代码名称单位净值累计净值 184688基金开元1.0651.974184689基金普惠0.98451.6465184690基金同益1.0431.877184691基金景宏0.94041.4104184692基金裕隆0.9791.368184693基金普丰0.95021.2312184695基金景博0.94251.2005184696基金裕华1.07811.2234184698基金天元1.08771.4527184699基金同盛0.93791
.2304184700基金鸿飞0.91790.9179184701基金景福0.90551.0695184702基金同智1.13881.2867184703基金金盛1.05391.2297184705基金裕泽1.16321.3932184706基金天华0.85390.8539184708基金兴科1.07041.1714184709基金安久0.86760.8676184710基金隆元0.88240.8824184711基金普华0.76870.7687184712基金科汇1.34881.6063184713基金科翔1.26271.4827184718基金兴安1.04161.0476184719基金融鑫1.06591.2087184720基金久富1.01631.0163184721基金丰和1.06461.0996184722基金久嘉1.08361.1036184728基金鸿阳0.96280.9843184738基金通宝0.89590.8959500001基金金泰1.0141.729500002基金泰和1.04291.5679500003基金安信1.08772.3207500005基金汉盛1.03491.5179500006基金裕阳1.02612.0181500007基金景阳1.08091.3739500008基金兴华1.01162.1866500009基金安顺1.11851.6905500010基金金元1.01761.0486500011基金金鑫0.9851.287500013基金安瑞0.93311.0031500015基金汉兴0.87641.0464500016基金裕元1.09881.6268500017基金景业0.87260.8726500018基金兴和0.97641.3994500019基金普润0.96140.9614500021基金金鼎1.03431.0683500025基金汉鼎0.92780.9338500028基金兴业0.86940.8694500029基金科讯1.17331.2083500035基金汉博0.97320.9832500038基金通乾0.97311.0261500039基金同德1.11161.1726500056基金科瑞1.22321.3152500058基金银丰1.0191.099
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