万份收益 3个月
单位净值 3个月
单位净值 3个月
1 2 3
热门产品:
基金代码
基金名称
最新净值
涨幅
涨幅
涨幅
涨幅
涨幅
 
378546
0.65502017-03-27
--
--
4.97%
6.02%
22.63%
34.04%
39.96%
519983
1.76702017-03-28
--
--
4.41%
14.50%
29.49%
31.16%
13.88%
240022
1.30502017-03-28
--
--
12.85%
12.21%
31.71%
24.12%
28.76%
202019
1.61802017-03-28
--
--
4.63%
13.71%
26.22%
24.04%
9.41%
420003
1.97932017-03-28
--
--
4.40%
9.13%
22.38%
23.80%
22.64%
000216
1.04432017-03-28
--
--
1.91%
-3.15%
4.14%
23.19%
23.93%
161724
1.12102017-03-28
--
--
10.46%
17.30%
36.88%
23.19%
20.37%
000217
1.04022017-03-28
--
--
1.88%
-3.19%
4.10%
23.11%
23.99%
519975
1.08902017-03-28
--
--
2.72%
9.00%
26.76%
22.76%
9.23%
210004
1.56402017-03-28
--
--
6.91%
20.79%
41.96%
21.86%
11.32%