var begindate='2011-12-14',enddate='2011-12-15';
var netValues=[["150001","瑞福进取",'2011-12-15',0.407,0.632,-0.0060,-1.45,0.038,6.12,0.609,0.659,30,'2012-07-17'],["150002","大成优选",'2011-12-15',0.765,0.818,-0.0060,-0.78,-0.103,-10.35,0.991,0.892,47,'2012-08-01'],["150003","建信优势动力",'2011-12-15',0.819,0.819,-0.0060,-0.73,-0.137,-14.86,0.922,0.785,46,'2013-03-19'],["150007","长盛同庆b",'2011-12-15',0.585,0.585,-0.027,-4.41,-0.179,-19.44,0.921,0.742,88,'2012-05-14'],["184689","基金普惠",'2011-12-09',0.967,3.835,-0.0305,-3.06,-0.1814,-14.8,1.2254,1.044,20,'2014-01-06'],["184690","基金同益",'2011-12-09',0.8854,4.1994,-0.0147,-1.63,-0.1952,-16.9,1.1552,0.96,20,'2014-04-08'],["184691","基金景宏",'2011-12-09',0.9434,3.7484,-0.0539,-5.4,-0.1997,-15.19,1.3147,1.115,20,'2014-05-05'],["184692","基金裕隆",'2011-12-09',0.9338,4.2498,-0.0146,-1.54,-0.1924,-16.48,1.1674,0.975,30,'2014-06-14'],["184693","基金普丰",'2011-12-09',0.9053,2.9917,-0.0238,-2.56,-0.2208,-19.75,1.1178,0.897,30,'2014-07-14'],["184698","基金天元",'2011-12-09',0.8676,4.0896,-0.0179,-2.02,-0.1797,-16.88,1.0647,0.885,30,'2014-08-25'],["184699","基金同盛",'2011-12-09',1.0451,3.1976,-0.0226,-2.12,-0.2346,-20.09,1.1676,0.933,30,'2014-11-05'],["184701","基金景福",'2011-12-09',0.9908,2.9748,-0.0657,-6.22,-0.1981,-14.52,1.3641,1.166,30,'2014-12-30'],["184721","基金丰和",'2011-12-09',0.927,3.719,-0.0181,-1.92,-0.22,-20.22,1.088,0.868,30,'2017-03-22'],["184722","基金久嘉",'2011-12-09',0.8505,3.6135,-0.0172,-1.98,-0.2354,-22.33,1.0544,0.819,20,'2017-07-04'],["184728","基金鸿阳",'2011-12-09',0.7386,2.3101,-0.0144,-1.91,-0.1692,-21.83,0.7752,0.606,20,'2016-12-09'],["500001","基金金泰",'2011-12-09',0.9641,3.9961,-0.023,-2.33,-0.1416,-11.23,1.2606,1.119,20,'2013-03-27'],["500002","基金泰和",'2011-12-09',0.8897,4.5387,-0.0194,-2.13,-0.1619,-13.84,1.1699,1.008,20,'2014-04-07'],["500003","基金安信",'2011-12-09',0.9517,4.8837,-0.0257,-2.63,-0.1166,-9.32,1.2516,1.135,20,'2013-06-22'],["500005","基金汉盛",'2011-12-09',1.0866,4.2122,-0.0207,-1.87,-0.2013,-13.53,1.4873,1.286,20,'2014-05-17'],["500006","基金裕阳",'2011-12-09',0.8683,4.5463,-0.0209,-2.35,-0.13,-12.67,1.026,0.896,20,'2013-07-25'],["500008","基金兴华",'2011-12-09',0.9181,5.2521,-0.0182,-1.94,-0.1016,-8.46,1.2006,1.099,20,'2013-04-28'],["500009","基金安顺",'2011-12-09',0.9688,4.7168,-0.0145,-1.47,-0.137,-10.8,1.268,1.131,30,'2014-06-14'],["500011","基金金鑫",'2011-12-09',0.9805,2.9575,-0.0134,-1.35,-0.2275,-19.81,1.1485,0.921,30,'2014-10-21'],["500015","基金汉兴",'2011-12-09',0.9388,2.4774,-0.0206,-2.15,-0.2003,-17.12,1.1703,0.97,30,'2014-12-30'],["500018","基金兴和",'2011-12-09',0.9486,3.3816,-0.018,-1.86,-0.2134,-18.49,1.1544,0.941,30,'2014-07-13'],["500038","基金通乾",'2011-12-09',1.042,3.355,-0.0296,-2.76,-0.1835,-11.39,1.6115,1.428,20,'2016-08-28'],["500056","基金科瑞",'2011-12-09',0.9705,3.8825,-0.0207,-2.09,-0.2047,-17.98,1.1387,0.934,30,'2017-03-12'],["500058","基金银丰",'2011-12-09',0.965,3.323,-0.037,-3.69,-0.237,-21.01,1.128,0.891,30,'2017-08-14']];

