美国共同基金数据十九
产期基金的净现金流(百万美元)
Net New Cash Flow* of Long-Term Mutual Funds Millions of dollars, annual 年度Year 1986 1987 1988 1989 1990 1991 1992 1993 1994 1995 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
总计 Total $129,991 29,776 -23,119 8,731 21,211 106,213 171,696 242,049 75,160 122,208 231,874 272,030 241,796 169,780 228,874 129,188 120,583 215,843 209,851 192,086 227,106 224,033 -225,019 389,387 241,523 26,178 196,365
股权型基金Equity funds
$20,386 19,231 -14,948 6,774 12,915 39,888 78,983 127,260 114,525 124,392 216,937 227,106 156,875 187,565 314,510 32,856 -29,553 144,208 172,040 123,976 148,494 74,151 -229,110 -1,775 -23,356 -128,312 -153,118
混合型基金 Hybrid funds
$6,988 3,748 -3,684 3,183 1,483 7,089 21,832 44,229 23,105 3,899 12,177 16,499 10,311 -13,705 -35,645 8,602 8,443 38,451 48,386 36,847 18,375 41,420 -24,988 11,606 29,321 29,386 45,880
债券型基金 Bond funds
$102,618
6,797 -4,488 -1,226 6,813 59,236 70,881 70,559 -62,470 -6,082 2,760 28,424 74,610 -4,081 -49,990 87,729 141,693 33,185 -10,575 31,264 60,236 108,461 29,079 379,555 235,558 125,104 303,603
*Net new cash flow is the dollar value of new sales minus redemptions combined with net exchanges. Note: Data for funds that invest primarily in other mutual funds were excluded from the series. Components may not add to the total because of rounding.
资料来源:2013 Investment Company Fact Book.
美国共同基金数据十九
产期基金的净现金流(百万美元)
Net New Cash Flow* of Long-Term Mutual Funds Millions of dollars, annual 年度Year 1986 1987 1988 1989 1990 1991 1992 1993 1994 1995 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
总计 Total $129,991 29,776 -23,119 8,731 21,211 106,213 171,696 242,049 75,160 122,208 231,874 272,030 241,796 169,780 228,874 129,188 120,583 215,843 209,851 192,086 227,106 224,033 -225,019 389,387 241,523 26,178 196,365
股权型基金Equity funds
$20,386 19,231 -14,948 6,774 12,915 39,888 78,983 127,260 114,525 124,392 216,937 227,106 156,875 187,565 314,510 32,856 -29,553 144,208 172,040 123,976 148,494 74,151 -229,110 -1,775 -23,356 -128,312 -153,118
混合型基金 Hybrid funds
$6,988 3,748 -3,684 3,183 1,483 7,089 21,832 44,229 23,105 3,899 12,177 16,499 10,311 -13,705 -35,645 8,602 8,443 38,451 48,386 36,847 18,375 41,420 -24,988 11,606 29,321 29,386 45,880
债券型基金 Bond funds
$102,618
6,797 -4,488 -1,226 6,813 59,236 70,881 70,559 -62,470 -6,082 2,760 28,424 74,610 -4,081 -49,990 87,729 141,693 33,185 -10,575 31,264 60,236 108,461 29,079 379,555 235,558 125,104 303,603
*Net new cash flow is the dollar value of new sales minus redemptions combined with net exchanges. Note: Data for funds that invest primarily in other mutual funds were excluded from the series. Components may not add to the total because of rounding.
资料来源:2013 Investment Company Fact Book.