华夏基金吧
点击回复发表日期最后更新
68207-0707-07 16:17
3011107-0207-07 16:11
34007-0707-07 16:06
92407-0507-07 16:06
7218311-1607-07 16:04
19007-0707-07 15:59
72007-0707-07 15:52
87507-0607-07 15:44
79007-0707-07 15:32
82207-0607-07 15:31
63007-0707-07 15:07
35007-0707-07 15:02
136507-0707-07 15:01
149107-0707-07 14:32
167107-0607-07 14:10
177507-0307-07 13:54
253307-0607-07 13:39
3401007-0407-07 13:30
667207-0207-07 13:12
313406-0407-07 12:55
5441707-0507-07 12:47
193305-0307-07 12:28
825306-2807-07 12:15
129007-0707-07 11:49
121007-0707-07 11:45
201107-0607-07 11:33
129007-0707-07 11:29
142007-0707-07 11:28
73783127403-0807-07 11:22
53007-0707-07 11:09
154007-0707-07 11:04
110306-2807-07 10:49
170107-0607-07 10:25
40059404-2107-07 09:28
45007-0707-07 09:15
46007-0707-07 09:08
102007-0707-07 09:07
47007-0707-07 08:56
106407-0507-07 08:53
64207-0307-07 08:49
111107-0607-07 05:57
186007-0707-07 03:48
352307-0107-07 03:06
6523607-0307-07 02:17
185007-0707-07 01:47
318407-0607-07 01:45
207007-0707-07 01:35
158207-0607-07 00:12
106107-0607-06 23:46
3161207-0507-06 22:36
181007-0607-06 22:24
188007-0607-06 22:20
84207-0607-06 21:56
129007-0607-06 21:26
9220507-0507-06 21:17
8925507-0507-06 21:17
166007-0607-06 21:16
111007-0607-06 20:57
113407-0507-06 20:41
280207-0607-06 20:25
129007-0607-06 20:19
104307-0507-06 20:14
126007-0607-06 19:56
133107-0607-06 19:53
140007-0607-06 19:45
2545306-0307-06 19:41
149007-0607-06 19:16
133007-0607-06 19:07
274107-0207-06 18:37
357307-0107-06 18:37
1685205-1207-06 18:37
921003-2907-06 18:37
235207-0507-06 18:36
177007-0607-06 18:29
140007-0607-06 18:23
143007-0607-06 18:17
171007-0607-06 18:13
196107-0607-06 18:12
193107-0607-06 18:12
456206-2907-06 17:55
共有帖子数 1197799 篇
旗下基金净值
[开放式基金]
基金简称 |
单位净值 |
日增长率 |
---|---|---|
0.6103 |
4.63% |
|
0.6003 |
4.62% |
|
0.7761 |
4.60% |
|
0.7771 |
4.59% |
|
1.3608 |
4.18% |
|
0.8497 |
4.03% |
|
0.8379 |
4.02% |
|
0.9789 |
3.95% |
|
0.9786 |
3.95% |
|
1.4830 |
3.85% |
旗下基金涨幅排名
[开放式基金]
基金简称 |
涨跌幅 |
同类排名 |
---|---|---|
28.31% |
5/91 |
|
27.44% |
6/91 |
|
27.44% |
6/91 |
|
23.21% |
2/101 |
|
22.82% |
14/267 |
|
20.96% |
18/69 |
|
20.84% |
18/267 |
|
20.67% |
19/267 |
|
20.11% |
20/69 |
|
20.11% |
20/69 |
旗下基金评级
[开放式基金]
基金简称
综合评级
暂无评级
暂无评级
暂无评级
暂无评级
★★★
★★★★
★★★★★
暂无评级
暂无评级
★★★★
[货币式基金]
基金简称
综合评级
暂无评级
暂无评级
暂无评级
暂无评级
暂无评级
暂无评级
暂无评级
暂无评级
暂无评级
暂无评级
意见反馈