摩根资产管理吧
点击回复发表日期最后更新
34008-0208-02 00:43
51008-0108-01 21:33
99008-0108-01 19:44
38008-0108-01 18:53
71008-0108-01 18:31
39008-0108-01 17:17
368106-1208-01 17:00
141107-2508-01 16:57
62008-0108-01 16:56
1245508-1008-01 16:21
49008-0108-01 16:09
258307-2008-01 15:33
64308-0108-01 14:34
80615007-0808-01 13:18
195108-0108-01 12:33
37008-0108-01 12:10
71008-0108-01 12:09
87008-0108-01 11:43
53008-0108-01 10:49
85008-0108-01 10:29
80008-0108-01 10:26
60008-0108-01 10:15
381306-1708-01 10:11
229406-2508-01 10:11
304307-0108-01 10:11
50008-0108-01 10:04
69207-3108-01 09:24
75008-0108-01 09:04
64008-0108-01 09:04
81008-0108-01 09:04
54008-0108-01 09:04
52008-0108-01 09:04
56008-0108-01 09:04
49008-0108-01 08:46
28008-0108-01 08:32
102008-0108-01 07:10
125008-0108-01 07:10
82008-0108-01 07:08
25008-0108-01 06:59
29008-0108-01 06:01
119008-0108-01 05:36
55008-0108-01 02:32
35008-0108-01 00:51
122008-0108-01 00:39
79107-3107-31 23:36
75007-3107-31 22:51
92007-3107-31 22:47
258107-0107-31 22:30
67007-3107-31 22:17
68007-3107-31 22:05
65007-3107-31 22:04
59007-3107-31 22:03
59007-3107-31 22:02
63007-3107-31 22:01
77107-3107-31 21:59
1961507-3107-31 21:57
55007-3107-31 21:57
73007-3107-31 21:20
56007-3107-31 20:47
61007-3107-31 20:26
65107-3107-31 20:10
106007-3107-31 20:09
64007-3107-31 19:45
61007-3107-31 19:43
73007-3107-31 19:33
43007-3107-31 19:15
69307-2907-31 16:42
113107-0807-31 15:42
100307-3007-31 15:40
49007-3107-31 15:20
51107-3007-31 14:56
10288407-3007-31 14:54
170207-3007-31 14:51
241207-3007-31 14:50
32107-3107-31 14:33
55107-3107-31 13:21
86007-3107-31 13:06
68307-3007-31 11:48
40107-3107-31 11:48
28007-3107-31 11:48
共有帖子数 161944 篇
旗下基金净值
[开放式基金]
基金简称 |
单位净值 |
日增长率 |
---|---|---|
0.9787 |
0.59% |
|
0.9843 |
0.58% |
|
1.0905 |
0.53% |
|
1.0772 |
0.52% |
|
0.5174 |
0.51% |
|
0.5250 |
0.50% |
|
1.3334 |
0.37% |
|
1.3181 |
0.37% |
|
1.1351 |
0.37% |
|
0.9266 |
0.34% |
旗下基金涨幅排名
[开放式基金]
基金简称 |
涨跌幅 |
同类排名 |
---|---|---|
13.00% |
65/276 |
|
12.79% |
67/276 |
|
12.35% |
68/276 |
|
12.17% |
72/276 |
|
12.14% |
73/276 |
|
12.14% |
73/276 |
|
11.58% |
81/276 |
|
11.38% |
82/276 |
|
10.87% |
154/2615 |
|
10.77% |
31/93 |
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