金沙js345 > 股票基金 > 《汇市简讯》澳元/美元下跌,因美元在亚洲盘全线上扬

原标题:《汇市简讯》澳元/美元下跌,因美元在亚洲盘全线上扬

浏览次数:129 时间:2019-11-09

0122GMT

* 澳元/美元承压,美元在亚洲时段受追捧

* 美元指数上涨0.2%,澳元/美元开盘也跌0.2%

* 澳元兑新西兰走软

* 首道支撑位0.7436,之后是23.6%回档位0.7428

完 编译 张荻;审校 龚芳

36

16.66%

2

184722

1.24%

44.00%

49.91%

48

5

15.23%

43

68.92%

25

28.14%

7.75%

--

51

0.15%

41.13%

30.18%

2

40.75%

排序

13

14.06%

54

50

2.3773

47.96%

3.2851

2.2781

科翔

2.4961

计算截止日:2007-1-26

47

66.97%

16.46%

500025

51

2.4151

15.25%

38

184692

500058

2.5853

8

500038

1.9526

3

2.4654

2.5949

12.24%

27

14.06%

35

184689

47

500035

51.88%

裕阳

3

4

14

3.5129

11.88%

科讯

普润

17.04%

72.02%

76.81%

34

19

20.10%

10.86%

净值增长率

1

500016

26

9

2.8369

序号

500003

29

24

36

3.0509

3.1175

1.9191

天华

1.8563

19

32

份额净值 (元)

53.84%

20

37

17

23

12.59%

11

同盛

排序

净值增长率

1.46%

12.81%

2.1934

1.9939

71.83%

50

21

14.76%

2.1175

16

71.62%

51

28

184712

10

500003

-1.83%

10.45%

2.5949

39

1

16.23%

排序

1.02%

14.02%

2.1049

55.96%

3.29%

科汇

58.43%

184701

0.76%

3.47%

49

裕隆

37

安顺

12.81%

16.22%

43

11

2.5687

2.2721

2.6749

57.33%

2.0475

2.635

77.28%

45

9

83.10%

61.26%

2.5021

39

13

184706

7

25

16.84%

安久

22

42.39%

57.41%

2.7667

184721

25

2.3043

隆元

7

15

29

2.3144

43

排序

14.06%

12.76%

2.4526

9

2.1109

16.92%

2.3648

14

16.84%

43

4

汉博

500005

2.09%

净值增长率

39

1.11%

40

6

裕华

普华

20.10%

净值增长率

184703

500010

35

1.38%

15.23%

61.86%

0.79%

33

36

46.95%

15.29%

52.90%

184728

-0.38%

1.9638

46

44

5

2.5265

1.9801

2.0778

14

安久

49

2.7563

79.27%

25

4

-0.23%

2.7674

4

22

17.84%

    新浪声明:本版文章内容纯属作者个人观点,仅供投资者参考,并不构成投资建议。投资者据此操作,风险自担。

2.4128

17

净值增长率

31

184705

16.91%

18.57%

16.83%

59.73%

12.81%

2.0475

23

49.52%

1.25%

23

1.02%

--

63.22%

26

33

7

30.83%

2.80%

45

5

2.7667

基金代码

9

63.33%

1.14%

51.24%

2.4732

27

17.20%

11

-0.28%

2.7115

净值增长率

2.2428

43

69.46%

2.6933

16.46%

41.54%

16.23%

184709

3.0978

52.97%

16

12

通宝

49

25

42.41%

15

14

14.06%

500006

50

24

40

12

3

45

2.74%

2.8473

2.8473

15.18%

39

15

19

1.63%

54

184688

鸿阳

14.07%

36

45

12.79%

22

16

6

63.97%

67.66%

68.90%

38

23

184689

13.52%

1

12.41%

16

41.42%

银丰

7

39

21

16.66%

46

10.87%

2.7269

500015

184705

67.66%

184695

47.33%

57.72%

3

55.09%

45

2.5498

184738

53.56%

3.5238

37

过去一个月(4周)

13.35%

93.52%

47

500009

1.7491

500016

500029

11

13.96%

金元

2.5265

42

48

16.91%

63.22%

32

18

2.11%

34

裕泽

10

61.65%

52

40

43

44

500001

184710

10

18.31%

10.49%

500056

29

184720

26

32

24

普惠

20

-0.23%

12.78%

59.74%

42

2.3773

51

32

21

60.77%

184710

500056

49.58%

2.1529

59.07%

7.76%

32

17.19%

22

18

6

53.90%

54.28%

2.0228

--

科瑞

184709

30

50.07%

500007

11.19%

金盛

45

31

52

23.80%

60.77%

16.23%

500013

基金代码

500015

2.1143

39

17.31%

184706

13.82%

6

2.7829

48

184722

71.62%

2

13

25

63.33%

184692

18.31%

0.58%

1.31%

17.21%

48

24

12

排序

26

17.63%

13.82%

44

19

7

11

3.2914

53.00%

2.8369

76.81%

69.01%

9

11.18%

-0.25%

13.52%

17.75%

排序

13

8

2.1729

38

26

41

科讯

66.58%

25

1

33

18.56%

兴安

39.27%

31

5

2.4226

2.0619

1.9801

10.44%

1.63%

184691

27

21

2.3544

3.5238

16

36

25

通乾

2.1234

2.1322

83.10%

44

46

10

2.3648

2.0778

1.99%

49

27

景福

-0.28%

20

54.11%

1

2.3074

41

23

2.4526

17.04%

31

41

1.9939

1.14%

33

17.31%

184690

6

安瑞

12

2.7667

2

8

兴华

184703

500018

47

24

过去六个月(26周)

3.2851

1.38%

29

17.05%

50

3.6178

184699

54.11%

14.07%

2.1729

68.92%

16.23%

45.06%

184700

3.2914

48

14

23

1.31%

2.5687

42.47%

2

29

51

20

45

21

1.9639

28

35

68.19%

57.15%

--

34

19

2.1049

29

57.41%

16

2.3444

19

天元

50

41

份额净值 (元)

32

17.75%

55.63%

2.0228

184713

3.94%

12.79%

2.3144

融鑫

4

50

--

47.09%

184696

38

2.1934

过去一个月(4周)

11.87%

16

0.84%

16.81%

10

184721

16.82%

3.29%

序号

14.02%

2.1175

2.6933

50.45%

1.8563

12

14.06%

19

3.263

26

21

2.4432

9

59.74%

13.52%

10.44%

2.1159

34

3

15.14%

18.56%

过去一周

50

16

4

13.69%

40

过去三个月(13周)

9

184718

12

同德

2.4906

84.39%

17.63%

28

10

184713

14

61.82%

83.99%

过去一周

2.16%

1.61%

42.41%

10

1

38

59.16%

12.60%

1.9639

景宏

2.2428

3.1301

兴和

500019

50

41

--

184695

金鼎

2.2184

2.5065

裕元

2.3144

42

同盛

16.82%

13.96%

39

17.75%

排序

30.58%

科翔

今年以来

11

34

41

3.47%

2

18

计算截止日:2007-1-26

6.27%

42

61.06%

26

-1.36%

13

2.0619

安信

2.3968

66.58%

35

--

47

53.10%

18

35

47

-0.12%

23

2.116

52.97%

16

14.77%

2.4428

0.84%

184712

27

68.90%

3.4275

2.3648

16

2.3163

1

17.21%

14.77%

72.45%

0.11%

基金简称

63.97%

48

2.5065

1.86%

--

12

20

裕元

52

17

2

19

2.80%

39

1.00%

17.31%

13.35%

普华

15.23%

2.9903

12

裕华

2.7829

11

景博

184696

17.31%

47.09%

184690

12.42%

50.90%

24

2.729

2.3444

16

28

隆元

3.8377

19

9

66.79%

通乾

35.95%

1.46%

2.2549

汉鼎

17.30%

43

18

汉博

16.67%

8

1.25%

54.65%

34

51

35

17.20%

500009

49

兴科

2.4151

184693

2.7253

14

同益

13.82%

33

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