- 开放式基金净值(8)
- 封闭式基金净值(0)
- 货币式基金净值(1)
- 我的基金净值(0)
>> 点击表头可排序
[
['162703','广发小盘','1.1840','2.4940','0.0311','2.7000','2008-12-01','cRed','cBlue','','0'],
['270002','广发稳健增长','0.9429','2.5629','0.0149','1.6100','2008-12-01','cRed','cBlue','','0'],
['270005','广发聚丰','0.4663','2.9373','0.0065','1.4100','2008-12-01','cRed','cBlue','','1'],
['270007','广发大盘','0.5538','0.5538','0.0071','1.3000','2008-12-01','cRed','cBlue','','1'],
['270006','广发优选','1.2508','1.7808','0.0135','1.0900','2008-12-01','cRed','cBlue','','0'],
['270001','广发聚富','0.8139','3.1239','0.0088','1.0900','2008-12-01','cRed','cBlue','','0'],
['270008','广发核心','0.9920','0.9920','0.0040','0.4000','2008-12-01','cRed','cBlue','','0'],
['270009','广发强债','1.0910','1.0910','-0.0010','-0.0900','2008-12-01','cGreen','cBlue','','0']
]
| 关注 |
序号 |
基金代码 |
基金名称 |
每万份单位收益 |
7日年化收益率 |
申购 |
赎回 |
|