截至:8月19日单位:元 代码名称单位净值累计净值 184688基金开元1.04951.9585184689基金普惠0.9541.616184690基金同益1.00711.8411184691基金景宏0.92681.3968184692基金裕隆0.95771.3467184693基金普丰0.92421.2052184695基金景博0.90361.161
6184696基金裕华1.05781.2031184698基金天元1.07191.4369184699基金同盛0.90751.2184700基金鸿飞0.8970.897184701基金景福0.89011.0541184702基金同智1.09731.2452184703基金金盛1.02041.1962184705基金裕泽1.12851.3585184706基金天华0.83540.8354184708基金兴科1.02861.1296184709基金安久0.83080.8308184710基金隆元0.87710.8771184711基金普华0.74370.7437184712基金科汇1.28581.5433184713基金科翔1.20981.4298184718基金兴安1.00891.0149184719基金融鑫1.0421.1848184720基金久富0.97340.9734184721基金丰和1.03241.0674184722基金久嘉1.05161.0716184728基金鸿阳0.94520.9667184738基金通宝0.87740.8774500001基金金泰0.99181.7068500002基金泰和1.00981.5348500003基金安信1.05142.2844500005基金汉盛1.00421.4872500006基金裕阳0.99561.9876500007基金景阳1.02831.3213500008基金兴华0.99382.1688500009基金安顺1.06341.6354500010基金金元1.01141.0424500011基金金鑫0.96421.2662500013基金安瑞0.89470.9647500015基金汉兴0.86431.0343500016基金裕元1.07361.6016500017基金景业0.83990.8399500018基金兴和0.94361.3666500019基金普润0.93220.9322500021基金金鼎0.99631.0303500025基金汉鼎0.89950.9055500028基金兴业0.84420.8442500029基金科讯1.14591.1809500035基金汉博0.92120.9312500038基金通乾0.93480.9878500039基金同德1.07971.1407500056基金科瑞1.19221.2842500058基金银丰0.9861.066
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