- 开放式基金净值(7)
- 封闭式基金净值(0)
- 货币式基金净值(3)
- 我的基金净值
>> 点击表头可排序
[
['350002','天治品质优选混合','0.8483','3.3583','0.0006','0.0700','2010-07-30','cRed','cBlue','','0'],
['519993','长信增利动态策略股票','0.7719','2.0109','0.0005','0.0600','2010-07-30','cRed','cBlue','','0'],
['150018','银华稳进','1.0120','1.0120','0.0000','0.0000','2010-07-30','cBlank','cBlue','','0'],
['400003','东方精选混合','0.9176','3.0792','-0.0016','-0.1700','2010-07-30','cGreen','cBlue','','0'],
['161812','银华深证100指数分级','1.0620','1.0620','-0.0020','-0.1900','2010-07-30','cGreen','cBlue','','0'],
['630001','华商领先企业混合','1.0269','1.1319','-0.0034','-0.3300','2010-07-30','cGreen','cBlue','','0'],
['150019','银华锐进','1.1120','1.1120','-0.0040','-0.3600','2010-07-30','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 |
净值走势 基金吧 |