202007南方隆元主题基金走势(牛人分析下南方隆元产业基金怎么这么能跌??!)

时间:2024-01-03 18:12:27 | 分类: 基金问答 | 作者:admin| 点击: 59次

牛人分析下南方隆元产业基金怎么这么能跌??!

202007南方隆元基金2013年下跌14%。该基金的投资理念是“聚焦国民经济产业主题,积极把握行业轮动时机”。经济的发展是一个动态的过程,在不同的历史时期、不同的宏观背景、不同的产业政策下,国民经济三大产业中各行业板块的发展态势有所不同,本基金将捕捉三大产业中各行业发展的不同态势,从而选取优势行业进行投资,并且随其变化适时调整,以更好把握国民经济优势行业。但去年上涨最好的基金主要是能够把握住创业板的基金。而南方隆元的重仓股是600739辽宁成大601989中国重工600837海通证券600030中信证券601808中海油服600150中国船舶600583海油工程600547山东黄金600489中金黄金600118中国卫星等。所以下跌厉害。

【南方隆元产业主题混合(202007),南方隆元产业主题混合(202007)净值】基金净值,估值,行情走势_基金买卖网

证券代码:834540

众禄基金客服热线:4006-788-887工作日8:30~21:00

郑重申明:基金销售业务资格证书【000000302】众禄基金网发布此信息目的在于传播更多信息,与本网站立场无关。众禄基金网不保证该信息(包含但不限于文字,数据及图表)全部或者部分内容的准确性、真实性、完整性、有效性、及时性、原创性等。所载文字和数据等仅供参考,使用前请核实,风险自负。投资有风险,交易需谨慎。

风险揭示:我司针对适当性匹配意见不表明对产品、服务的风险、收益做出实质性判断或保证。产品净值随市场、政策、投资标的等实际情况而波动,投资存在本金亏损的可能。投资前请根据自身风险承受能力谨慎决策,并自行承担投资风险。

Copyright©2004-2023深圳众禄基金销售股份有限公司版权所有粤ICP备09131572号-3增值电信业务许可证粤B2-20070119

南方隆元基金历年分红派息

搜一下:南方隆元基金历年分红派息

南方隆元基金怎么样

南方隆元是大盘股票型基金,成立于2007年股市的最高点,随之狂泄如流从面值1元跌至0,6元左右,今年以来反转爆涨,近半年回报率达26,96%,名列全部基金之首,最新净值0,8100元,可在回踩时就低买入。

南方隆元累计净值;南方隆元产业主题混合(202007)基金历史净值-海螺财经

在当前的经济环境下,财经知识的重要性不断提升。投资者们需要了解宏观经济形势、行业动态、公司财务等方面的信息,以更好地把握投资机会。接下来,海螺财经带你了解南方隆元累计净值,做好相应的准备,南方隆元累计净值;南方隆元产业主题混合(202007)基金历史净值希望可以帮你解决现在所面临的一些难题。

最佳答案受累于股指连续下挫,不少偏股型基金表现相当疲软,从2011年1月30日到2011年5月30日,前5个月的基金投资业绩看,“进攻”效果远不如“防守”。截至5月30日,震荡行情下偏股型基金大幅跑输股指,净值跌幅逾11%,其中超过三成跌破面值;而风格稳健的保本型基金和债券型基金前5月净值出现小幅微跌。

后续行情走势到底会朝着什么方向发展,依旧是未知之数。短期排名对于投资者来说,只能作为衡量手中基金与大盘表现的一个方面,也许,到2011年,年底,排名情况又会出现翻天覆地的变化。

截止;2011.5.31排名代码基金简称最新净值一年定投收益率▼近1年净值增长率1519601海富通海外精选1.55010.11%20.45%2217015招商全球资源1.2068.87%23.82%3000041华夏全球精选0.9257.84%19.66%4377016上投摩根亚太优势0.6867.30%23.16%5241001华宝兴业中国成长1.1487.00%15.15%6160213国泰纳斯达克1001.1096.89%14.91%7183001银华全球核心优选0.9985.87%14.32%8118001易方达亚洲精选1.0795.78%15.03%9486001工银瑞信全球配置1.0045.75%16.34%10202801南方全球精选0.7524.69%14.81%11160607鹏华价值优势0.8484.22%11.43%12050010博时特许价值1.1574.11%17.56%13202007南方隆元产业主题0.7203.88%16.51%14200008长城品牌优选0.8023.81%8.09%15320011诺安中小盘精选1.1593.63%23.16%16519696交银环球精选1.5213.47%13.15%17202005南方成份精选0.9343.26%14.17%18400007东方策略成长1.4063.04%12.65%19100032富国天鼎中证红利1.1602.96%12.68%20530006建信核心精选1.0982.95%18.12%21486002工银瑞信全球精选1.0612.69%6.21%22519089新华优选成长1.6472.36%14.11%23070012嘉实海外中国股票0.6802.21%6.75%24360001光大保德信核心0.8902.16%16.26%25320007诺安成长0.9532.14%18.14%26610001信达澳银领先增长1.1472.14%17.17%27160505博时主题行业1.7521.93%16.90%28510090建信上证社会责任ETF0.9391.68%12.00%

最佳答案12月10日基金净值更新日期:12月7日

代码名称最新净值上期净值最新净值增长率近一周净值增长率近一月净值增长率累计净值累计分红最新份额(亿)

000001NV.OF华夏成长净值2.0452.0270.894.5-4.443.2261.18161.5457

000011NV.OF华夏大盘精选净值6.7166.6271.345.650.076.8960.188.2684

000021NV.OF华夏优势增长净值2.4462.4240.915.25-3.052.5660.1291.6291

000031NV.OF华夏复兴净值0.990.981.025.21-1.880.99049.9911

001001NV.OF华夏债券AB净值1.1121.113-0.090.36-0.271.3620.2543.8711

001003NV.OF华夏债券C净值1.1051.106-0.090.27-0.361.3550.2510.1886

002001NV.OF华夏回报净值1.3521.3420.753.84-1.893.3231.971168.754

002021NV.OF华夏回报2号净值1.181.1690.944.33-1.862.4271.24772.7903

020002NV.OF国泰金龙债券净值1.0651.06500.280.371.2280.1637.6107

020003NV.OF国泰金龙行业精选净值3.2673.2341.024.71-4.054.0990.8321.8937

020005NV.OF国泰金马稳健回报净值1.0111.0020.93.9-4.354.1633.119106.0574

020006NV.OF国泰金象保本增值净值1.4311.4280.210.57-0.281.4310.441.9986

020008NV.OF国泰金鹿保本增值净值1.5941.590.251.4-1.241.6190.0259.1382

020009NV.OF国泰金鹏蓝筹价值净值1.2881.2770.865.05-5.442.1730.88538.6777

020010NV.OF国泰金牛创新成长净值1.2161.2050.914.56-4.11.2660.0581.0883

040002NV.OF华安MSCI中国A股净值4.2624.2011.456.18-4.634.6320.3710.6404

040004NV.OF华安宝利配置净值1.0951.0890.553.89-0.543.3352.2429.9092

040005NV.OF华安宏利净值2.9282.89721.065.54-3.713.3180.3952.9924

040006NV.OF华安国际配置净值1.0231.0160.69001.02301.8104

040007NV.OF华安中小盘成长净值1.46971.44781.516.02-3.422.78461.7749144.3842

040008NV.OF华安策略优选净值1.0221.01510.684.46-4.812.55832.6563243.7349

050001NV.OF博时价值增长净值1.0080.99814.13-3.363.512.502409.9358

050002NV.OF博时裕富净值1.3541.3371.276.11-6.493.3341.98192.2833

050004NV.OF博时精选净值2.12762.1041.125.19-4.253.51761.39120.9471

050006NV.OF博时稳定价值债券B净值1.0531.0520.090.380.191.0910.03814.3767

050007NV.OF博时平衡配置净值1.2571.2470.84.14-5.562.3181.06146.2127

050008NV.OF博时第三产业成长净值1.4941.4810.885.43-3.683.3052.051154.3808

050009NV.OF博时新兴成长净值1.0741.0611.225.09-3.944.0293.4023294.7625

050106NV.OF博时稳定价值债券A净值1.0541.0530.090.470.181.0920.0380.4585

050201NV.OF博时价值增长2号净值0.9760.9670.934.83-5.242.4311.45568.9229

070001NV.OF嘉实成长收益净值1.77821.76370.823.72-1.793.32821.5535.506

070002NV.OF嘉实增长净值4.4254.3930.733.95-1.864.7660.3416.8834

070003NV.OF嘉实稳健净值1.331.3190.834.56-4.113.4561.7369302.1839

070005NV.OF嘉实债券净值1.2591.2560.230.48-2.631.6090.3532.9815

070007NV.OF嘉实浦安保本净值11.0010.10.10.161.8970.8972.3635

070009NV.OF嘉实超短债净值1.00281.00240.040.110.241.04630.04353.0955

070010NV.OF嘉实主题精选净值1.7191.7090.594.43-2.332.8841.16583.1135

070011NV.OF嘉实策略增长净值1.6671.6520.915.04-2.41.6670127.1473

070099NV.OF嘉实优质企业净值000002.9691.8440

080001NV.OF长盛成长价值净值1.1251.1170.714.17-3.62.9691.84419.3219

090001NV.OF大成价值增长净值0.97080.961215.43-1.233.63082.6617.4458

090002NV.OF大成债券AB净值1.06641.0666-0.020.640.141.29590.229521.5133

090003NV.OF大成蓝筹稳健净值1.10881.09870.925.24-3.163.67882.57183.4507

090004NV.OF大成精选增值净值1.91941.89251.425.54-3.623.31991.400540.6571

090006NV.OF大成财富管理2020净值0.9790.970.935.16-2.592.8011.82266.3478

092002NV.OF大成债券C净值1.05631.0566-0.030.620.071.28580.229521.5133

100016NV.OF富国天源平衡净值1.23841.22571.044.58-5.032.4991.260614.8974

100018NV.OF富国天利增长债券净值1.28291.28060.181.16-0.351.71290.4317.457

100020NV.OF富国天益价值净值1.05031.03981.015.16-1.124.06163.011318.2165

100022NV.OF富国天瑞强势地区精选净值2.04692.01261.715.82-3.253.21691.177.7829

100026NV.OF富国天合稳健优选净值0.99330.98370.975.64-2.952.37281.379556.506

110001NV.OF易方达平稳增长净值1.9571.940.885.16-2.733.0671.1144.9782

110003NV.OF易方达上证50净值1.42581.4091.196.16-3.953.27581.85173.4911

110005NV.OF易方达积极成长净值1.67571.66080.95.8-3.614.7371.8812124.7659

110007NV.OF易方达月月收益A净值1.00841.0080.040.10.421.040.03162.8524

110008NV.OF易方达月月收益B净值1.00861.00820.040.110.451.04020.02830.0999

110010NV.OF易方达价值成长净值1.52291.50361.295.76-3.091.55290.03255.6301

112002NV.OF易方达策略成长2号净值1.8491.8340.826.45-4.153.3441.49541.7316

121001NV.OF国投瑞银融华债券净值1.43741.42740.72.52-2.892.28940.8524.5693

121002NV.OF国投瑞银景气行业净值0.95180.9421.044.08-4.422.92081.96954.433

121003NV.OF国投瑞银核心企业净值1.26851.25511.076.21-5.552.70851.44156.4999

121005NV.OF国投瑞银创新动力净值1.49421.479415.63-4.542.72730.840644.6447

121007NV.OF国投瑞银瑞福优先净值1.0541.0510.291.44-0.851.054029.9984

150001NV.SZ国投瑞银瑞福进取净值1.2661.2412.0110.57-9.121.266030.005

150002NV.SZ大成优选净值1.1921.1791.17.68-4.331.192046.7431

150103NV.OF银河银泰理财分红净值1.06581.05491.044.74-4.933.60582.5446.3536

151001NV.OF银河稳健净值1.41671.40320.964.95-2.833.22171.80516.9767

151002NV.OF银河收益净值1.61091.60120.612.05-0.371.91090.33.7866

159901NV.OF易方达深证100ETF净值5.044.971.416.76-7.35.160.1210.6317

159902NV.OF华夏中小板ETF净值2.5812.5690.475.87-0.042.581011.482

160105NV.OF南方积极配置净值1.97511.9570.935.65-3.943.03011.05544.0375

160311NV.OF华夏蓝筹核心净值1.3311.3190.914.88-3.23.8152.043269.5585

160314NV.OF华夏行业精选净值3.6813.6411.14.54-0.924.4680.7875

160505NV.OF博时主题行业净值2.9922.9571.184.11-0.963.9130.92164.0489

160602NV.OF鹏华普天债券A净值1.0911.09100.190.371.220.1291.2807

160603NV.OF鹏华普天收益净值1.0241.0170.695.13-3.853.472.44628.7567

160605NV.OF鹏华中国50净值2.0942.0740.976.24-4.253.6241.5339.31

160607NV.OF鹏华价值优势净值1.0151.0041.15.84-1.463.1142.071134.753

160608NV.OF鹏华普天债券B净值1.0791.0780.090.180.371.2080.1291.6393

160610NV.OF鹏华动力增长净值1.9921.9711.076.41-10.591.992072.7711

160611NV.OF鹏华优质治理净值1.371.3541.185.71-4.861.370158.1272

160706NV.OF嘉实沪深300净值1.2591.2431.295.98-5.483.1271.868265.7051

160805NV.OF长盛同智优势成长净值1.83491.81231.255.47-6.362.74511.602752.9451

160910NV.OF大成创新成长净值1.2631.2481.25.69-3.812.4741.969219.2944

161005NV.OF富国天惠精选成长净值1.89321.8750.975.58-3.183.09321.223.8906

161601NV.OF融通新蓝筹净值1.05081.04510.554.05-2.323.34582.295279.4033

161603NV.OF融通债券净值1.1681.169-0.090-0.341.3430.1752.4121

161604NV.OF融通深证100净值1.8211.7971.336.49-6.712.9911.1768.3123

161605NV.OF融通蓝筹成长净值1.871.8520.975.59-5.631.1341.8806

161606NV.OF融通行业景气净值1.3471.3360.825.23-3.443.2871.946.1191

161607NV.OF融通巨潮100净值1.7341.7121.286.18-5.813.1641.4329.3893

161609NV.OF融通动力先锋净值2.6752.6391.366.15-5.182.7750.135.5389

161610NV.OF融通领先成长净值1.4521.4410.776.45-4.033.7391.924860.6051

161706NV.OF招商优质成长净值1.75581.731.496.61-4.483.66611.910374.0757

161902NV.OF万家增强收益净值1.00341.00310.030.29-0.21.43940.43575.8987

161903NV.OF万家公用事业净值1.67211.639324.49-3.452.40210.731.0406

162006NV.OF长城久富核心成长净值1.64441.62641.114.4-2.733.52521.880855.6008

162102NV.OF金鹰中小盘精选净值1.48141.47240.613.17-9.092.10140.620.4907

162201NV.OF泰达荷银成长净值1.97181.96770.212.32-1.363.05181.085.8915

162202NV.OF泰达荷银周期净值1.83161.82470.384.33-4.643.30661.4756.3977

162203NV.OF泰达荷银稳定净值1.59341.57910.914.13-3.313.09341.55.5038

162205NV.OF泰达荷银风险预算净值1.69841.68860.583.82-2.182.17340.4751.4979

162207NV.OF泰达荷银效率优选净值0.96970.96240.764.18-3.042.33231.405289.7424

162208NV.OF泰达荷银首选企业净值1.94491.93070.734.97-5.541.99490.0522.1494

162209NV.OF泰达荷银市值优选净值1.02171.01071.095.36-4.031.02170118.687

162605NV.OF景顺长城鼎益净值1.5551.5391.046.29-3.543.5451.99110.7062

162607NV.OF景顺长城资源垄断净值1.131.1161.257.01-3.913.0911.961153.261

162703NV.OF广发小盘成长净值2.83562.79791.355.9-3.443.99561.1649.709

163302NV.OF巨田资源优选净值2.06782.04131.35.7-4.433.30281.23510.6396

163402NV.OF兴业趋势投资净值1.28981.27820.915.3-1.735.77053.2239159.6282

163503NV.OF天治核心成长净值0.89720.88681.176.13-5.362.76071.96128.4215

163801NV.OF中银国际中国精选净值2.04352.01661.335.15-3.293.21351.1713.4838

163803NV.OF中银国际持续增长净值1.04731.03870.833.24-1.763.09381.8652152.4451

163804NV.OF中银国际收益净值1.00140.98941.215.09-2.162.18141.1871.5334

166001NV.OF中欧新趋势净值1.72031.69681.384.96-3.261.7203037.2196

180001NV.OF银华优势企业净值1.33451.32350.833.9-6.022.95451.6284.4218

180002NV.OF银华保本增值净值1.20821.20490.281.17-1.351.20820.228413.4139

180003NV.OF银华道琼斯88精选净值1.31341.30080.975.77-5.313.11341.8155.3113

180010NV.OF银华优质增长净值2.21182.19130.945.27-5.373.41181.264.552

180012NV.OF银华富裕主题净值1.19441.18221.035.36-6.772.12940.935122.8829

184689NV.SZ基金普惠净值3.69423.51345.155.15-3.064.73821.04420

184690NV.SZ基金同益净值2.78392.96683.953.951.714.78792.00420

184691NV.SZ基金景宏净值3.34363.1874.914.912.344.63361.2920

184692NV.SZ基金裕隆净值3.65273.48134.924.920.324.81171.15930

184698NV.SZ基金天元净值3.12132.97115.065.060.244.77631.65530

184703NV.SZ基金金盛净值2.74492.63154.314.310.364.52071.77585

184705NV.SZ基金裕泽净值3.4053.25234.74.7-2.174.4451.045

184706NV.SZ基金天华净值2.50152.39664.384.38-1.653.00150.525

184712NV.SZ基金科汇净值4.48464.21576.386.382.775.74211.25758

184719NV.SZ基金融鑫净值3.42163.26644.754.751.124.20440.78288

184721NV.SZ基金丰和净值2.82442.71344.094.09-2.464.00241.17830

200001NV.OF长城久恒净值1.6351.6250.613.22-1.572.7451.115.1203

200002NV.OF长城久泰中标300净值1.84541.82031.386.2-6.594.70542.865.5838

200006NV.OF长城消费增值净值1.05961.05340.594.22-2.432.49961.4443.5424

200007NV.OF长城安心回报净值1.00050.99090.974.5-3.292.56241.561298.175

200008NV.OF长城品牌优选净值1.13771.13010.673.4-2.711.13770244.2692

202001NV.OF南方稳健成长净值1.68391.66840.935.4-2.863.42891.745117.3452

202002NV.OF南方稳健成长2号净值1.41921.40730.855.45-3.573.01621.1253174.7346

202005NV.OF南方成份精选净值1.39451.38430.744.94-4.371.39452.4862258.1184

202007NV.OF南方隆元产业主题净值1.0061.0040.22.03-3.041.0063.0512111.8977

202101NV.OF南方宝元债券净值1.23051.22920.111.52-1.12.40051.1723.1272

202102NV.OF南方多利增强净值1.0651.06370.120.850.141.09310.028110.4451

202202NV.OF南方避险增值净值2.64342.61621.043.79-23.13740.49424.3492

210001NV.OF金鹰成份股优选净值1.03171.01791.354.95-6.652.69481.64649.1537

213001NV.OF宝盈鸿利收益净值1.32131.3051.256.7-5.972.96131.6413.4334

213002NV.OF宝盈泛沿海区域增长净值0.9510.93671.536.45-4.52.84541.783628.4774

213003NV.OF宝盈策略增长净值1.54871.52361.656.97-6.811.74870.249.9933

217001NV.OF招商安泰股票净值1.0281.02210.584.67-6.293.6422.6145.1455

217002NV.OF招商安泰平衡净值2.10322.09470.413.13-5.062.71820.6151.5228

217003NV.OF招商安泰债券A净值1.11521.11450.060.20.011.35170.23651.8329

217005NV.OF招商先锋净值0.99990.98841.165.01-3.692.94991.9595.8941

217008NV.OF招商安本增利债券净值1.19651.19360.241.44-0.681.24150.04540.4378

217009NV.OF招商核心价值净值1.6491.63131.096.01-4.681.6490102.4997

217203NV.OF招商安泰债券B净值1.1081.10730.070.19-0.011.34450.23650.9609

233001NV.OF巨田基础行业净值2.40262.36661.523.32-3.412.66260.260.9283

240001NV.OF华宝兴业宝康消费品净值1.52491.51410.714.78-5.823.28261.757731.1225

240002NV.OF华宝兴业宝康灵活配置净值1.85211.83620.874.14-4.253.39211.5425.3271

240003NV.OF华宝兴业宝康债券净值1.26881.26750.10.680.231.53880.2749.5845

240004NV.OF华宝兴业动力组合净值2.46332.44250.856.19-5.653.54331.0820.2319

240005NV.OF华宝兴业多策略增长净值2.11722.09571.035.4-6.294.23722.1214.9474

240008NV.OF华宝兴业收益增长净值3.67333.6380.975.48-4.113.6733021.7679

240010NV.OF华宝兴业行业精选净值1.25671.24111.264.97-3.491.25670231.8091

253010NV.OF国联安德盛安心成长净值1.8721.8640.432.3-1.992.1420.270.5355

255010NV.OF国联安德盛稳健净值2.9732.9431.025.35-4.313.0930.121.4301

257010NV.OF国联安德盛小盘精选净值1.0651.0541.045.45-4.233.1952.1349.8408

257020NV.OF国联安德盛精选净值1.2261.2081.496.98-5.113.1891.84230.4889

257030NV.OF国联安德盛优势净值1.6631.6470.976.4-6.11.663021.9328

260101NV.OF景顺长城优选股票净值1.63821.61941.166.74-0.693.44891.810745.124

260104NV.OF景顺长城内需增长净值4.6774.6191.266.98-3.035.3670.6918.7866

260108NV.OF景顺长城新兴成长净值1.3921.371.66.99-3.542.7421.3579.9591

260109NV.OF景顺长城内需增长2号净值2.9292.8951.176.9-3.622.929028.9441

260110NV.OF景顺长城精选蓝筹净值1.2551.2430.976.27-3.311.2550208.5979

270001NV.OF广发聚富净值1.54131.52820.864.46-33.85132.3168.1625

270002NV.OF广发稳健增长净值2.30282.28850.635.22-5.93.62281.3254.848

270006NV.OF广发策略优选净值2.95242.92241.035.89-5.043.28240.3383.4972

270007NV.OF广发大盘成长净值1.15511.14450.935.61-4.751.15510251.9832

288002NV.OF中信红利精选净值2.45872.43031.173.83-3.023.85871.443.382

288102NV.OF中信稳定双利债券净值1.05941.05820.110.53-0.711.22640.16734.2889

290002NV.OF泰信先行策略净值0.92610.91371.365.93-8.623.09342.255698.1904

更多的超出这里的字数限制,你自己看看下面的网址

最佳答案南方隆元产业主题股票型证券投资基金由隆元证券投资基金转型而成。依据中国证监会2007年10月29日证监基金字[2007]297号文核准的隆元证券投资基金基金份额持有人大会决议,隆元证券投资基金由封闭式基金转为开放式基金、调整存续期限、终止上市、调整投资目标、范围和策略、修订基金合同,并更名为“南方隆元产业主题股票型证券投资基金”。自2007年11月9日起,由《隆元证券投资基金基金合同》修订而成的《南方隆元产业主题股票型证券投资基金基金合同》生效。

基金管理人保证招募说明书的内容真实、准确、完整。本招募说明书经中国证监会核准,但中国证监会对本基金募集的核准,并不表明其对本基金的价值和收益做出实质性判断或保证,也不表明投资于本基金没有风险。

投资有风险,投资者申购基金时应认真阅读本招募说明书。

基金管理人依照恪尽职守、诚实信用、谨慎勤勉的原则管理和运用基金资产,但不保证基金一定盈利,也不保证最低收益。

本基金的基金合同已经根据《基金法》、《运作办法》、《销售办法》、《信息披露办法》及其它有关规定作了修订并已于中国证监会指定报刊或网站进行了公告。

本招募说明书已经本基金托管人复核。本招募说明书所载内容截止日为2008年5月9日,有关财务数据和净值表现截止日2008年3月31日(未经审计)。

汇聚智慧与经验,股票市场是我们的舞台,与您共同谱写成功的乐章。

版权声明:本文内容由互联网用户自发贡献,该文观点仅代表作者本人。本站仅提供信息储存空间服务,不拥有所有权,不承担相关法律责任。如有发现本站涉嫌抄袭侵权/违法违规的内容,请发送邮件,一经查实,本站将立刻删除。

相关文章: