- 开放式基金净值(5)
- 封闭式基金净值(0)
- 货币式基金净值(2)
- 我的基金净值
>> 点击表头可排序
[
['580003','东吴行业轮动股票','0.9786','1.0586','0.0066','0.6800','2011-09-14','cRed','cBlue','','0'],
['257020','国联安精选股票','0.7970','2.5930','0.0020','0.2500','2011-09-14','cRed','cBlue','','0'],
['320004','诺安优化收益债券','1.1626','1.2622','0.0013','0.1100','2011-09-14','cRed','cBlue','','0'],
['310508','申万菱信稳益宝债券','1.0000','1.0000','0.0010','0.1000','2011-09-14','cRed','cBlue','','3'],
['560002','益民红利成长混合','0.5304','1.5401','-0.0003','-0.0600','2011-09-14','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 |