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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
2.733007-19
3.41%
1.94%
14.26%
8.19%
30.20%
19.45%
10.65%
173.30%
详情|10元
161611|161661
混合型-偏股
2.911007-19
3.01%
0.97%
13.80%
6.86%
30.54%
16.16%
9.64%
224.59%
详情|10元
213007|213907
债券型-混合二级
1.381507-19
0.34%
0.60%
4.62%
6.22%
5.06%
8.17%
4.93%
150.32%
详情|10元
100032|100033
指数型-股票
1.005007-19
-1.47%
-5.10%
8.08%
5.04%
11.59%
14.01%
7.85%
341.45%
详情|10元
519686|519687
指数型-股票
1.647007-19
3.00%
3.13%
14.69%
4.97%
7.37%
1.35%
11.81%
64.70%
详情|10元
510080|511080
指数型-固收
1.605407-19
-0.17%
0.54%
2.81%
4.94%
8.97%
16.34%
3.00%
389.01%
详情|10元
100066|100067
债券型-长债
1.116807-19
0.29%
0.93%
2.79%
4.55%
7.49%
11.85%
3.14%
64.84%
详情|10元
519718|519719
债券型-长债
1.097707-19
0.28%
0.88%
2.24%
4.11%
6.54%
10.84%
2.55%
59.06%
详情|10元
164902|164903
债券型-混合一级
1.211507-19
0.22%
0.72%
2.14%
4.11%
6.53%
11.10%
2.47%
98.96%
详情|10元
519723|519724
债券型-长债
1.084507-19
0.22%
0.70%
2.14%
4.10%
6.49%
10.98%
2.48%
62.65%
详情|100元
161603|161653
债券型-长债
1.107907-19
0.33%
0.96%
2.42%
3.62%
10.18%
20.99%
2.64%
187.76%
详情|10元
100058|100059
债券型-混合一级
1.199307-19
0.03%
0.47%
1.84%
3.54%
6.63%
11.07%
2.13%
93.35%
详情|10元
519680|519681
债券型-混合一级
1.044007-19
0.12%
0.93%
2.84%
3.15%
3.41%
9.97%
2.73%
138.68%
详情|10元
000139|000140
债券型-长债
1.007207-19
0.19%
0.57%
1.58%
3.01%
5.68%
8.90%
1.78%
57.73%
详情|10元
400003|400004
混合型-灵活
1.641507-19
-0.92%
-2.20%
14.74%
2.98%
-8.25%
-24.30%
9.86%
630.95%
详情|10元
100018|100019
债券型-混合一级
1.340507-19
-0.10%
0.32%
1.79%
2.74%
5.56%
10.43%
1.80%
349.75%
详情|10元
519683|519684
债券型-混合二级
1.380607-19
0.39%
1.05%
2.61%
2.65%
3.09%
3.08%
2.82%
82.98%
详情|10元
050106|051106
债券型-混合一级
1.318607-19
-0.26%
-0.20%
1.65%
2.59%
4.37%
8.38%
1.52%
160.27%
详情|10元
090006|091006
混合型-偏债
0.938207-19
-0.18%
-0.41%
3.55%
1.87%
2.31%
5.77%
3.21%
203.56%
详情|10元
485105|485205
债券型-混合一级
1.146907-19
-0.07%
0.99%
4.30%
1.54%
3.49%
8.31%
3.92%
169.28%
详情|10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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