|
| 基金代码 |
基金名称 |
市价(元) (每日盘后更新) |
最新单位净值(元) |
升贴水值(元) |
升贴水率 |
| 184712 |
基金科汇 |
1.695 |
1.7560 |
-0.0610 |
-3.4738% |
| 184713 |
基金科翔 |
2.217 |
2.3230 |
-0.1060 |
-4.5631% |
| 500025 |
基金汉鼎 |
1.636 |
1.7560 |
-0.1200 |
-6.8337% |
| 184706 |
基金天华 |
0.954 |
1.0730 |
-0.1190 |
-11.0904% |
| 184703 |
基金金盛 |
1.336 |
1.5083 |
-0.1723 |
-11.4235% |
| 500008 |
基金兴华 |
1.129 |
1.2797 |
-0.1507 |
-11.7762% |
| 184705 |
基金裕泽 |
1.044 |
1.1924 |
-0.1484 |
-12.4455% |
| 184688 |
基金开元 |
1.099 |
1.2596 |
-0.1606 |
-12.7501% |
| 184722 |
基金久嘉 |
0.869 |
0.9996 |
-0.1306 |
-13.0652% |
| 500002 |
基金泰和 |
0.946 |
1.1067 |
-0.1607 |
-14.5206% |
| 500003 |
基金安信 |
1.554 |
1.8627 |
-0.3087 |
-16.5727% |
| 184721 |
基金丰和 |
0.764 |
0.9217 |
-0.1577 |
-17.1097% |
| 184728 |
基金鸿阳 |
0.756 |
0.9184 |
-0.1624 |
-17.6829% |
| 500005 |
基金汉盛 |
1.833 |
2.2335 |
-0.4005 |
-17.9315% |
| 184698 |
基金天元 |
1.278 |
1.5599 |
-0.2819 |
-18.0717% |
| 500009 |
基金安顺 |
1.252 |
1.5308 |
-0.2788 |
-18.2127% |
| 184692 |
基金裕隆 |
1.060 |
1.3013 |
-0.2413 |
-18.5430% |
| 500006 |
基金裕阳 |
1.494 |
1.8374 |
-0.3434 |
-18.6895% |
| 500038 |
基金通乾 |
1.355 |
1.6912 |
-0.3362 |
-19.8794% |
| 500056 |
基金科瑞 |
1.093 |
1.3692 |
-0.2762 |
-20.1724% |
| 500011 |
基金金鑫 |
0.859 |
1.0831 |
-0.2241 |
-20.6906% |
| 500001 |
基金金泰 |
0.976 |
1.2354 |
-0.2594 |
-20.9972% |
| 500058 |
基金银丰 |
0.900 |
1.1400 |
-0.2400 |
-21.0526% |
| 184690 |
基金同益 |
1.143 |
1.4488 |
-0.3058 |
-21.1071% |
| 184689 |
基金普惠 |
1.481 |
1.8787 |
-0.3977 |
-21.1689% |
| 184691 |
基金景宏 |
1.462 |
1.8681 |
-0.4061 |
-21.7387% |
| 500018 |
基金兴和 |
1.039 |
1.3281 |
-0.2891 |
-21.7679% |
| 184699 |
基金同盛 |
0.911 |
1.1661 |
-0.2551 |
-21.8763% |
| 184693 |
基金普丰 |
1.111 |
1.4280 |
-0.3170 |
-22.1989% |
| 500015 |
基金汉兴 |
1.346 |
1.7520 |
-0.4060 |
-23.1735% |
| 184701 |
基金景福 |
1.137 |
1.4869 |
-0.3499 |
-23.5322% |
| 150003 |
建信优势 |
|
0.9870 |
|