金MSCI红利1.06621.06621.33%0.44%-9.19%0.65%
    -63512020-6-82020-6-8
    中金MSCI红利1.06321.06321.32%0.42%-9.28%0.42%
    -63522020-6-82020-6-8

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