基金筛选器

开放式基金净值排行

基金名称净值涨跌幅累计净值
中邮核心优选1.59980.71%2.8198
南方中证501.18400.68%1.1840
融通动力先锋1.60500.63%2.0050
兴业社会责任1.61100.56%1.6110
华夏复兴1.29100.55%1.2910
华夏行业精选0.99700.40%4.4220
海富通风格优1.33000.38%2.0860

货币基金每日收益

基金代码基金名称万份收益年化收益
310338申万巴黎收益0.03740.49%
560001益民货币0.12840.51%
460006友邦货币A0.15300.59%
270004广发货币A0.17061.23%
213009宝盈货币A0.18380.62%
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盘中估值

   

基金净值回报

基金名称净值半年回报一年回报
国投瑞银瑞福0.835078.80%188.93%
海富通中国海1.522032.11%122.70%
华夏复兴1.284035.87%111.18%
华夏中小板股2.688030.55%109.84%
新华优选成长2.041936.43%109.24%

封闭式基金折价率

基金代码基金名称最新净值折价率
184721基金丰和1.00826.01%
184728基金鸿阳0.85724.87%
184699基金同盛1.23924.19%
184722基金久嘉1.08923.80%
500058基金银丰1.33823.77%

封闭式基金涨跌幅

基金名称最新价涨跌幅
基金裕隆1.2071.17%
基金普丰1.1641.13%
基金通乾1.3130.69%
基金安顺1.7060.65%
基金景福1.2420.65%
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