最新基金净值        2012-02-03
  股票型基金        净值        累计       涨跌
  中银增长         0.5736   2.4735    0.79%
  中银策略         0.8651   1.1951    0.91%
  混合型基金        净值        累计       涨跌
  中银中国         1.0436   3.2536    0.77%
  中银收益         0.7888   1.9888    1.32%
  中银优选         0.8969   1.0869    1.25%
  债券型基金        净值        累计       涨跌
  中银增利         1.0750   1.1950    0.00%
  货币型基金  每万份收益  7日年化收益率
  中银货币         1.1774         4.486%