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基金数据
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基金吧
开放式基金盘中估算净值表 (每个交易日 9:30~15:00 盘中实时更新)
数据日期
2010-9-3
对比 序号 基金代码 基金名称 今天估算数据 今天公布数据 估算偏差 2010-09-02
单位净值
估算值 估算增长率 单位净值 增长率
1000001 华夏成长基金 估值图 基金吧 档案 1.4199 -0.01% --- --- --- 1.4200
2000011 华夏大盘基金 估值图 基金吧 档案 10.4249 -0.80% --- --- --- 10.5090
3000021 华夏优势基金 估值图 基金吧 档案 2.3485 -0.02% --- --- --- 2.3490
4000031 华夏复兴基金 估值图 基金吧 档案 1.3741 0.08% --- --- --- 1.3730
5000041 华夏全球基金 估值图 基金吧 档案 --- --- --- --- --- ---
6000051 华夏300基金 估值图 基金吧 档案 0.8242 -0.58% --- --- --- 0.8290
7000061 华夏盛世基金 估值图 基金吧 档案 0.9393 -0.29% --- --- --- 0.9420
8001001 华夏债券A基金 估值图 基金吧 档案 1.1041 0.01% --- --- --- 1.1040
9001003 华夏债券C基金 估值图 基金吧 档案 1.0855 -0.05% --- --- --- 1.0860
10001011 华夏希望A基金 估值图 基金吧 档案 1.1188 -0.02% --- --- --- 1.1190
11001013 华夏希望C基金 估值图 基金吧 档案 1.1073 -0.24% --- --- --- 1.1100
12002001 华夏回报基金 估值图 基金吧 档案 1.3679 -0.08% --- --- --- 1.3690
13002011 华夏红利基金 估值图 基金吧 档案 2.2991 -0.17% --- --- --- 2.3030
14002021 华夏回报贰基金 估值图 基金吧 档案 1.1177 0.06% --- --- --- 1.1170
15002031 华夏策略基金 估值图 基金吧 档案 2.0376 -0.75% --- --- --- 2.0530
16020001 国泰金鹰基金 估值图 基金吧 档案 0.9886 -0.04% --- --- --- 0.9890
17020002 国泰债券A基金 估值图 基金吧 档案 1.0537 -0.03% --- --- --- 1.0540
18020003 国泰精选基金 估值图 基金吧 档案 0.9276 -0.15% --- --- --- 0.9290
19020005 国泰金马基金 估值图 基金吧 档案 0.8312 -0.58% --- --- --- 0.8360
20020009 国泰金鹏基金 估值图 基金吧 档案 1.0342 -0.27% --- --- --- 1.0370
21020010 国泰金牛基金 估值图 基金吧 档案 1.0311 -0.38% --- --- --- 1.0350
22020011 国泰300基金 估值图 基金吧 档案 0.5867 -0.56% --- --- --- 0.5900
23020012 国泰债券C基金 估值图 基金吧 档案 1.0492 -0.08% --- --- --- 1.0500
24020015 国泰优势基金 估值图 基金吧 档案 1.1796 -0.37% --- --- --- 1.1840
25020018 国泰金鹿三期基金 估值图 基金吧 档案 1.0053 0.13% --- --- --- 1.0040
26020019 国泰双利A基金 估值图 基金吧 档案 1.1755 -0.04% --- --- --- 1.1760
27020020 国泰双利C基金 估值图 基金吧 档案 1.1681 0.09% --- --- --- 1.1670
28040001 华安创新基金 估值图 基金吧 档案 0.7156 -0.19% --- --- --- 0.7170
29040002 华安A股基金 估值图 基金吧 档案 0.8098 -0.52% --- --- --- 0.8140
30040004 华安宝利基金 估值图 基金吧 档案 1.0586 -0.23% --- --- --- 1.0610
31040005 华安宏利基金 估值图 基金吧 档案 2.4382 -0.34% --- --- --- 2.4465
32040007 华安中小盘基金 估值图 基金吧 档案 1.1170 -0.11% --- --- --- 1.1182
33040008 华安策略基金 估值图 基金吧 档案 0.7321 -0.21% --- --- --- 0.7336
34040009 华安债券A基金 估值图 基金吧 档案 1.0861 0.07% --- --- --- 1.0853
35040010 华安债券B基金 估值图 基金吧 档案 1.0724 -0.09% --- --- --- 1.0734
36040011 华安核心基金 估值图 基金吧 档案 1.1146 -0.21% --- --- --- 1.1169
37040012 华安强债A基金 估值图 基金吧 档案 1.0824 0.04% --- --- --- 1.0820
38040013 华安强债B基金 估值图 基金吧 档案 1.0730 -0.19% --- --- --- 1.0750
39040015 华安配置基金 估值图 基金吧 档案 0.9454 -0.06% --- --- --- 0.9460
40040016 华安轮动基金 估值图 基金吧 档案 1.0437 0.00 --- --- --- 1.0437
41040018 华安香港精选基金 估值图 基金吧 档案 --- --- --- --- --- ---
42040180 华安上证180联接基金 估值图 基金吧 档案 0.9110 0.00 --- --- --- 0.9110
43050001 博时价值基金 估值图 基金吧 档案 0.7598 -0.29% --- --- --- 0.7620
44050002 博时300基金 估值图 基金吧 档案 0.7895 -0.57% --- --- --- 0.7940
45050004 博时精选基金 估值图 基金吧 档案 1.4142 -0.60% --- --- --- 1.4227
46050006 博时稳定B基金 估值图 基金吧 档案 1.0919 -0.01% --- --- --- 1.0920
47050007 博时平衡基金 估值图 基金吧 档案 1.1344 -0.23% --- --- --- 1.1370
48050008 博时第三产业基金 估值图 基金吧 档案 1.0967 -0.21% --- --- --- 1.0990
49050009 博时新兴基金 估值图 基金吧 档案 0.7408 -0.30% --- --- --- 0.7430
50050010 博时特许基金 估值图 基金吧 档案 1.2777 -0.49% --- --- --- 1.2840
51050011 博时信用A基金 估值图 基金吧 档案 1.0817 -0.03% --- --- --- 1.0820
52050012 博时策略基金 估值图 基金吧 档案 0.9539 -0.32% --- --- --- 0.9570
53050013 博时上证超大盘联接基金 估值图 基金吧 档案 0.7370 0.00 --- --- --- 0.7370
54050014 博时创业基金 估值图 基金吧 档案 1.0548 -0.58% --- --- --- 1.0610
55050015 博时大中华基金 估值图 基金吧 档案 --- --- --- --- --- ---
56050016 博时宏观回报A/B基金 估值图 基金吧 档案 --- --- --- --- --- 1.0010
57050106 博时稳定A基金 估值图 基金吧 档案 1.1040 0.00 --- --- --- 1.1040
58050111 博时信用C基金 估值图 基金吧 档案 1.0772 0.02% --- --- --- 1.0770
59050116 博时宏观回报债券C基金 估值图 基金吧 档案 --- --- --- --- --- 1.0010
60050201 博时价值贰基金 估值图 基金吧 档案 0.7181 -0.27% --- --- --- 0.7200
61051016 博时宏观回报B基金 估值图 基金吧 档案 --- --- --- --- --- ---
62070001 嘉实成长基金 估值图 基金吧 档案 0.8855 -0.35% --- --- --- 0.8886
63070002 嘉实增长基金 估值图 基金吧 档案 4.7849 -0.17% --- --- --- 4.7930
64070003 嘉实稳健基金 估值图 基金吧 档案 0.8601 -0.22% --- --- --- 0.8620
65070005 嘉实债券基金 估值图 基金吧 档案 1.3550 0.00 --- --- --- 1.3550
66070006 嘉实服务基金 估值图 基金吧 档案 3.9469 -0.33% --- --- --- 3.9600
67070009 嘉实超短债基金 估值图 基金吧 档案 1.0026 0.00 --- --- --- 1.0026
68070010 嘉实主题基金 估值图 基金吧 档案 1.3911 0.08% --- --- --- 1.3900
69070011 嘉实策略基金 估值图 基金吧 档案 1.2687 -0.26% --- --- --- 1.2720
70070012 嘉实海外基金 估值图 基金吧 档案 --- --- --- --- --- ---
71070013 嘉实精选基金 估值图 基金吧 档案 1.5355 -0.16% --- --- --- 1.5380
72070015 嘉实多元A基金 估值图 基金吧 档案 1.0892 0.02% --- --- --- 1.0890
73070016 嘉实多元B基金 估值图 基金吧 档案 1.0829 -0.01% --- --- --- 1.0830
74070017 嘉实量化基金 估值图 基金吧 档案 1.0838 -0.29% --- --- --- 1.0870
75070018 嘉实回报基金 估值图 基金吧 档案 1.0163 -0.07% --- --- --- 1.0170
76070019 嘉实价值基金 估值图 基金吧 档案 1.0170 -1.55% --- --- --- 1.0330
77070020 嘉实稳固收益基金 估值图 基金吧 档案 --- --- --- --- --- ---
78070099 嘉实优质基金 估值图 基金吧 档案 0.8848 -0.02% --- --- --- 0.8850
79080001 长盛价值基金 估值图 基金吧 档案 1.0228 -0.02% --- --- --- 1.0230
80080002 长盛创新基金 估值图 基金吧 档案 1.1442 -0.20% --- --- --- 1.1465
81080003 长盛积债基金 估值图 基金吧 档案 1.2072 0.07% --- --- --- 1.2064
82080005 长盛量化基金 估值图 基金吧 档案 0.9513 -0.28% --- --- --- 0.9540
83080006 长盛环球基金 估值图 基金吧 档案 --- --- --- --- --- ---
84090001 大成价值基金 估值图 基金吧 档案 0.8267 -0.34% --- --- --- 0.8295
85090002 大成债券A基金 估值图 基金吧 档案 1.0706 0.01% --- --- --- 1.0705
86090003 大成蓝筹基金 估值图 基金吧 档案 0.7589 -0.05% --- --- --- 0.7593
87090004 大成精选基金 估值图 基金吧 档案 0.9305 -0.26% --- --- --- 0.9329
88090006 大成2020基金 估值图 基金吧 档案 0.7056 0.09% --- --- --- 0.7050
89090007 大成回报基金 估值图 基金吧 档案 1.1353 -0.24% --- --- --- 1.1380
90090008 大成强债A/B基金 估值图 基金吧 档案 1.1127 0.00 --- --- --- 1.1127
91090009 大成行业基金 估值图 基金吧 档案 1.0877 -0.30% --- --- --- 1.0910
92090010 大成红利基金 估值图 基金吧 档案 0.9452 -0.50% --- --- --- 0.9500
93090011 大成双动力基金 估值图 基金吧 档案 --- --- --- --- --- 1.0220
94092002 大成债券C基金 估值图 基金吧 档案 1.0451 0.11% --- --- --- 1.0440
95100016 富国天源基金 估值图 基金吧 档案 1.0195 -0.15% --- --- --- 1.0210
96100018 富国天利基金 估值图 基金吧 档案 1.2803 0.00 --- --- --- 1.2803
97100020 富国天益基金 估值图 基金吧 档案 0.9166 -0.43% --- --- --- 0.9206
98100022 富国天瑞基金 估值图 基金吧 档案 0.7980 -0.90% --- --- --- 0.8052
99100026 富国天合基金 估值图 基金吧 档案 0.9333 -0.41% --- --- --- 0.9371
100100029 富国天成基金 估值图 基金吧 档案 1.2906 -0.33% --- --- --- 1.2949
101100032 富国天鼎基金 估值图 基金吧 档案 1.1868 -0.44% --- --- --- 1.1920
102100035 富国优化A基金 估值图 基金吧 档案 1.0676 0.06% --- --- --- 1.0670
103100037 富国优化C基金 估值图 基金吧 档案 1.0624 0.04% --- --- --- 1.0620
104100038 富国300基金 估值图 基金吧 档案 0.8757 -0.60% --- --- --- 0.8810
105100039 富国轮动基金 估值图 基金吧 档案 1.0811 -1.54% --- --- --- 1.0980
106110001 易基平稳基金 估值图 基金吧 档案 1.4291 -0.34% --- --- --- 1.4340
107110002 易基策略基金 估值图 基金吧 档案 3.8244 0.01% --- --- --- 3.8240
108110003 易基50基金 估值图 基金吧 档案 0.7308 -0.83% --- --- --- 0.7369
109110005 易基积极基金 估值图 基金吧 档案 1.0941 -0.20% --- --- --- 1.0963
110110007 易基债券A基金 估值图 基金吧 档案 1.1259 -0.07% --- --- --- 1.1267
111110008 易基债券B基金 估值图 基金吧 档案 1.1269 0.00 --- --- --- 1.1269
112110009 易基精选基金 估值图 基金吧 档案 1.1718 -0.10% --- --- --- 1.1730
113110010 易基成长基金 估值图 基金吧 档案 1.3920 -0.50% --- --- --- 1.3990
114110011 易基中小盘基金 估值图 基金吧 档案 1.6772 -0.32% --- --- --- 1.6826
115110012 易基科汇基金 估值图 基金吧 档案 1.6633 -0.34% --- --- --- 1.6690
116110013 易基科翔基金 估值图 基金吧 档案 1.4064 0.17% --- --- --- 1.4040
117110015 易基行业基金 估值图 基金吧 档案 1.3654 -0.41% --- --- --- 1.3710
118110017 易基强债A基金 估值图 基金吧 档案 1.1375 0.04% --- --- --- 1.1370
119110018 易基强债B基金 估值图 基金吧 档案 1.1364 0.12% --- --- --- 1.1350
120110019 易基深证100联接基金 估值图 基金吧 档案 0.9034 -0.40% --- --- --- 0.9070
121110020 易基300基金 估值图 基金吧 档案 0.8843 -0.42% --- --- --- 0.8880
122110021 易基上证中盘联接基金 估值图 基金吧 档案 0.9803 -0.07% --- --- --- 0.9810
123110022 易方达消费行业基金 估值图 基金吧 档案 --- --- --- --- --- ---
124110029 易基科讯基金 估值图 基金吧 档案 0.7004 -0.47% --- --- --- 0.7037
125112002 易基策略贰基金 估值图 基金吧 档案 1.4244 0.03% --- --- --- 1.4240
126118001 易基亚洲基金 估值图 基金吧 档案 --- --- --- --- --- ---
127121001 国投融华基金 估值图 基金吧 档案 1.3894 -0.37% --- --- --- 1.3946
128121002 国投景气基金 估值图 基金吧 档案 0.9043 -0.30% --- --- --- 0.9070
129121003 国投核心基金 估值图 基金吧 档案 0.9146 -0.16% --- --- --- 0.9161
130121005 国投创新基金 估值图 基金吧 档案 0.8953 -0.35% --- --- --- 0.8984
131121006 国投稳健基金 估值图 基金吧 档案 1.2340 -0.16% --- --- --- 1.2360
132121008 国投成长基金 估值图 基金吧 档案 0.8748 -0.18% --- --- --- 0.8764
133121009 国投增利基金 估值图 基金吧 档案 1.0931 -0.01% --- --- --- 1.0932
134121012 国投增强债A基金 估值图 基金吧 档案 --- --- --- --- --- ---
135128112 国投瑞银增强债C基金 估值图 基金吧 档案 --- --- --- --- --- ---
136150010 估值优先基金 估值图 基金吧 档案 1.0290 -0.29% --- --- --- 1.0320
137150011 估值进取基金 估值图 基金吧 档案 1.1047 -1.54% --- --- --- 1.1220
138150012 国联安双禧A中证100基金 估值图 基金吧 档案 1.0101 -1.16% --- --- --- 1.0220
139150013 国联安双禧B中证100基金 估值图 基金吧 档案 1.0269 -1.16% --- --- --- 1.0390
140150016 兴业合润A基金 估值图 基金吧 档案 --- --- --- --- --- 1.0000
141150017 兴业合润B基金 估值图 基金吧 档案 --- --- --- --- --- 1.0603
142150018 银华稳进基金 估值图 基金吧 档案 1.0151 -0.19% --- --- --- 1.0170
143150019 银华锐进基金 估值图 基金吧 档案 1.1998 -1.74% --- --- --- 1.2210
144150020 富国汇利分级优先基金 估值图 基金吧 档案 --- --- --- --- --- ---
145150021 富国汇利分级进取基金 估值图 基金吧 档案 --- --- --- --- --- ---
146150103 银河银泰基金 估值图 基金吧 档案 1.0124 -0.13% --- --- --- 1.0137
147151001 银河稳健基金 估值图 基金吧 档案 1.0152 -0.08% --- --- --- 1.0160
148151002 银河债券基金 估值图 基金吧 档案 1.5862 -0.03% --- --- --- 1.5867
149159901 深证100ETF基金 估值图 基金吧 档案 3.6893 -0.37% --- --- --- 3.7030
150159902 中小板ETF基金 估值图 基金吧 档案 2.8852 -0.13% --- --- --- 2.8890
151159903 深证成份ETF基金 估值图 基金吧 档案 1.1486 -0.44% --- --- --- 1.1537
152160105 南方积配基金 估值图 基金吧 档案 1.1450 -0.26% --- --- --- 1.1480
153160106 南方高增基金 估值图 基金吧 档案 1.5691 -0.08% --- --- --- 1.5704
154160119 南方500基金 估值图 基金吧 档案 1.1545 -0.36% --- --- --- 1.1587
155160211 国泰中小盘基金 估值图 基金吧 档案 1.0273 0.03% --- --- --- 1.0270
156160213 国泰纳指基金 估值图 基金吧 档案 --- --- --- --- --- ---
157160215 国泰价值基金 估值图 基金吧 档案 --- --- --- --- --- ---
158160311 华夏蓝筹基金 估值图 基金吧 档案 1.2157 -0.11% --- --- --- 1.2170
159160314 华夏行业基金 估值图 基金吧 档案 0.9686 -0.14% --- --- --- 0.9700
160160505 博时主题基金 估值图 基金吧 档案 1.8201 0.06% --- --- --- 1.8190
161160602 鹏华债券A基金 估值图 基金吧 档案 1.2326 -0.03% --- --- --- 1.2330
162160603 鹏华收益基金 估值图 基金吧 档案 0.8471 0.01% --- --- --- 0.8470
163160605 鹏华50基金 估值图 基金吧 档案 1.8018 -0.01% --- --- --- 1.8020
164160607 鹏华价值基金 估值图 基金吧 档案 0.8031 -0.48% --- --- --- 0.8070
165160608 鹏华债券B基金 估值图 基金吧 档案 1.1915 -0.04% --- --- --- 1.1920
166160610 鹏华动力基金 估值图 基金吧 档案 1.2117 -0.19% --- --- --- 1.2140
167160611 鹏华治理基金 估值图 基金吧 档案 1.0141 0.21% --- --- --- 1.0120
168160612 鹏华丰收基金 估值图 基金吧 档案 1.1424 -0.05% --- --- --- 1.1430
169160613 鹏华创新基金 估值图 基金吧 档案 1.4706 -0.16% --- --- --- 1.4730
170160615 鹏华300基金 估值图 基金吧 档案 1.0280 -0.58% --- --- --- 1.0340
171160616 鹏华500基金 估值图 基金吧 档案 0.9665 -0.36% --- --- --- 0.9700
172160706 嘉实300基金 估值图 基金吧 档案 0.7505 -0.56% --- --- --- 0.7547
173160716 嘉实基本面50基金 估值图 基金吧 档案 0.7546 -0.42% --- --- --- 0.7578
174160717 嘉实恒生基金 估值图 基金吧 档案 --- --- --- --- --- ---
175160805 长盛同智基金 估值图 基金吧 档案 0.9067 -0.12% --- --- --- 0.9078
176160807 长盛300基金 估值图 基金吧 档案 --- --- --- --- --- ---
177160910 大成创新基金 估值图 基金吧 档案 0.8874 0.05% --- --- --- 0.8870
178161005 富国天惠基金 估值图 基金吧 档案 1.4893 0.45% --- --- --- 1.4826
179161014 富国汇利分级基金 估值图 基金吧 档案 --- --- --- --- --- ---
180161210 国投全球基金 估值图 基金吧 档案 --- --- --- --- --- ---
181161211 国投金融地产基金 估值图 基金吧 档案 0.8435 -0.41% --- --- --- 0.8470
182161601 融通新蓝筹基金 估值图 基金吧 档案 0.8287 -0.23% --- --- --- 0.8306
183161603 融通债券基金 估值图 基金吧 档案 1.0790 0.00 --- --- --- 1.0790
184161604 融通100基金 估值图 基金吧 档案 1.2237 -0.35% --- --- --- 1.2280
185161605 融通蓝筹基金 估值图 基金吧 档案 1.2813 -0.13% --- --- --- 1.2830
186161606 融通行业基金 估值图 基金吧 档案 0.9796 0.78% --- --- --- 0.9720
187161607 融通巨潮基金 估值图 基金吧 档案 0.8663 -0.65% --- --- --- 0.8720
188161609 融通动力基金 估值图 基金吧 档案 1.3301 -0.29% --- --- --- 1.3340
189161610 融通领先基金 估值图 基金吧 档案 0.9853 -0.27% --- --- --- 0.9880
190161611 融通内需基金 估值图 基金吧 档案 0.9923 0.33% --- --- --- 0.9890
191161706 招商成长基金 估值图 基金吧 档案 1.3042 -0.57% --- --- --- 1.3117
192161713 招商信用基金 估值图 基金吧 档案 --- --- --- --- --- ---
193161810 银华内需基金 估值图 基金吧 档案 0.9701 -0.40% --- --- --- 0.9740
194161811 银华300基金 估值图 基金吧 档案 0.8913 -0.41% --- --- --- 0.8950
195161812 银华深证100分级基金 估值图 基金吧 档案 1.1018 -1.54% --- --- --- 1.1190
196161813 银华信用基金 估值图 基金吧 档案 --- --- --- --- --- 1.0240
197161902 万家债券基金 估值图 基金吧 档案 1.1416 0.08% --- --- --- 1.1407
198161903 万家公用基金 估值图 基金吧 档案 0.7251 -0.29% --- --- --- 0.7272
199162006 长城久富基金 估值图 基金吧 档案 1.3284 0.21% --- --- --- 1.3256
200162102 金鹰中小盘基金 估值图 基金吧 档案 1.1382 0.39% --- --- --- 1.1338
201162201 泰达成长基金 估值图 基金吧 档案 1.1117 -0.07% --- --- --- 1.1125
202162202 泰达周期基金 估值图 基金吧 档案 1.0116 -0.29% --- --- --- 1.0145
203162203 泰达稳定基金 估值图 基金吧 档案 0.7186 -0.10% --- --- --- 0.7193
204162204 泰达精选基金 估值图 基金吧 档案 4.6476 -0.34% --- --- --- 4.6635
205162205 泰达预算基金 估值图 基金吧 档案 1.2552 -0.01% --- --- --- 1.2553
206162207 泰达效率基金 估值图 基金吧 档案 0.8610 -0.23% --- --- --- 0.8630
207162208 泰达首选基金 估值图 基金吧 档案 1.4412 -0.41% --- --- --- 1.4471
208162209 泰达市值基金 估值图 基金吧 档案 0.7519 -0.30% --- --- --- 0.7542
209162210 泰达集利A基金 估值图 基金吧 档案 1.0410 0.00 --- --- --- 1.0410
210162211 泰达品质基金 估值图 基金吧 档案 1.1292 0.11% --- --- --- 1.1280
211162212 泰达红利基金 估值图 基金吧 档案 1.0258 -0.31% --- --- --- 1.0290
212162213 泰达大盘基金 估值图 基金吧 档案 1.0305 -0.34% --- --- --- 1.0340
213162299 泰达集利C基金 估值图 基金吧 档案 1.0320 -0.06% --- --- --- 1.0326
214162307 海富100基金 估值图 基金吧 档案 0.8038 -0.64% --- --- --- 0.8090
215162509 国联安双禧基金 估值图 基金吧 档案 1.0253 -0.65% --- --- --- 1.0320
216162605 景顺鼎益基金 估值图 基金吧 档案 0.9953 -0.37% --- --- --- 0.9990
217162607 景顺资源基金 估值图 基金吧 档案 0.8062 -0.22% --- --- --- 0.8080
218162703 广发小盘基金 估值图 基金吧 档案 1.9649 -0.72% --- --- --- 1.9791
219162711 广发500基金 估值图 基金吧 档案 1.0270 -0.39% --- --- --- 1.0310
220163001 长信100基金 估值图 基金吧 档案 0.9580 -0.62% --- --- --- 0.9640
221163302 大摩资源基金 估值图 基金吧 档案 2.0721 0.05% --- --- --- 2.0711
222163402 兴业趋势基金 估值图 基金吧 档案 1.0674 -0.24% --- --- --- 1.0700
223163406 兴业合润基金 估值图 基金吧 档案 1.0354 -0.08% --- --- --- 1.0362
224163503 天治核心基金 估值图 基金吧 档案 0.5690 -0.39% --- --- --- 0.5712
225163801 中银中国基金 估值图 基金吧 档案 1.7053 -0.07% --- --- --- 1.7065
226163803 中银增长基金 估值图 基金吧 档案 0.7903 -0.39% --- --- --- 0.7934
227163804 中银收益基金 估值图 基金吧 档案 0.9607 -0.21% --- --- --- 0.9627
228163805 中银策略基金 估值图 基金吧 档案 1.2106 0.11% --- --- --- 1.2093
229163806 中银增利基金 估值图 基金吧 档案 1.1189 -0.01% --- --- --- 1.1190
230163807 中银优选基金 估值图 基金吧 档案 1.1453 -0.18% --- --- --- 1.1474
231163808 中银100基金 估值图 基金吧 档案 0.8287 -0.40% --- --- --- 0.8320
232163809 中银精选基金 估值图 基金吧 档案 0.9959 -0.11% --- --- --- 0.9970
233163810 中银价值混合基金 估值图 基金吧 档案 --- --- --- --- --- ---
234164205 天弘深成基金 估值图 基金吧 档案 --- --- --- --- --- ---
235165309 建信300基金 估值图 基金吧 档案 0.8306 -0.41% --- --- --- 0.8340
236165508 信诚深度基金 估值图 基金吧 档案 --- --- --- --- --- ---
237166001 中欧趋势基金 估值图 基金吧 档案 0.8844 -0.30% --- --- --- 0.8871
238166002 中欧蓝筹基金 估值图 基金吧 档案 1.2250 -0.29% --- --- --- 1.2286
239166003 中欧债券A基金 估值图 基金吧 档案 1.0668 0.00 --- --- --- 1.0668
240166004 中欧债券C基金 估值图 基金吧 档案 1.0627 -0.03% --- --- --- 1.0630
241166005 中欧价值基金 估值图 基金吧 档案 0.9806 -0.35% --- --- --- 0.9840
242166006 中欧中小盘基金 估值图 基金吧 档案 0.9809 -0.29% --- --- --- 0.9838
243166007 中欧300基金 估值图 基金吧 档案 --- --- --- --- --- 1.0149
244180001 银华优势基金 估值图 基金吧 档案 1.1047 0.11% --- --- --- 1.1035
245180002 银华保本基金 估值图 基金吧 档案 1.0091 0.01% --- --- --- 1.0090
246180003 银华88基金 估值图 基金吧 档案 0.9829 -0.40% --- --- --- 0.9868
247180010 银华优质基金 估值图 基金吧 档案 1.7203 0.10% --- --- --- 1.7186
248180012 银华富裕基金 估值图 基金吧 档案 1.2459 -0.22% --- --- --- 1.2486
249180013 银华领先基金 估值图 基金吧 档案 1.5343 -0.04% --- --- --- 1.5349
250180015 银华强债基金 估值图 基金吧 档案 1.1184 0.04% --- --- --- 1.1180
251180018 银华和谐基金 估值图 基金吧 档案 1.1716 -0.29% --- --- --- 1.1750
252180020 银华成长先锋混合基金 估值图 基金吧 档案 --- --- --- --- --- ---
253183001 银华全球基金 估值图 基金吧 档案 --- --- --- --- --- ---
254200001 长城久恒基金 估值图 基金吧 档案 1.3441 0.01% --- --- --- 1.3440
255200002 长城久泰基金 估值图 基金吧 档案 1.1449 -0.60% --- --- --- 1.1518
256200006 长城消费基金 估值图 基金吧 档案 0.8651 -0.31% --- --- --- 0.8678
257200007 长城回报基金 估值图 基金吧 档案 0.7091 0.08% --- --- --- 0.7085
258200008 长城品牌基金 估值图 基金吧 档案 0.7481 -0.87% --- --- --- 0.7547
259200009 长城债券基金 估值图 基金吧 档案 1.1360 0.00 --- --- --- 1.1360
260200010 长城动力基金 估值图 基金吧 档案 1.2262 -0.09% --- --- --- 1.2273
261200011 长城景气基金 估值图 基金吧 档案 1.1065 0.23% --- --- --- 1.1040
262202001 南方稳健基金 估值图 基金吧 档案 0.9642 -0.28% --- --- --- 0.9669
263202002 南方稳健贰基金 估值图 基金吧 档案 0.5269 -0.31% --- --- --- 0.5285
264202003 南方绩优基金 估值图 基金吧 档案 1.3701 -0.38% --- --- --- 1.3753
265202005 南方成份基金 估值图 基金吧 档案 0.8765 -0.59% --- --- --- 0.8817
266202007 南方隆元基金 估值图 基金吧 档案 0.6381 -0.45% --- --- --- 0.6410
267202009 南方盛元基金 估值图 基金吧 档案 0.9609 -0.11% --- --- --- 0.9620
268202011 南方价值基金 估值图 基金吧 档案 1.2180 0.00 --- --- --- 1.2180
269202015 南方300基金 估值图 基金吧 档案 1.0851 -0.57% --- --- --- 1.0913
270202017 南方深成基金 估值图 基金吧 档案 0.8689 0.00 --- --- --- 0.8689
271202019 南方策略基金 估值图 基金吧 档案 0.9149 -0.34% --- --- --- 0.9180
272202021 中证南方小康ETF联接基金 估值图 基金吧 档案 --- --- --- --- --- ---
273202101 南方宝元基金 估值图 基金吧 档案 1.1758 -0.14% --- --- --- 1.1774
274202102 南方多利C基金 估值图 基金吧 档案 1.0684 0.08% --- --- --- 1.0675
275202103 南方多利A基金 估值图 基金吧 档案 1.0735 -0.03% --- --- --- 1.0738
276202202 南方避险基金 估值图 基金吧 档案 2.3269 0.05% --- --- --- 2.3257
277202211 南方恒元基金 估值图 基金吧 档案 1.1387 -0.03% --- --- --- 1.1390
278202801 南方全球基金 估值图 基金吧 档案 --- --- --- --- --- ---
279206001 鹏华行业基金 估值图 基金吧 档案 1.0315 -0.09% --- --- --- 1.0324
280206002 鹏华精选基金 估值图 基金吧 档案 0.9318 -0.34% --- --- --- 0.9350
281206003 鹏华信用A基金 估值图 基金吧 档案 1.0120 0.00 --- --- --- 1.0120
282206004 鹏华信用B基金 估值图 基金吧 档案 1.0110 0.00 --- --- --- 1.0110
283206005 上证民企50ETF联接基金 估值图 基金吧 档案 --- --- --- --- --- ---
284206006 鹏华环球发现基金 估值图 基金吧 档案 --- --- --- --- --- ---
285210001 金鹰优选基金 估值图 基金吧 档案 0.7054 0.55% --- --- --- 0.7015
286210002 金鹰红利基金 估值图 基金吧 档案 1.2031 0.08% --- --- --- 1.2021
287210003 金鹰优势基金 估值图 基金吧 档案 1.0185 0.18% --- --- --- 1.0167
288210004 金鹰成长基金 估值图 基金吧 档案 1.0615 -0.14% --- --- --- 1.0630
289213001 宝盈鸿利基金 估值图 基金吧 档案 0.5371 -0.41% --- --- --- 0.5393
290213002 宝盈泛沿海基金 估值图 基金吧 档案 0.4729 -0.72% --- --- --- 0.4763
291213003 宝盈增长基金 估值图 基金吧 档案 0.8990 -0.31% --- --- --- 0.9018
292213006 宝盈优势基金 估值图 基金吧 档案 0.9274 -0.18% --- --- --- 0.9291
293213007 宝盈强债A基金 估值图 基金吧 档案 1.2086 -0.03% --- --- --- 1.2090
294213008 宝盈资源基金 估值图 基金吧 档案 0.9486 -0.26% --- --- --- 0.9511
295213010 宝盈100基金 估值图 基金吧 档案 0.8693 -0.65% --- --- --- 0.8750
296213917 宝盈强债C基金 估值图 基金吧 档案 1.1989 -0.07% --- --- --- 1.1997
297217001 招商股票基金 估值图 基金吧 档案 0.5578 -0.22% --- --- --- 0.5590
298217002 招商平衡基金 估值图 基金吧 档案 1.4389 -0.16% --- --- --- 1.4412
299217003 招商债券A基金 估值图 基金吧 档案 1.1652 0.00 --- --- --- 1.1652
300217005 招商先锋基金 估值图 基金吧 档案 0.7122 -0.05% --- --- --- 0.7126
301217008 招商安本基金 估值图 基金吧 档案 1.1969 0.19% --- --- --- 1.1946
302217009 招商价值基金 估值图 基金吧 档案 0.9566 -0.18% --- --- --- 0.9583
303217010 招商蓝筹基金 估值图 基金吧 档案 1.3874 -0.19% --- --- --- 1.3900
304217011 招商安心基金 估值图 基金吧 档案 1.1936 -0.03% --- --- --- 1.1940
305217012 招商行业基金 估值图 基金吧 档案 1.0602 -0.82% --- --- --- 1.0690
306217013 招商中小盘基金 估值图 基金吧 档案 0.9639 -0.11% --- --- --- 0.9650
307217015 招商全球基金 估值图 基金吧 档案 --- --- --- --- --- ---
308217016 招商深证100基金 估值图 基金吧 档案 1.0425 -1.65% --- --- --- 1.0600
309217203 招商债券B基金 估值图 基金吧 档案 1.1618 0.00 --- --- --- 1.1618
310233001 大摩基础基金 估值图 基金吧 档案 0.5322 0.22% --- --- --- 0.5310
311233005 大摩强债基金 估值图 基金吧 档案 1.0824 -0.04% --- --- --- 1.0828
312233006 大摩领先基金 估值图 基金吧 档案 1.2151 -0.15% --- --- --- 1.2169
313233007 大摩卓越基金 估值图 基金吧 档案 1.0296 -1.16% --- --- --- 1.0417
314240001 宝康消费基金 估值图 基金吧 档案 1.4441 0.24% --- --- --- 1.4406
315240002 宝康配置基金 估值图 基金吧 档案 1.3680 -0.43% --- --- --- 1.3739
316240003 宝康债券基金 估值图 基金吧 档案 1.1962 0.01% --- --- --- 1.1961
317240004 华宝动力基金 估值图 基金吧 档案 0.9067 -0.38% --- --- --- 0.9102
318240005 华宝策略基金 估值图 基金吧 档案 0.6336 -0.31% --- --- --- 0.6356
319240008 华宝收益基金 估值图 基金吧 档案 3.0954 -0.45% --- --- --- 3.1094
320240009 华宝先进基金 估值图 基金吧 档案 2.1269 -0.45% --- --- --- 2.1365
321240010 华宝行业基金 估值图 基金吧 档案 0.9375 -0.38% --- --- --- 0.9411
322240011 华宝大盘基金 估值图 基金吧 档案 1.6640 -0.53% --- --- --- 1.6729
323240012 华宝强债A基金 估值图 基金吧 档案 1.0757 0.00 --- --- --- 1.0757
324240013 华宝强债B基金 估值图 基金吧 档案 1.0694 0.03% --- --- --- 1.0691
325240014 华宝100基金 估值图 基金吧 档案 0.8135 -0.65% --- --- --- 0.8188
326240016 华宝180价值联接基金 估值图 基金吧 档案 0.9748 -0.43% --- --- --- 0.9790
327241001 华宝海外基金 估值图 基金吧 档案 --- --- --- --- --- ---
328253010 德盛安心基金 估值图 基金吧 档案 0.8838 -0.36% --- --- --- 0.8870
329253020 德盛增利A基金 估值图 基金吧 档案 1.1520 0.00 --- --- --- 1.1520
330253021 德盛增利B基金 估值图 基金吧 档案 1.1513 0.03% --- --- --- 1.1510
331253030 国联安信心基金 估值图 基金吧 档案 --- --- --- --- --- ---
332255010 德盛稳健基金 估值图 基金吧 档案 1.3864 -0.04% --- --- --- 1.3870
333257010 德盛小盘基金 估值图 基金吧 档案 0.7979 -0.14% --- --- --- 0.7990
334257020 德盛精选基金 估值图 基金吧 档案 0.8854 -0.52% --- --- --- 0.8900
335257030 德盛优势基金 估值图 基金吧 档案 1.0304 0.04% --- --- --- 1.0300
336257040 德盛红利基金 估值图 基金吧 档案 0.9855 -0.56% --- --- --- 0.9910
337257050 国联安主题基金 估值图 基金吧 档案 0.9045 -0.50% --- --- --- 0.9090
338260101 景顺优选基金 估值图 基金吧 档案 1.1334 -0.24% --- --- --- 1.1361
339260103 景顺平衡基金 估值图 基金吧 档案 0.7193 -0.15% --- --- --- 0.7204
340260104 景顺增长基金 估值图 基金吧 档案 3.8052 -0.10% --- --- --- 3.8090
341260108 景顺成长基金 估值图 基金吧 档案 0.9066 0.07% --- --- --- 0.9060
342260109 景顺增长贰基金 估值图 基金吧 档案 1.1259 -0.10% --- --- --- 1.1270
343260110 景顺精选基金 估值图 基金吧 档案 0.8203 -0.45% --- --- --- 0.8240
344260111 景顺治理基金 估值图 基金吧 档案 1.2802 -0.53% --- --- --- 1.2870
345260112 景顺能源基建基金 估值图 基金吧 档案 1.1366 -0.73% --- --- --- 1.1450
346270001 广发聚富基金 估值图 基金吧 档案 1.2191 -0.32% --- --- --- 1.2230
347270002 广发稳健基金 估值图 基金吧 档案 1.5216 -0.17% --- --- --- 1.5242
348270005 广发聚丰基金 估值图 基金吧 档案 0.7314 -0.41% --- --- --- 0.7344
349270006 广发优选基金 估值图 基金吧 档案 1.6216 -0.24% --- --- --- 1.6255
350270007 广发大盘基金 估值图 基金吧 档案 0.9006 -0.22% --- --- --- 0.9026
351270008 广发精选基金 估值图 基金吧 档案 1.6226 -0.39% --- --- --- 1.6290
352270009 广发强债基金 估值图 基金吧 档案 1.1272 0.02% --- --- --- 1.1270
353270010 广发300基金 估值图 基金吧 档案 1.3778 -0.59% --- --- --- 1.3860
354270021 广发聚瑞基金 估值图 基金吧 档案 1.0496 -0.32% --- --- --- 1.0530
355270022 广发内需基金 估值图 基金吧 档案 1.0048 -0.32% --- --- --- 1.0080
356270023 广发亚太精选基金 估值图 基金吧 档案 --- --- --- --- --- ---
357288001 华夏经典基金 估值图 基金吧 档案 1.0249 -0.40% --- --- --- 1.0290
358288002 华夏收入基金 估值图 基金吧 档案 2.3886 -0.35% --- --- --- 2.3970
359288102 中信双利基金 估值图 基金吧 档案 1.0814 -0.03% --- --- --- 1.0817
360290002 泰信先行基金 估值图 基金吧 档案 0.6826 0.17% --- --- --- 0.6814
361290003 泰信双息基金 估值图 基金吧 档案 1.0811 0.11% --- --- --- 1.0799
362290004 泰信优质基金 估值图 基金吧 档案 1.2099 -0.27% --- --- --- 1.2132
363290005 泰信优势基金 估值图 基金吧 档案 1.2312 0.02% --- --- --- 1.2310
364290006 泰信蓝筹基金 估值图 基金吧 档案 1.0764 0.11% --- --- --- 1.0752
365290007 泰信强债A基金 估值图 基金吧 档案 1.0195 0.15% --- --- --- 1.0180
366291007 泰信强债C基金 估值图 基金吧 档案 1.0129 -0.06% --- --- --- 1.0135
367310308 申万盛利精选基金 估值图 基金吧 档案 1.0062 -0.47% --- --- --- 1.0110
368310318 申万盛利配置基金 估值图 基金吧 档案 0.9950 0.00 --- --- --- 0.9950
369310328 申万新动力基金 估值图 基金吧 档案 0.7435 -0.25% --- --- --- 0.7454
370310358 申万新经济基金 估值图 基金吧 档案 0.6986 -0.09% --- --- --- 0.6992
371310368 申万竞争优势基金 估值图 基金吧 档案 1.5009 -0.21% --- --- --- 1.5041
372310378 申万添益宝A基金 估值图 基金吧 档案 1.1193 0.03% --- --- --- 1.1190
373310379 申万添益宝B基金 估值图 基金吧 档案 1.1133 0.03% --- --- --- 1.1130
374310388 申万消费增长基金 估值图 基金吧 档案 1.0635 -0.23% --- --- --- 1.0660
375310398 申万300基金 估值图 基金吧 档案 0.8258 -0.86% --- --- --- 0.8330
376320001 诺安平衡基金 估值图 基金吧 档案 0.7726 0.11% --- --- --- 0.7718
377320003 诺安股票基金 估值图 基金吧 档案 1.0020 -0.29% --- --- --- 1.0049
378320004 诺安债券基金 估值图 基金吧 档案 1.1692 0.03% --- --- --- 1.1688
379320005 诺安价值基金 估值图 基金吧 档案 0.9045 -0.26% --- --- --- 0.9069
380320006 诺安配置基金 估值图 基金吧 档案 1.1298 0.25% --- --- --- 1.1270
381320007 诺安成长基金 估值图 基金吧 档案 1.1798 -0.19% --- --- --- 1.1820
382320008 诺安增利A基金 估值图 基金吧 档案 1.0511 0.01% --- --- --- 1.0510
383320009 诺安增利B基金 估值图 基金吧 档案 1.0469 0.18% --- --- --- 1.0450
384320010 诺安100基金 估值图 基金吧 档案 0.7790 -0.64% --- --- --- 0.7840
385320011 诺安中小盘基金 估值图 基金吧 档案 1.1586 -0.21% --- --- --- 1.1610
386320012 诺安主题精选基金 估值图 基金吧 档案 --- --- --- --- --- ---
387340001 兴业转债基金 估值图 基金吧 档案 1.1917 -0.02% --- --- --- 1.1919
388340006 兴业全球视野基金 估值图 基金吧 档案 3.3153 -0.29% --- --- --- 3.3249
389340007 兴业责任基金 估值图 基金吧 档案 1.3604 -0.41% --- --- --- 1.3660
390340008 兴业有机基金 估值图 基金吧 档案 1.1759 -0.40% --- --- --- 1.1806
391340009 兴业磐稳基金 估值图 基金吧 档案 1.0268 0.00 --- --- --- 1.0268
392350001 天治财富基金 估值图 基金吧 档案 0.7792 -0.13% --- --- --- 0.7802
393350002 天治品质基金 估值图 基金吧 档案 0.9278 -0.35% --- --- --- 0.9311
394350005 天治创新基金 估值图 基金吧 档案 1.3616 -0.35% --- --- --- 1.3664
395350006 天治双盈基金 估值图 基金吧 档案 1.0646 0.00 --- --- --- 1.0646
396350007 天治趋势基金 估值图 基金吧 档案 1.0325 -0.24% --- --- --- 1.0350
397360001 光大量化基金 估值图 基金吧 档案 0.8661 -0.59% --- --- --- 0.8712
398360005 光大红利基金 估值图 基金吧 档案 2.2412 -0.56% --- --- --- 2.2538
399360006 光大增长基金 估值图 基金吧 档案 1.2239 -0.34% --- --- --- 1.2281
400360007 光大优势基金 估值图 基金吧 档案 0.7049 -0.54% --- --- --- 0.7087
401360008 光大增利A基金 估值图 基金吧 档案 1.0610 0.09% --- --- --- 1.0600
402360009 光大增利C基金 估值图 基金吧 档案 1.0596 0.06% --- --- --- 1.0590
403360010 光大精选基金 估值图 基金吧 档案 1.0458 -0.51% --- --- --- 1.0512
404360011 光大配置基金 估值图 基金吧 档案 1.0136 -0.24% --- --- --- 1.0160
405360012 光大中小盘基金 估值图 基金吧 档案 1.0170 -0.52% --- --- --- 1.0223
406371020 上投纯债A基金 估值图 基金吧 档案 1.0390 0.00 --- --- --- 1.0390
407371120 上投纯债B基金 估值图 基金吧 档案 1.0330 0.00 --- --- --- 1.0330
408373010 上投双息基金 估值图 基金吧 档案 0.9043 0.09% --- --- --- 0.9035
409373020 上投双核基金 估值图 基金吧 档案 1.1900 -0.30% --- --- --- 1.1936
410375010 上投优势基金 估值图 基金吧 档案 2.1761 -0.67% --- --- --- 2.1908
411377010 上投阿尔法基金 估值图 基金吧 档案 3.0674 -0.50% --- --- --- 3.0828
412377016 上投亚太基金 估值图 基金吧 档案 --- --- --- --- --- ---
413377020 上投内需基金 估值图 基金吧 档案 1.1430 -0.10% --- --- --- 1.1441
414377530 上投轮动基金 估值图 基金吧 档案 1.0026 -0.24% --- --- --- 1.0050
415378010 上投先锋基金 估值图 基金吧 档案 1.5681 -0.51% --- --- --- 1.5761
416379010 上投中小盘基金 估值图 基金吧 档案 1.4270 0.35% --- --- --- 1.4220
417395001 中海债券基金 估值图 基金吧 档案 1.0746 -0.04% --- --- --- 1.0750
418398001 中海优质基金 估值图 基金吧 档案 0.5676 -0.56% --- --- --- 0.5708
419398011 中海分红基金 估值图 基金吧 档案 0.7882 -0.34% --- --- --- 0.7909
420398021 中海能源基金 估值图 基金吧 档案 0.8857 -0.20% --- --- --- 0.8875
421398031 中海蓝筹基金 估值图 基金吧 档案 1.0600 -0.02% --- --- --- 1.0602
422398041 中海量化基金 估值图 基金吧 档案 1.0082 -0.18% --- --- --- 1.0100
423399001 中海50基金 估值图 基金吧 档案 0.8255 -0.42% --- --- --- 0.8290
424400001 东方龙基金 估值图 基金吧 档案 0.6476 -0.39% --- --- --- 0.6501
425400003 东方精选基金 估值图 基金吧 档案 0.9685 -0.25% --- --- --- 0.9709
426400007 东方策略基金 估值图 基金吧 档案 1.3504 -0.42% --- --- --- 1.3561
427400009 东方稳健基金 估值图 基金吧 档案 1.1092 0.02% --- --- --- 1.1090
428400011 东方动力基金 估值图 基金吧 档案 0.8955 -0.18% --- --- --- 0.8971
429410001 华富竞争力基金 估值图 基金吧 档案 0.6924 -0.43% --- --- --- 0.6954
430410003 华富成长基金 估值图 基金吧 档案 0.6922 -0.23% --- --- --- 0.6938
431410004 华富强债A基金 估值图 基金吧 档案 1.1668 -0.02% --- --- --- 1.1670
432410005 华富强债B基金 估值图 基金吧 档案 1.1659 0.00 --- --- --- 1.1659
433410006 华富精选基金 估值图 基金吧 档案 1.0278 -0.10% --- --- --- 1.0288
434410007 华富增长基金 估值图 基金吧 档案 0.8504 -0.58% --- --- --- 0.8554
435410008 华富100基金 估值图 基金吧 档案 0.7914 -0.42% --- --- --- 0.7947
436420001 天弘精选基金 估值图 基金吧 档案 0.6092 -0.20% --- --- --- 0.6104
437420002 天弘债券A基金 估值图 基金吧 档案 1.0263 0.01% --- --- --- 1.0262
438420003 天弘永定基金 估值图 基金吧 档案 1.0975 -0.32% --- --- --- 1.1010
439420005 天弘周期基金 估值图 基金吧 档案 1.0856 0.33% --- --- --- 1.0820
440420102 天弘债券B基金 估值图 基金吧 档案 1.0288 0.06% --- --- --- 1.0282
441450001 国富收益基金 估值图 基金吧 档案 0.6318 0.27% --- --- --- 0.6301
442450002 国富弹性基金 估值图 基金吧 档案 1.3319 0.18% --- --- --- 1.3295
443450003 国富潜力基金 估值图 基金吧 档案 1.0171 -0.18% --- --- --- 1.0189
444450004 国富价值基金 估值图 基金吧 档案 1.3929 0.18% --- --- --- 1.3904
445450005 国富强债A基金 估值图 基金吧 档案 1.0449 0.00 --- --- --- 1.0449
446450006 国富强债C基金 估值图 基金吧 档案 1.0420 -0.04% --- --- --- 1.0424
447450007 国富成长基金 估值图 基金吧 档案 1.2202 -0.12% --- --- --- 1.2217
448450008 国富300基金 估值图 基金吧 档案 0.9926 -0.54% --- --- --- 0.9980
449460001 华泰柏瑞盛世基金 估值图 基金吧 档案 0.6068 -0.05% --- --- --- 0.6071
450460002 华泰柏瑞成长基金 估值图 基金吧 档案 0.9696 -0.28% --- --- --- 0.9723
451460003 华泰柏瑞增利B基金 估值图 基金吧 档案 1.0723 0.05% --- --- --- 1.0718
452460005 华泰柏瑞价值基金 估值图 基金吧 档案 1.3140 -0.12% --- --- --- 1.3156
453460007 华泰柏瑞行业基金 估值图 基金吧 档案 0.8604 -0.30% --- --- --- 0.8630
454460009 华泰柏瑞量化基金 估值图 基金吧 档案 1.0357 -1.36% --- --- --- 1.0500
455470006 汇添富医药保健基金 估值图 基金吧 档案 --- --- --- --- --- ---
456470007 添富上证基金 估值图 基金吧 档案 0.8537 -0.62% --- --- --- 0.8590
457470008 添富回报基金 估值图 基金吧 档案 1.0471 -0.28% --- --- --- 1.0500
458470009 添富民营基金 估值图 基金吧 档案 1.0260 -0.97% --- --- --- 1.0360
459470078 添富增收C基金 估值图 基金吧 档案 1.0756 -0.04% --- --- --- 1.0760
460470888 添富亚澳基金 估值图 基金吧 档案 --- --- --- --- --- ---
461481001 工银价值基金 估值图 基金吧 档案 0.3771 -0.24% --- --- --- 0.3780
462481004 工银成长基金 估值图 基金吧 档案 1.3750 0.32% --- --- --- 1.3706
463481006 工银红利基金 估值图 基金吧 档案 0.9731 -0.24% --- --- --- 0.9754
464481008 工银蓝筹基金 估值图 基金吧 档案 1.1813 0.62% --- --- --- 1.1740
465481009 工银300基金 估值图 基金吧 档案 1.0364 -0.59% --- --- --- 1.0426
466481010 工银中小盘基金 估值图 基金吧 档案 0.9898 -0.32% --- --- --- 0.9930
467483003 工银平衡基金 估值图 基金吧 档案 0.7207 -0.03% --- --- --- 0.7209
468485005 工银强债B基金 估值图 基金吧 档案 1.1313 -0.06% --- --- --- 1.1320
469485007 工银添利B基金 估值图 基金吧 档案 1.1217 0.00 --- --- --- 1.1217
470485011 工银瑞信双利B基金 估值图 基金吧 档案 --- --- --- --- --- ---
471485105 工银强债A基金 估值图 基金吧 档案 1.1505 0.10% --- --- --- 1.1494
472485107 工银添利A基金 估值图 基金吧 档案 1.1346 0.06% --- --- --- 1.1339
473485111 工银瑞信双利A基金 估值图 基金吧 档案 --- --- --- --- --- ---
474486001 工银全球基金 估值图 基金吧 档案 --- --- --- --- --- ---
475486002 工银全球精选基金 估值图 基金吧 档案 --- --- --- --- --- ---
476510010 180治理ETF基金 估值图 基金吧 档案 0.7156 -0.75% --- --- --- 0.7210
477510023 上证超大盘ETF基金 估值图 基金吧 档案 0.1959 -0.58% --- --- --- 0.1970
478510030 上证180价值ETF基金 估值图 基金吧 档案 2.5444 -0.88% --- --- --- 2.5670
479510050 上证50ETF基金 估值图 基金吧 档案 1.9538 -0.77% --- --- --- 1.9690
480510061 上证央企ETF基金 估值图 基金吧 档案 1.2945 1.01% --- --- --- 1.2816
481510070 民企ETF基金 估值图 基金吧 档案 --- --- --- --- --- ---
482510080 长盛全债基金 估值图 基金吧 档案 1.2859 0.02% --- --- --- 1.2856
483510081 长盛精选基金 估值图 基金吧 档案 1.0664 -0.23% --- --- --- 1.0689
484510093 上证责任ETF基金 估值图 基金吧 档案 --- --- --- --- --- ---
485510133 上证中盘ETF基金 估值图 基金吧 档案 --- 0.64% --- --- --- ---
486510160 中证南方小康ETF基金 估值图 基金吧 档案 --- --- --- --- --- ---
487510180 上证180ETF基金 估值图 基金吧 档案 0.6129 -0.66% --- --- --- 0.6170
488510880 红利ETF基金 估值图 基金吧 档案 2.1408 -0.75% --- --- --- 2.1570
489519001 银华价值基金 估值图 基金吧 档案 1.4912 -0.14% --- --- --- 1.4933
490519003 海富增长基金 估值图 基金吧 档案 0.7866 -0.31% --- --- --- 0.7890
491519005 海富股票基金 估值图 基金吧 档案 0.7177 -0.18% --- --- --- 0.7190
492519007 海富回报基金 估值图 基金吧 档案 0.7225 -0.21% --- --- --- 0.7240
493519008 添富优势基金 估值图 基金吧 档案 2.4812 -0.57% --- --- --- 2.4954
494519011 海富精选基金 估值图 基金吧 档案 0.8632 -0.33% --- --- --- 0.8661
495519013 海富优势基金 估值图 基金吧 档案 1.0987 -0.39% --- --- --- 1.1030
496519015 海富精选贰基金 估值图 基金吧 档案 0.6788 -0.32% --- --- --- 0.6810
497519017 大成积极基金 估值图 基金吧 档案 1.1074 -0.23% --- --- --- 1.1100
498519018 添富均衡基金 估值图 基金吧 档案 0.7862 -0.44% --- --- --- 0.7897
499519019 大成景阳基金 估值图 基金吧 档案 0.8638 -0.25% --- --- --- 0.8660
500519021 国泰金鼎基金 估值图 基金吧 档案 1.0040 -0.30% --- --- --- 1.0070
501519023 海富债券C基金 估值图 基金吧 档案 1.1279 -0.01% --- --- --- 1.1280
502519024 海富债券A基金 估值图 基金吧 档案 1.1292 0.02% --- --- --- 1.1290
503519025 海富成长基金 估值图 基金吧 档案 1.2646 -0.11% --- --- --- 1.2660
504519026 海富中小盘基金 估值图 基金吧 档案 1.0619 -0.20% --- --- --- 1.0640
505519027 海富通上证周期ETF联接基金 估值图 基金吧 档案 --- --- --- --- --- ---
506519029 华夏稳增基金 估值图 基金吧 档案 1.7284 -0.38% --- --- --- 1.7350
507519035 富国天博基金 估值图 基金吧 档案 0.8468 -0.70% --- --- --- 0.8528
508519039 长盛同德基金 估值图 基金吧 档案 0.8802 0.15% --- --- --- 0.8789
509519066 添富蓝筹基金 估值图 基金吧 档案 1.4430 -0.48% --- --- --- 1.4500
510519068 添富焦点基金 估值图 基金吧 档案 1.2324 -0.37% --- --- --- 1.2370
511519069 添富价值基金 估值图 基金吧 档案 1.5661 -0.44% --- --- --- 1.5730
512519078 添富增收A基金 估值图 基金吧 档案 1.0810 0.00 --- --- --- 1.0810
513519087 新华分红基金 估值图 基金吧 档案 0.8158 -0.14% --- --- --- 0.8169
514519089 新华成长基金 估值图 基金吧 档案 1.5668 -0.15% --- --- --- 1.5692
515519091 新华资源基金 估值图 基金吧 档案 0.9467 -0.77% --- --- --- 0.9540
516519093 新华企业基金 估值图 基金吧 档案 0.9779 -0.21% --- --- --- 0.9800
517519095 新华轮换基金 估值图 基金吧 档案 --- --- --- --- --- 1.0200
518519100 长盛100基金 估值图 基金吧 档案 0.8010 -0.65% --- --- --- 0.8062
519519110 浦银价值基金 估值图 基金吧 档案 0.8709 -0.24% --- --- --- 0.8730
520519111 浦银收益A基金 估值图 基金吧 档案 1.0440 0.00 --- --- --- 1.0440
521519112 浦银收益C基金 估值图 基金吧 档案 1.0400 0.00 --- --- --- 1.0400
522519113 浦银生活基金 估值图 基金吧 档案 0.9870 0.00 --- --- --- 0.9870
523519115 浦银红利基金 估值图 基金吧 档案 0.8943 -0.30% --- --- --- 0.8970
524519180 万家180基金 估值图 基金吧 档案 0.6344 -0.63% --- --- --- 0.6384
525519181 万家和谐基金 估值图 基金吧 档案 0.6559 -0.14% --- --- --- 0.6568
526519183 万家引擎基金 估值图 基金吧 档案 1.0120 -0.26% --- --- --- 1.0146
527519185 万家精选基金 估值图 基金吧 档案 0.9636 -0.29% --- --- --- 0.9664
528519186 万家稳增A基金 估值图 基金吧 档案 1.0683 0.04% --- --- --- 1.0679
529519187 万家稳增C基金 估值图 基金吧 档案 1.0633 -0.01% --- --- --- 1.0634
530519300 大成300基金 估值图 基金吧 档案 0.8849 -0.58% --- --- --- 0.8901
531519519 华泰柏瑞增利A基金 估值图 基金吧 档案 1.0787 -0.24% --- --- --- 1.0813
532519601 海富海外基金 估值图 基金吧 档案 --- --- --- --- --- ---
533519666 银河银信B基金 估值图 基金吧 档案 1.0378 0.02% --- --- --- 1.0376
534519667 银河银信A基金 估值图 基金吧 档案 1.0485 0.04% --- --- --- 1.0481
535519668 银河成长基金 估值图 基金吧 档案 1.4070 -0.11% --- --- --- 1.4085
536519670 银河行业基金 估值图 基金吧 档案 1.2364 -0.21% --- --- --- 1.2390
537519671 银河300基金 估值图 基金吧 档案 0.8260 -0.84% --- --- --- 0.8330
538519672 银河精选基金 估值图 基金吧 档案 --- --- --- --- --- 1.0060
539519680 交银债券A基金 估值图 基金吧 档案 1.0633 -0.01% --- --- --- 1.0634
540519682 交银债券C基金 估值图 基金吧 档案 1.0557 -0.08% --- --- --- 1.0565
541519686 交银180治理联接基金 估值图 基金吧 档案 0.8129 -0.01% --- --- --- 0.8130
542519688 交银精选基金 估值图 基金吧 档案 0.9093 0.10% --- --- --- 0.9084
543519690 交银稳健基金 估值图 基金吧 档案 1.3895 -0.23% --- --- --- 1.3927
544519692 交银成长基金 估值图 基金吧 档案 2.5232 0.04% --- --- --- 2.5222
545519694 交银蓝筹基金 估值图 基金吧 档案 0.8108 -0.32% --- --- --- 0.8134
546519696 交银环球基金 估值图 基金吧 档案 --- --- --- --- --- ---
547519697 交银保本基金 估值图 基金吧 档案 1.0849 -0.01% --- --- --- 1.0850
548519698 交银先锋基金 估值图 基金吧 档案 1.1867 0.03% --- --- --- 1.1863
549519700 交银主题基金 估值图 基金吧 档案 1.0230 -1.16% --- --- --- 1.0350
550519985 长信中短债基金 估值图 基金吧 档案 1.0029 -0.04% --- --- --- 1.0033
551519987 长信恒利基金 估值图 基金吧 档案 0.9121 0.23% --- --- --- 0.9100
552519989 长信利丰基金 估值图 基金吧 档案 1.0766 0.06% --- --- --- 1.0760
553519991 长信双利基金 估值图 基金吧 档案 0.8739 -0.47% --- --- --- 0.8780
554519993 长信增利基金 估值图 基金吧 档案 0.7783 0.32% --- --- --- 0.7758
555519994 长信金利基金 估值图 基金吧 档案 0.7033 -0.62% --- --- --- 0.7077
556519996 长信银利基金 估值图 基金吧 档案 0.7578 -0.38% --- --- --- 0.7607
557530001 建信价值基金 估值图 基金吧 档案 0.7874 -0.09% --- --- --- 0.7881
558530003 建信成长基金 估值图 基金吧 档案 0.9858 -0.47% --- --- --- 0.9905
559530005 建信配置基金 估值图 基金吧 档案 0.8421 -0.47% --- --- --- 0.8461
560530006 建信精选基金 估值图 基金吧 档案 1.1035 -0.41% --- --- --- 1.1080
561530008 建信增利基金 估值图 基金吧 档案 1.1901 0.09% --- --- --- 1.1890
562530009 建信强债A基金 估值图 基金吧 档案 1.0928 0.07% --- --- --- 1.0920
563530010 建信责任联接基金 估值图 基金吧 档案 1.0288 -1.74% --- --- --- 1.0470
564531009 建信强债C基金 估值图 基金吧 档案 1.0838 -0.20% --- --- --- 1.0860
565539001 建信全球机遇股票基金 估值图 基金吧 档案 --- --- --- --- --- ---
566540001 汇丰2016基金 估值图 基金吧 档案 2.0659 -0.03% --- --- --- 2.0665
567540002 汇丰龙腾基金 估值图 基金吧 档案 1.8136 0.12% --- --- --- 1.8114
568540003 汇丰策略基金 估值图 基金吧 档案 1.1313 0.05% --- --- --- 1.1307
569540004 汇丰2026基金 估值图 基金吧 档案 1.2718 0.01% --- --- --- 1.2717
570540005 汇丰增利基金 估值图 基金吧 档案 1.0053 0.00 --- --- --- 1.0053
571540006 汇丰大盘基金 估值图 基金吧 档案 1.0810 0.08% --- --- --- 1.0801
572540007 汇丰中小盘基金 估值图 基金吧 档案 1.0202 -0.39% --- --- --- 1.0242
573540008 汇丰低碳基金 估值图 基金吧 档案 --- --- --- --- --- 1.0368
574550001 信诚四季红基金 估值图 基金吧 档案 1.0734 -0.44% --- --- --- 1.0781
575550002 信诚精萃基金 估值图 基金吧 档案 0.9304 -0.52% --- --- --- 0.9353
576550003 信诚蓝筹基金 估值图 基金吧 档案 1.9211 -0.46% --- --- --- 1.9300
577550004 信诚三得益A基金 估值图 基金吧 档案 1.0732 0.02% --- --- --- 1.0730
578550005 信诚三得益B基金 估值图 基金吧 档案 1.0613 -0.07% --- --- --- 1.0620
579550006 信诚优债A基金 估值图 基金吧 档案 1.0630 0.09% --- --- --- 1.0620
580550007 信诚优债B基金 估值图 基金吧 档案 1.0531 0.01% --- --- --- 1.0530
581550008 信诚优胜基金 估值图 基金吧 档案 1.0637 -0.59% --- --- --- 1.0700
582550009 信诚中小盘基金 估值图 基金吧 档案 1.0845 -0.32% --- --- --- 1.0880
583560002 益民红利基金 估值图 基金吧 档案 0.6679 -0.31% --- --- --- 0.6700
584560003 益民创新基金 估值图 基金吧 档案 0.8775 0.04% --- --- --- 0.8771
585560005 益民多利基金 估值图 基金吧 档案 1.0634 -0.06% --- --- --- 1.0640
586570001 诺德价值基金 估值图 基金吧 档案 0.9349 -0.16% --- --- --- 0.9364
587570005 诺德成长基金 估值图 基金吧 档案 1.0339 -0.11% --- --- --- 1.0350
588570006 诺德中小盘基金 估值图 基金吧 档案 1.0367 -1.55% --- --- --- 1.0530
589571002 诺德配置基金 估值图 基金吧 档案 1.2280 -0.45% --- --- --- 1.2336
590573003 诺德强债基金 估值图 基金吧 档案 1.0296 0.06% --- --- --- 1.0290
591580001 东吴嘉禾基金 估值图 基金吧 档案 0.8014 -0.21% --- --- --- 0.8031
592580002 东吴动力基金 估值图 基金吧 档案 1.3779 -0.39% --- --- --- 1.3833
593580003 东吴轮动基金 估值图 基金吧 档案 1.2056 0.15% --- --- --- 1.2038
594580005 东吴策略基金 估值图 基金吧 档案 1.2205 -0.18% --- --- --- 1.2227
595580006 东吴新经济基金 估值图 基金吧 档案 1.0422 -0.36% --- --- --- 1.0460
596580007 东吴新创业基金 估值图 基金吧 档案 --- --- --- --- --- ---
597582001 东吴优信A基金 估值图 基金吧 档案 1.0405 -0.03% --- --- --- 1.0408
598582201 东吴优信C基金 估值图 基金吧 档案 1.0347 -0.06% --- --- --- 1.0353
599590001 中邮优选基金 估值图 基金吧 档案 1.3707 -0.39% --- --- --- 1.3761
600590002 中邮成长基金 估值图 基金吧 档案 0.6730 -0.32% --- --- --- 0.6752
601590003 中邮优势基金 估值图 基金吧 档案 1.0157 -0.13% --- --- --- 1.0170
602590005 中邮主题基金 估值图 基金吧 档案 1.0557 -0.97% --- --- --- 1.0660
603610001 信达增长基金 估值图 基金吧 档案 1.0736 -0.27% --- --- --- 1.0765
604610002 信达配置基金 估值图 基金吧 档案 1.3628 -0.09% --- --- --- 1.3640
605610003 信达债券A基金 估值图 基金吧 档案 1.0833 0.12% --- --- --- 1.0820
606610004 信达中小盘基金 估值图 基金吧 档案 1.0901 0.10% --- --- --- 1.0890
607610005 信达澳银红利基金 估值图 基金吧 档案 --- --- --- --- --- 1.0070
608610103 信达债券B基金 估值图 基金吧 档案 1.0756 0.06% --- --- --- 1.0750
609620001 金元保本基金 估值图 基金吧 档案 1.0253 0.01% --- --- --- 1.0252
610620002 金元成长基金 估值图 基金吧 档案 1.0929 -0.10% --- --- --- 1.0940
611620003 金元丰利基金 估值图 基金吧 档案 1.0118 0.38% --- --- --- 1.0080
612620004 金元增长基金 估值图 基金吧 档案 0.9030 -0.33% --- --- --- 0.9060
613620005 金元核心基金 估值图 基金吧 档案 0.9719 -0.22% --- --- --- 0.9740
614620006 金元比联消费主题基金 估值图 基金吧 档案 --- --- --- --- --- ---
615630001 华商领先基金 估值图 基金吧 档案 1.1050 -0.44% --- --- --- 1.1099
616630002 华商盛世基金 估值图 基金吧 档案 1.9932 -0.45% --- --- --- 2.0022
617630003 华商强债A基金 估值图 基金吧 档案 1.1240 0.00 --- --- --- 1.1240
618630005 华商阿尔法基金 估值图 基金吧 档案 1.0395 -0.34% --- --- --- 1.0430
619630006 华商产业基金 估值图 基金吧 档案 1.0396 -1.55% --- --- --- 1.0560
620630007 华商稳健A基金 估值图 基金吧 档案 --- --- --- --- --- ---
621630103 华商强债B基金 估值图 基金吧 档案 1.1220 0.00 --- --- --- 1.1220
622630107 华商稳健B基金 估值图 基金吧 档案 --- --- --- --- --- ---
623660001 农银成长基金 估值图 基金吧 档案 1.1093 -0.21% --- --- --- 1.1116
624660002 农银增利基金 估值图 基金吧 档案 1.1071 0.00 --- --- --- 1.1071
625660003 农银双利基金 估值图 基金吧 档案 1.1223 -0.39% --- --- --- 1.1267
626660004 农银价值基金 估值图 基金吧 档案 1.0672 -0.17% --- --- --- 1.0690
627660005 农银中小盘基金 估值图 基金吧 档案 1.1121 -0.08% --- --- --- 1.1130
628660006 农银汇理大盘蓝筹基金 估值图 基金吧 档案 --- --- --- --- --- ---
629690001 民生蓝筹基金 估值图 基金吧 档案 1.1792 -0.24% --- --- --- 1.1820
630690002 民生强债A基金 估值图 基金吧 档案 1.0863 0.03% --- --- --- 1.0860
631690003 民生精选基金 估值图 基金吧 档案 0.9858 -0.12% --- --- --- 0.9870
632690004 民生稳健基金 估值图 基金吧 档案 1.0289 -0.97% --- --- --- 1.0390
633690202 民生强债C基金 估值图 基金吧 档案 1.0797 -0.12% --- --- --- 1.0810
比较

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