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基金公司筛选:
基金名称
单位净值|日期
手续费|起购金额
002252|002253
混合型-灵活
2.715008-02
1.34%
3.86%
18.15%
8.77%
24.09%
17.69%
9.92%
171.50%
详情|10元
161611|161661
混合型-偏股
2.884008-02
0.70%
2.49%
17.57%
7.25%
24.26%
14.76%
8.63%
221.58%
详情|10元
213007|213907
债券型-混合二级
1.392308-02
0.97%
1.58%
4.82%
6.88%
5.05%
7.81%
5.75%
152.28%
详情|10元
510080|511080
指数型-固收
1.611708-02
0.17%
1.07%
2.77%
5.16%
8.90%
14.17%
3.40%
390.93%
详情|10元
100066|100067
债券型-长债
1.121408-02
0.54%
1.55%
2.79%
5.00%
7.41%
11.99%
3.57%
65.52%
详情|10元
164902|164903
债券型-混合一级
1.216408-02
0.51%
1.24%
2.22%
4.49%
6.56%
11.21%
2.89%
99.77%
详情|10元
519718|519719
债券型-长债
1.102208-02
0.58%
1.42%
2.37%
4.46%
6.54%
11.01%
2.97%
59.71%
详情|10元
519723|519724
债券型-长债
1.088708-02
0.52%
1.18%
2.18%
4.44%
6.51%
11.08%
2.87%
63.28%
详情|100元
161603|161653
债券型-长债
1.116508-02
0.93%
1.83%
2.85%
4.40%
10.54%
21.34%
3.43%
190.00%
详情|10元
100058|100059
债券型-混合一级
1.203108-02
0.15%
0.84%
1.86%
3.80%
6.60%
11.02%
2.46%
93.96%
详情|10元
519683|519684
债券型-混合二级
1.388708-02
0.85%
1.77%
2.87%
3.46%
3.53%
2.51%
3.42%
84.05%
详情|10元
519680|519681
债券型-混合一级
1.049008-02
0.32%
1.51%
3.36%
3.26%
3.41%
9.97%
3.22%
139.82%
详情|10元
000139|000140
债券型-长债
1.008708-02
0.25%
0.71%
1.55%
3.09%
5.64%
8.91%
1.93%
57.96%
详情|10元
100018|100019
债券型-混合一级
1.343508-02
-0.02%
0.58%
1.97%
2.82%
5.34%
10.19%
2.03%
350.76%
详情|10元
050106|051106
债券型-混合一级
1.322408-02
-0.16%
0.61%
2.13%
2.79%
4.06%
8.21%
1.82%
161.02%
详情|10元
090006|091006
混合型-偏债
0.939908-02
-0.15%
-0.01%
4.20%
2.27%
1.94%
5.25%
3.40%
204.11%
详情|10元
485105|485205
债券型-混合一级
1.146608-02
-0.27%
1.04%
4.15%
1.23%
3.14%
7.98%
3.90%
169.21%
详情|10元
100032|100033
指数型-股票
0.984008-02
-5.02%
-4.00%
5.24%
0.33%
12.27%
15.59%
5.60%
332.22%
详情|10元
540001|541001
混合型-偏债
1.183708-02
-0.90%
-0.45%
1.26%
0.18%
2.69%
6.38%
0.77%
251.37%
详情|10元
090002|091002
债券型-混合一级
1.064008-02
-0.08%
0.15%
1.91%
0.08%
-1.29%
5.00%
1.89%
248.77%
详情|1000元
风险提示:收益率数据仅供参考,请以基金公司数据为准,过往业绩不预示未来表现。
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