|
代码 |
基金名称 |
净值 |
最近半年▲ |
|
|
排名 |
增长率% |
|||
|
1.032907/01 |
1 |
6.39 |
||
|
0.668807/01 |
2 |
2.34 |
||
|
1.023007/01 |
3 |
2.30 |
||
|
1.024007/01 |
4 |
2.30 |
||
|
1.123007/01 |
5 |
2.28 |
||
|
1.100007/01 |
6 |
1.97 |
||
|
0.864507/01 |
7 |
1.81 |
||
|
1.103007/01 |
8 |
1.75 |
||
|
0.835807/01 |
9 |
1.73 |
||
|
1.017307/01 |
10 |
1.73 |
||
|
1.133007/01 |
11 |
1.72 |
||
|
1.111707/01 |
12 |
1.71 |
||
|
0.920707/01 |
13 |
1.71 |
||
|
0.798707/01 |
14 |
1.69 |
||
|
1.086207/01 |
15 |
1.69 |
||
|
0.900207/01 |
16 |
1.68 |
||
|
0.860707/01 |
17 |
1.68 |
||
|
1.018707/01 |
18 |
1.68 |
||
|
0.821807/01 |
19 |
1.65 |
||
|
0.727107/01 |
20 |
1.64 |
||