关注 序号 基金
代码
基金简称 2012-5-18 2012-5-11 增长值 增长率 市价 折价率 到期日期
单位净值 累计净值 单位净值 累计净值
1500058基金银丰 基金吧 0.8773.2350.8923.25-0.0150-1.68%0.71618.36%2017-8-14
2500056基金科瑞 基金吧 0.94393.85590.776---2017-3-12
3500038基金通乾 基金吧 1.00153.31451.02033.3333-0.0188-1.84%0.8416.13%2016-8-28
4500018基金兴和 基金吧 0.9523.3850.96883.4018-0.0168-1.73%0.8312.82%2014-7-13
5500015基金汉兴 基金吧 0.93492.47350.95112.4897-0.0162-1.70%0.79514.96%2014-12-30
6500011基金金鑫 基金吧 0.94122.91820.94922.9262-0.0080-0.84%0.815.00%2014-10-21
7500009基金安顺 基金吧 0.98664.73461.00574.7537-0.0191-1.90%0.88310.50%2014-6-14
8500008基金兴华 基金吧 0.90715.24110.91655.2505-0.0094-1.03%0.8555.74%2013-4-28
9500006基金裕阳 基金吧 0.86094.53890.87194.5499-0.0110-1.26%0.87.07%2013-7-25
10500005基金汉盛 基金吧 1.07134.23391.08524.2478-0.0139-1.28%0.997.59%2014-5-17
11500003基金安信 基金吧 0.92494.85690.94394.8759-0.0190-2.01%0.867.02%2013-6-13
12500002基金泰和 基金吧 0.93354.58250.94754.5965-0.0140-1.48%0.8459.48%2014-4-7
13500001基金金泰 基金吧 0.9373.9690.95093.9829-0.0139-1.46%0.895.02%2013-3-26
14184728基金鸿阳 基金吧 0.67272.24420.6832.2545-0.0103-1.51%0.55217.94%2016-12-9
15184722基金久嘉 基金吧 0.85743.62040.8743.637-0.0166-1.90%0.70417.89%2017-7-4
16184721基金丰和 基金吧 0.92723.71920.93953.7315-0.0123-1.31%0.75418.68%2017-3-22
17184701基金景福 基金吧 0.94012.92410.95872.9427-0.0186-1.94%0.79915.01%2014-12-30
18184699基金同盛 基金吧 1.08253.2451.10053.263-0.0180-1.64%0.93913.26%2014-11-5
19184698基金天元 基金吧 0.85854.08050.87294.0949-0.0144-1.65%0.74113.69%2014-8-25
20184693基金普丰 基金吧 0.87512.96150.89072.9771-0.0156-1.75%0.76312.81%2014-7-14
21184692基金裕隆 基金吧 0.95744.27344.28534.2853-0.0119-0.28%0.86110.07%2014-6-14
22184691基金景宏 基金吧 0.94443.74940.95683.7618-0.0124-1.30%0.83611.48%2014-5-5
23184690基金同益 基金吧 0.91544.22940.92124.2352-0.0058-0.63%0.80512.06%2014-4-8
24184689基金普惠 基金吧 0.93113.79910.94713.8151-0.0160-1.69%0.83610.21%2014-1-6
25184688基金开元 基金吧 0.89664.60760.91914.6301-0.0225-2.45%0.8594.19%2013-3-27
基金净值数据说明:
上表中“基金代码、基金单位净值、基金累计净值、基金净值增长值、基金净值增长率%”的数据都可分别点击排序,其中默认“基金单位净值”从大到小排序。橙色背景表示当日分红(或拆分),鼠标悬停可看到分红金额。
免责声明:本站所载数据仅供参考,若数据有误,以交易所发布数据为准,不对您构成投资建议。



 
Copyright © 2011 U8基金网