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本周封闭式基金表现相对较弱,在大盘大幅震荡背景下,封闭式基金净值全线下挫,折价率明显上升,瑞福进取溢价率有所下降。下面是今年以来31支封闭式基金(建信优势成立不满一年)的排名、净值变化和折溢价率。排名代码基金名称净值%折溢价%1500009基金安顺-39.53-30.502500008基金兴华-39.53-24.063184692基金裕隆-40.88-27.844184721基金丰和-40.92-30.755500003基金安信-41.50-25.946500058基金银丰-42.42-32.767184722基金久嘉-44.25-31.378500015基金汉兴-44.87-33.939184706基金天华-45.05-12.7510500005基金汉盛-45.33-26.9111500006基金裕阳-45.44-27.0012500018基金兴和-46.58-32.1513184698基金天元-46.63-32.0814184705基金裕泽-46.73-17.0715500038基金通乾-46.98-34.6516184693基金普丰-47.32-34.6317500011基金金鑫-47.38-33.9618500056基金科瑞-47.52-32.4319500002基金泰和-47.56-23.9020184703基金金盛-47.57-14.5121500001基金金泰-49.01-30.6422184688基金开元-49.32-24.7123184728基金鸿阳-50.36-29.6824184701基金景福-50.48-34.8425184699基金同盛-51.40-35.0726184690基金同益-51.40-33.4127184691基金景宏-51.45-32.4828184689基金普惠-52.50-31.3029150002大成优选-55.95-18.4530150001瑞福进取-75.4573.6831150003建信优势---23.43本周基金金泰、基金普惠和基金兴和的跌幅均超过8%。参考文献:参考文献:晨星网站/上海证券报封基周评