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  • 全部基金
    債券型 混合型 已清算基金
    基金名稱凈值日期 單位凈值累計凈值日漲跌幅 近一個月近三個月今年以來成立以來
    008044
    08-23 0.8813 0.9638 0.02% -0.52% -2.98% 3.31% -4.58%
    008045
    08-23 0.8684 0.9459 0.01% -0.56% -3.09% 3.03% -6.39%
    013222
    08-23 1.0352 1.0920 -0.02% 0.11% 1.17% 3.23% 9.48%
    013223
    08-23 1.0350 1.0818 -0.02% 0.11% 1.16% 3.23% 8.39%
    009109
    08-23 1.0478 1.1082 0.01% 0.34% 1.32% 4.21% 11.20%
    009110
    08-23 1.0474 1.0584 0.02% 0.33% 1.27% 4.24% 5.86%
    016015
    08-23 1.0191 1.0662 -0.02% 0.19% 0.90% 2.96% 6.90%
    016451
    08-23 1.0543 1.0543 0.06% 0.28% 1.29% 3.16% 5.43%
    019803
    08-23 1.0522 1.0522 0.07% 0.26% 1.22% 2.98% 3.62%
    019585
    08-23 1.0298 1.0398 0.06% 0.19% 1.15% 3.39% 3.98%
    019586
    08-23 1.0352 1.0452 0.06% 0.18% 1.12% 3.34% 4.52%
    021544
    08-23 1.0010 1.0010 0.02% 0.09% 0.09% 0.09% 0.09%
    021545
    08-23 1.0040 1.0040 0.02% 0.40% 0.40% 0.40% 0.40%
    基金名稱凈值日期 單位凈值累計凈值日漲跌幅 近一個月近三個月今年以來成立以來
    009111
    08-23 0.9555 0.9555 -0.03% -1.06% -5.04% -4.79% -4.46%
    009112
    08-23 0.9472 0.9472 -0.04% -1.08% -5.09% -4.92% -5.29%
    010906
    08-23 0.8569 0.8569 0.08% -1.81% -4.02% -2.98% -14.31%
    010907
    08-23 0.8452 0.8452 0.08% -1.85% -4.12% -3.22% -15.48%
    基金名稱凈值日期 單位凈值累計凈值日漲跌幅 近一個月近三個月今年以來成立以來
    010096
    06-25 1.0107 1.0857 0.00% 0.31% 2.33% 2.94% 8.58%
    010097
    06-25 0.9971 1.0721 -0.01% 0.48% 2.45% 2.96% 7.17%
    010098
    06-25 1.0044 1.0794 0.00% -0.24% 1.74% 2.34% 7.91%
    008884
    07-07 0.6479 0.6479 -0.90% -4.10% -14.39% -5.21% -35.24%
    008885
    07-07 0.6402 0.6402 -0.90% -4.13% -14.48% -5.41% -36.01%
    風險提示:基金投資有風險,基金過往業績不代表未來表現,基金管理人管理的其他基金的過往投資業績不預示未來表現。
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