华夏基金吧
点击回复发表日期最后更新
110107-1007-11 04:02
75107-1007-11 03:56
97307-1007-11 03:35
97007-1107-11 03:25
96207-1007-11 02:31
82007-1107-11 01:24
3301307-1007-11 01:16
145007-1107-11 01:15
79007-1107-11 00:56
104007-1107-11 00:54
102007-1107-11 00:49
34007-1107-11 00:29
96207-1007-11 00:16
75007-1107-11 00:01
68007-1007-10 23:54
3091107-1007-10 23:48
45207-1007-10 23:45
21007-1007-10 23:39
301607-0907-10 23:39
66007-1007-10 23:38
247407-1007-10 23:34
63007-1007-10 23:34
84107-1007-10 23:30
51007-1007-10 23:29
63107-1007-10 23:27
68007-1007-10 23:10
59007-1007-10 23:08
61007-1007-10 23:07
59007-1007-10 23:06
62007-1007-10 23:03
56007-1007-10 23:00
96107-1007-10 23:00
59207-1007-10 22:59
49007-1007-10 22:58
109307-1007-10 22:56
3051507-1007-10 22:55
26007-1007-10 22:48
305407-1007-10 22:47
43007-1007-10 22:45
88607-1007-10 22:43
85207-1007-10 22:42
90207-1007-10 22:38
57007-1007-10 22:36
67107-0907-10 22:32
64007-1007-10 22:32
4221307-1007-10 22:29
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61007-1007-10 22:28
51007-1007-10 22:25
496907-1007-10 22:22
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44007-1007-10 22:21
54007-1007-10 22:20
30007-1007-10 22:18
118307-1007-10 22:17
143607-1007-10 22:15
77207-1007-10 22:15
26007-1007-10 22:14
35007-1007-10 22:10
48007-1007-10 22:08
499007-1007-10 22:05
49007-1007-10 22:03
41007-1007-10 22:03
114807-1007-10 21:59
62007-1007-10 21:55
125407-1007-10 21:53
97207-1007-10 21:53
179607-1007-10 21:52
35007-1007-10 21:51
75407-1007-10 21:50
18007-1007-10 21:50
47007-1007-10 21:48
70305-1007-10 21:47
58007-1007-10 21:46
949407-0207-10 21:45
35007-1007-10 21:44
52007-1007-10 21:43
49007-1007-10 21:43
80704139803-0807-10 21:43
3064407-1007-10 21:42
共有帖子数 1199119 篇
旗下基金净值
[开放式基金]
基金简称 |
单位净值 |
日增长率 |
---|---|---|
0.8809 |
2.85% |
|
0.9057 |
1.97% |
|
1.0620 |
1.47% |
|
0.9077 |
1.45% |
|
0.8934 |
1.45% |
|
1.0671 |
1.40% |
|
1.0526 |
1.40% |
|
0.6925 |
1.39% |
|
1.0428 |
1.30% |
|
1.0451 |
1.30% |
旗下基金涨幅排名
[开放式基金]
基金简称 |
涨跌幅 |
同类排名 |
---|---|---|
29.25% |
5/93 |
|
28.36% |
6/93 |
|
28.36% |
6/93 |
|
24.44% |
11/276 |
|
22.28% |
18/276 |
|
22.10% |
22/276 |
|
21.53% |
18/71 |
|
20.99% |
16/2626 |
|
20.64% |
19/71 |
|
20.64% |
19/71 |
旗下基金评级
[开放式基金]
基金简称
综合评级
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★★★
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★★★★
[货币式基金]
基金简称
综合评级
暂无评级
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