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1100060富國高新技術(shù)產(chǎn)業(yè)股票估值圖基金凈值1.80801.80801.73301.73300.07504.33%開(kāi)放開(kāi)放購買(mǎi)
2020021國泰上證180金融聯(lián)接估值圖基金凈值1.51081.51081.45461.45460.05623.86%開(kāi)放開(kāi)放購買(mǎi)
3165521信誠中證800金融指數分級估值圖基金凈值1.07101.67601.03201.63700.03903.78%開(kāi)放開(kāi)放---

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4161211國投滬深300金融地產(chǎn)ET估值圖基金凈值1.33861.33861.29121.29120.04743.67%開(kāi)放開(kāi)放購買(mǎi)
5000820華安中證高分紅指數增強A估值圖基金凈值0.96320.96320.93060.93060.03263.50%開(kāi)放開(kāi)放---

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6000821華安中證高分紅指數增強C估值圖基金凈值0.95730.95730.92500.92500.03233.49%開(kāi)放開(kāi)放---

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7519027海富通上證周期聯(lián)接估值圖基金凈值1.19501.19501.15501.15500.04003.46%開(kāi)放開(kāi)放購買(mǎi)
8240016華寶上證180聯(lián)接估值圖基金凈值1.35901.38901.31501.34500.04403.35%開(kāi)放開(kāi)放購買(mǎi)
9000835華潤元大富時(shí)中國A50指數估值圖基金凈值1.35701.35701.31601.31600.04103.12%開(kāi)放開(kāi)放購買(mǎi)
10110003易方達上證50估值圖基金凈值0.98002.83000.95082.80080.02923.07%開(kāi)放開(kāi)放購買(mǎi)
11530010建信責任聯(lián)接估值圖基金凈值1.48361.48361.43951.43950.04413.06%開(kāi)放開(kāi)放購買(mǎi)
12519671銀河滬深300價(jià)值估值圖基金凈值1.15101.15101.11801.11800.03302.95%開(kāi)放開(kāi)放購買(mǎi)
13240019華寶上證180成長(cháng)聯(lián)接估值圖基金凈值1.39601.39601.35601.35600.04002.95%開(kāi)放開(kāi)放購買(mǎi)
14160716嘉實(shí)基本面50估值圖基金凈值1.04151.04151.01171.01170.02982.95%開(kāi)放開(kāi)放購買(mǎi)
15310398申萬(wàn)滬深300估值圖基金凈值1.13831.13831.10601.10600.03232.92%開(kāi)放開(kāi)放購買(mǎi)
16399001中海上證50估值圖基金凈值1.03501.03501.00601.00600.02902.88%開(kāi)放開(kāi)放購買(mǎi)
17160625鵬華證券保險分級估值圖基金凈值1.34101.93001.30401.89300.03702.84%開(kāi)放開(kāi)放購買(mǎi)
18000950易方達滬深300非銀行ET估值圖基金凈值0.99500.99500.96770.96770.02732.82%開(kāi)放開(kāi)放購買(mǎi)
19610002信達澳銀精華配置估值圖基金凈值1.71002.13001.66502.08500.04502.70%開(kāi)放開(kāi)放購買(mǎi)
20000828泰達轉型機遇估值圖基金凈值1.03401.25401.00701.22700.02702.68%開(kāi)放開(kāi)放購買(mǎi)
21202005南方成份精選估值圖基金凈值1.08541.38541.05711.35710.02832.68%開(kāi)放開(kāi)放購買(mǎi)
22519686交銀180治理聯(lián)接估值圖基金凈值1.16001.16001.13001.13000.03002.65%開(kāi)放開(kāi)放購買(mǎi)
23213010寶盈中證100增強估值圖基金凈值1.09001.09001.06201.06200.02802.64%開(kāi)放開(kāi)放購買(mǎi)
24162213泰達宏利大盤(pán)指數估值圖基金凈值1.37651.39651.34171.36170.03482.59%開(kāi)放開(kāi)放購買(mǎi)
25320010諾安中證100估值圖基金凈值1.01601.01600.99100.99100.02502.52%開(kāi)放開(kāi)放購買(mǎi)
26519100長(cháng)盛中證100估值圖基金凈值1.00891.66990.98411.64510.02482.52%開(kāi)放開(kāi)放購買(mǎi)
27240014華寶中證100估值圖基金凈值1.04651.04651.02101.02100.02552.50%開(kāi)放開(kāi)放購買(mǎi)
28410008華富中證100估值圖基金凈值1.03331.03331.00821.00820.02512.49%開(kāi)放開(kāi)放購買(mǎi)
29163808中銀中證100估值圖基金凈值1.00101.01100.97700.98700.02402.46%開(kāi)放開(kāi)放---

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30161607融通巨潮100估值圖基金凈值1.08502.59901.05902.57300.02602.46%開(kāi)放開(kāi)放購買(mǎi)
31162307海富通中證100估值圖基金凈值1.04801.04801.02301.02300.02502.44%開(kāi)放開(kāi)放購買(mǎi)
32162509國聯(lián)安雙禧中證100估值圖基金凈值1.38401.17101.35101.14700.03302.44%開(kāi)放開(kāi)放購買(mǎi)
33050201博時(shí)價(jià)值增長(cháng)二號估值圖基金凈值0.72302.17800.70602.16100.01702.41%開(kāi)放開(kāi)放購買(mǎi)
34050013博時(shí)上證超大盤(pán)聯(lián)接估值圖基金凈值0.85250.85250.83250.83250.02002.40%開(kāi)放開(kāi)放購買(mǎi)
35000251工銀金融地產(chǎn)股票估值圖基金凈值2.38802.38802.33202.33200.05602.40%開(kāi)放開(kāi)放購買(mǎi)
36040180華安上證180聯(lián)接估值圖基金凈值1.23571.23571.20711.20710.02862.37%開(kāi)放開(kāi)放購買(mǎi)
37050001博時(shí)價(jià)值增長(cháng)估值圖基金凈值0.82103.32300.80203.30400.01902.37%開(kāi)放開(kāi)放購買(mǎi)
38260104景順長(cháng)城內需增長(cháng)估值圖基金凈值4.86506.68104.75406.57000.11102.33%開(kāi)放開(kāi)放購買(mǎi)
39163407興全滬深300估值圖基金凈值1.26531.26531.23671.23670.02862.31%開(kāi)放開(kāi)放購買(mǎi)
40540006匯豐晉信大盤(pán)估值圖基金凈值1.80341.86341.76331.82330.04012.27%開(kāi)放開(kāi)放購買(mǎi)
41260109景順長(cháng)城內需增長(cháng)貳號估值圖基金凈值1.12702.92301.10202.89800.02502.27%開(kāi)放開(kāi)放購買(mǎi)
42180003銀華道瓊斯88估值圖基金凈值1.01912.81910.99652.79650.02262.27%開(kāi)放開(kāi)放購買(mǎi)
43519180萬(wàn)家180估值圖基金凈值0.84813.18810.82953.16950.01862.24%開(kāi)放開(kāi)放購買(mǎi)
44161507銀河滬深300成長(cháng)分級估值圖基金凈值1.17001.22701.14501.20200.02502.18%開(kāi)放開(kāi)放購買(mǎi)
45161720招商中證全指證券公司指數分估值圖基金凈值1.02101.02101.00001.00000.02102.10%開(kāi)放開(kāi)放---

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46260108景順長(cháng)城新興成長(cháng)估值圖基金凈值0.84002.20000.82302.18300.01702.07%開(kāi)放開(kāi)放購買(mǎi)
47100038富國量化滬深300估值圖基金凈值1.29101.29101.26501.26500.02602.06%開(kāi)放開(kāi)放購買(mǎi)
48050002博時(shí)滬深300估值圖基金凈值1.07373.05371.05233.03230.02142.03%開(kāi)放開(kāi)放購買(mǎi)
49540002匯豐晉信龍騰估值圖基金凈值1.61582.86181.58382.82980.03202.02%開(kāi)放開(kāi)放購買(mǎi)
50040023華安可轉債債券B估值圖基金凈值1.64301.64301.61101.61100.03201.99%限大額開(kāi)放購買(mǎi)
51160910大成創(chuàng )新成長(cháng)混合估值圖基金凈值1.03702.24801.01702.22800.02001.97%開(kāi)放開(kāi)放購買(mǎi)
52163415興全商業(yè)模式優(yōu)選股票估值圖基金凈值1.71901.71901.68601.68600.03301.96%限大額開(kāi)放購買(mǎi)
53040022華安可轉債債券A估值圖基金凈值1.66801.66801.63601.63600.03201.96%限大額開(kāi)放購買(mǎi)
54000311景順長(cháng)城滬深300增強估值圖基金凈值1.62501.62501.59401.59400.03101.94%開(kāi)放開(kāi)放購買(mǎi)
55163001長(cháng)信中證央企100估值圖基金凈值1.20901.20901.18601.18600.02301.94%開(kāi)放開(kāi)放購買(mǎi)
56270010廣發(fā)滬深300估值圖基金凈值1.58501.87501.55501.84500.03001.93%開(kāi)放開(kāi)放購買(mǎi)
57160417華安滬深300指數分級估值圖基金凈值1.32601.40901.30101.38400.02501.92%開(kāi)放開(kāi)放購買(mǎi)
58100051富國可轉換債券估值圖基金凈值1.49101.49101.46301.46300.02801.91%限大額開(kāi)放購買(mǎi)
59620005金元惠理核心動(dòng)力估值圖基金凈值1.12001.12001.09901.09900.02101.91%開(kāi)放開(kāi)放購買(mǎi)
60160615鵬華滬深300估值圖基金凈值1.33401.39401.30901.36900.02501.91%開(kāi)放開(kāi)放購買(mǎi)
61050010博時(shí)特許價(jià)值估值圖基金凈值1.39101.83101.36501.80500.02601.90%開(kāi)放開(kāi)放購買(mǎi)
62100053富國上證綜指聯(lián)接估值圖基金凈值1.23401.23401.21101.21100.02301.90%開(kāi)放開(kāi)放購買(mǎi)
63160807長(cháng)盛滬深300估值圖基金凈值1.18401.23401.16201.21200.02201.89%開(kāi)放開(kāi)放購買(mǎi)
64161719招商可轉債分級債券估值圖基金凈值0.97001.63800.95201.62000.01801.89%暫停開(kāi)放---

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65470007匯添富上證綜指估值圖基金凈值1.14001.14001.11901.11900.02101.88%開(kāi)放開(kāi)放購買(mǎi)
66110030易方達滬深300量化增強估值圖基金凈值1.70691.70691.67551.67550.03141.87%開(kāi)放開(kāi)放購買(mǎi)
67167901華宸未來(lái)滬深300估值圖基金凈值1.41701.41701.39101.39100.02601.87%開(kāi)放開(kāi)放購買(mǎi)
68161811銀華滬深300指數分級估值圖基金凈值0.98201.21300.96401.19500.01801.87%開(kāi)放開(kāi)放購買(mǎi)
69200002長(cháng)城久泰滬深300估值圖基金凈值1.41244.27241.38664.24660.02581.86%開(kāi)放開(kāi)放購買(mǎi)
70180033銀華上證50等權聯(lián)接估值圖基金凈值1.31501.31501.29101.29100.02401.86%開(kāi)放開(kāi)放購買(mǎi)
71660008農銀滬深300估值圖基金凈值1.14121.14121.12041.12040.02081.86%開(kāi)放開(kāi)放購買(mǎi)
72167601國金滬深300指數分級估值圖基金凈值0.99001.57000.97201.54100.01801.85%開(kāi)放開(kāi)放購買(mǎi)
73481009工銀滬深300估值圖基金凈值1.29231.48731.26891.46390.02341.84%開(kāi)放開(kāi)放購買(mǎi)
74202015南方滬深300ETF聯(lián)接估值圖基金凈值1.26121.42121.23841.39840.02281.84%開(kāi)放開(kāi)放購買(mǎi)
75165515信誠滬深300分級估值圖基金凈值1.21901.30801.19701.28600.02201.84%開(kāi)放開(kāi)放購買(mǎi)
76160706嘉實(shí)滬深300ETF聯(lián)接估值圖基金凈值0.97842.84640.96092.82890.01751.82%開(kāi)放開(kāi)放購買(mǎi)
77164812工銀增利分級債券估值圖基金凈值1.17501.19201.15401.17100.02101.82%暫停暫停

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78165310建信雙利分級估值圖基金凈值1.23101.32701.20901.30500.02201.82%開(kāi)放開(kāi)放購買(mǎi)
79460300華泰柏瑞滬深300聯(lián)接估值圖基金凈值1.48041.48041.45401.45400.02641.82%開(kāi)放開(kāi)放購買(mǎi)
80165309建信滬深300估值圖基金凈值1.05021.05021.03151.03150.01871.81%開(kāi)放開(kāi)放購買(mǎi)
81110020易方達滬深300ETF聯(lián)接估值圖基金凈值1.12921.12921.10911.10910.02011.81%開(kāi)放開(kāi)放購買(mǎi)
82000613國壽安保滬深300指數估值圖基金凈值1.54191.54191.51451.51450.02741.81%開(kāi)放開(kāi)放購買(mǎi)
83040002華安中國A股增強估值圖基金凈值0.73603.45200.72303.40900.01301.80%開(kāi)放開(kāi)放購買(mǎi)
84161207國投瑞銀滬深300估值圖基金凈值1.41601.06201.39101.04400.02501.80%開(kāi)放開(kāi)放購買(mǎi)
85166802浙商滬深300指數分級估值圖基金凈值1.24801.32901.22601.30700.02201.79%開(kāi)放開(kāi)放購買(mǎi)
86519116浦銀滬深300增強估值圖基金凈值1.13501.13501.11501.11500.02001.79%開(kāi)放開(kāi)放購買(mǎi)
87000051華夏滬深300ETF聯(lián)接估值圖基金凈值1.07901.07901.06001.06000.01901.79%開(kāi)放開(kāi)放購買(mǎi)
88000961天弘滬深300指數型發(fā)起式估值圖基金凈值1.05441.05441.03591.03590.01851.79%開(kāi)放開(kāi)放---

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89217010招商大盤(pán)藍籌估值圖基金凈值1.77802.15801.74702.12700.03101.77%開(kāi)放開(kāi)放購買(mǎi)
90161721招商滬深300地產(chǎn)指數分級估值圖基金凈值1.09001.09001.07101.07100.01901.77%開(kāi)放開(kāi)放---

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91000939中銀研究精選靈活配置混合估值圖基金凈值1.04001.04001.02201.02200.01801.76%開(kāi)放開(kāi)放---

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92050019博時(shí)轉債增強債券A估值圖基金凈值1.51901.52401.49301.49800.02601.74%暫停開(kāi)放

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93162207泰達宏利效率優(yōu)選估值圖基金凈值1.31003.15081.28773.09710.02231.73%開(kāi)放開(kāi)放購買(mǎi)
94450008國富滬深300估值圖基金凈值1.30101.30101.27901.27900.02201.72%開(kāi)放開(kāi)放購買(mǎi)
95519300大成滬深300指數估值圖基金凈值1.12872.53871.10972.51970.01901.71%開(kāi)放開(kāi)放購買(mǎi)
96161826銀華中證轉債指數增強分級估值圖基金凈值0.89301.42300.87801.40800.01501.71%開(kāi)放開(kāi)放購買(mǎi)
97050119博時(shí)轉債增強債券C估值圖基金凈值1.50901.51301.48401.48800.02501.68%暫停開(kāi)放

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98020011國泰滬深300估值圖基金凈值0.72501.03700.71301.02000.01201.68%開(kāi)放開(kāi)放購買(mǎi)
99200008長(cháng)城品牌優(yōu)選估值圖基金凈值1.04131.04131.02411.02410.01721.68%限大額開(kāi)放購買(mǎi)
100200012長(cháng)城中小盤(pán)成長(cháng)估值圖基金凈值1.21301.21301.19301.19300.02001.68%開(kāi)放開(kāi)放購買(mǎi)
101000313華安滬深300增強C估值圖基金凈值1.40201.40201.37901.37900.02301.67%開(kāi)放開(kāi)放---

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102160628鵬華地產(chǎn)分級估值圖基金凈值1.40401.41401.38101.39100.02301.67%開(kāi)放開(kāi)放購買(mǎi)
103550016信誠添金分級債券歲歲添金估值圖基金凈值1.22301.51301.20301.49300.02001.66%暫停暫停

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104000312華安滬深300增強A估值圖基金凈值1.41501.41501.39201.39200.02301.65%開(kāi)放開(kāi)放---

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119470059匯添富可轉換債券C估值圖基金凈值1.62901.69901.60501.67500.02401.50%限大額開(kāi)放購買(mǎi)
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123000656前海開(kāi)源滬深300指數估值圖基金凈值1.50901.50901.48701.48700.02201.48%開(kāi)放開(kāi)放購買(mǎi)
124163816中銀轉債增強債券A估值圖基金凈值2.15202.15202.12102.12100.03101.46%開(kāi)放開(kāi)放---

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125519087新華優(yōu)選分紅估值圖基金凈值1.04843.51451.03333.49020.01511.46%開(kāi)放開(kāi)放購買(mǎi)
126580006東吳新經(jīng)濟估值圖基金凈值1.33201.33201.31301.31300.01901.45%開(kāi)放開(kāi)放購買(mǎi)
127165312建信央視50估值圖基金凈值1.22841.29461.21101.27720.01741.44%開(kāi)放開(kāi)放購買(mǎi)
128163817中銀轉債增強債券B估值圖基金凈值2.12102.12102.09102.09100.03001.43%開(kāi)放開(kāi)放---

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129161625融通標普中國可轉債指數C估值圖基金凈值1.34401.45401.32501.43500.01901.43%開(kāi)放開(kāi)放購買(mǎi)
130540003匯豐晉信動(dòng)態(tài)策略估值圖基金凈值1.62001.74001.59711.71710.02291.43%開(kāi)放開(kāi)放購買(mǎi)
131000684長(cháng)盛養老健康產(chǎn)業(yè)靈活配置估值圖基金凈值1.21301.21301.19601.19600.01701.42%開(kāi)放開(kāi)放購買(mǎi)
132540012匯豐晉信A股龍頭指數估值圖基金凈值1.33251.33251.31401.31400.01851.41%開(kāi)放開(kāi)放購買(mǎi)
133000432中銀優(yōu)秀企業(yè)股票估值圖基金凈值1.38101.38101.36201.36200.01901.40%開(kāi)放開(kāi)放---

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134000042財通可持續發(fā)展100估值圖基金凈值1.45801.45801.43801.43800.02001.39%開(kāi)放開(kāi)放購買(mǎi)
135161816銀華中證等權90分級估值圖基金凈值1.42200.99301.40300.98100.01901.35%開(kāi)放開(kāi)放購買(mǎi)
136257030國聯(lián)安德盛優(yōu)勢估值圖基金凈值1.05001.60601.03601.59200.01401.35%開(kāi)放開(kāi)放購買(mǎi)
137000080天治可轉債A估值圖基金凈值1.36701.36701.34901.34900.01801.33%開(kāi)放開(kāi)放購買(mǎi)
138257050國聯(lián)安主題驅動(dòng)估值圖基金凈值1.42801.42801.41001.41000.01801.28%開(kāi)放開(kāi)放購買(mǎi)
139000081天治可轉債C估值圖基金凈值1.35801.35801.34101.34100.01701.27%開(kāi)放開(kāi)放購買(mǎi)
140000916前海開(kāi)源股息率100強股票估值圖基金凈值1.04401.04401.03101.03100.01301.26%開(kāi)放開(kāi)放購買(mǎi)
141519069匯添富價(jià)值精選估值圖基金凈值2.02402.64001.99902.61500.02501.25%開(kāi)放開(kāi)放購買(mǎi)
142000536前海開(kāi)源可轉債債券估值圖基金凈值1.46101.46101.44301.44300.01801.25%開(kāi)放開(kāi)放---

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143161606融通行業(yè)景氣估值圖基金凈值0.89502.83500.88402.82400.01101.24%開(kāi)放開(kāi)放購買(mǎi)
144161907萬(wàn)家中證紅利指數估值圖基金凈值1.28661.28661.27081.27080.01581.24%開(kāi)放開(kāi)放購買(mǎi)
145080010長(cháng)盛同禧信增債券C估值圖基金凈值1.30601.30601.29001.29000.01601.24%開(kāi)放開(kāi)放購買(mǎi)
146510900易方達恒生ETF估值圖基金凈值1.08861.08861.07541.07540.01321.23%場(chǎng)內場(chǎng)內---

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147485107工銀信用添利債券A估值圖基金凈值1.36911.67811.35251.66150.01661.23%限大額開(kāi)放購買(mǎi)
148481008工銀大盤(pán)藍籌估值圖基金凈值1.15701.56701.14301.55300.01401.22%開(kāi)放開(kāi)放購買(mǎi)
149485007工銀信用添利債券B估值圖基金凈值1.36111.64511.34471.62870.01641.22%限大額開(kāi)放購買(mǎi)
150080009長(cháng)盛同禧信增債券A估值圖基金凈值1.32801.32801.31201.31200.01601.22%開(kāi)放開(kāi)放購買(mǎi)
151320006諾安靈活配置估值圖基金凈值1.75202.33201.73102.31100.02101.21%開(kāi)放開(kāi)放購買(mǎi)
152090010大成中證紅利指數估值圖基金凈值1.25301.25301.23801.23800.01501.21%開(kāi)放開(kāi)放購買(mǎi)
153660006農銀大盤(pán)藍籌估值圖基金凈值1.15441.15441.14081.14080.01361.19%開(kāi)放開(kāi)放購買(mǎi)
154161718招商滬深300高貝塔指數分估值圖基金凈值1.36301.40801.34701.39200.01601.19%開(kāi)放開(kāi)放購買(mǎi)
155400018東方央視財經(jīng)50指數估值圖基金凈值1.28251.28251.26751.26750.01501.18%開(kāi)放開(kāi)放---

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156090003大成藍籌穩健估值圖基金凈值0.81923.38920.80973.37970.00951.17%開(kāi)放開(kāi)放購買(mǎi)
157310518申萬(wàn)可轉換債券估值圖基金凈值1.64701.79701.62801.77800.01901.17%開(kāi)放開(kāi)放購買(mǎi)
158100032富國中證紅利指數增強估值圖基金凈值1.48502.18601.46802.16700.01701.16%開(kāi)放開(kāi)放購買(mǎi)
159450003國富潛力組合估值圖基金凈值1.39141.81041.37551.79450.01591.16%開(kāi)放開(kāi)放購買(mǎi)
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161000877華泰柏瑞量化優(yōu)選混合估值圖基金凈值1.05411.05411.04211.04210.01201.15%開(kāi)放開(kāi)放購買(mǎi)
162110031易方達恒生ETF聯(lián)接估值圖基金凈值1.08951.08951.07711.07710.01241.15%開(kāi)放開(kāi)放購買(mǎi)
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165000928中融國企改革混合估值圖基金凈值1.06101.06101.04901.04900.01201.14%開(kāi)放開(kāi)放---

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166240018華寶可轉債估值圖基金凈值1.50411.50411.48721.48720.01691.14%開(kāi)放開(kāi)放購買(mǎi)
167050123博時(shí)天頤債券C估值圖基金凈值1.15901.40201.14601.38900.01301.13%開(kāi)放開(kāi)放購買(mǎi)
168000289鵬華豐泰定期開(kāi)放債券估值圖基金凈值1.07501.14701.06301.13500.01201.13%暫停暫停

購買(mǎi)

169165809東吳轉債估值圖基金凈值0.99301.43300.98201.42200.01101.12%開(kāi)放開(kāi)放購買(mǎi)
170050023博時(shí)天頤債券A估值圖基金凈值1.17501.42801.16201.41500.01301.12%開(kāi)放開(kāi)放購買(mǎi)
171530019建信社會(huì )責任股票估值圖基金凈值1.90901.90901.88801.88800.02101.11%開(kāi)放開(kāi)放購買(mǎi)
172000296鵬華豐實(shí)定期開(kāi)放債券B估值圖基金凈值1.09101.16201.07901.15000.01201.11%暫停暫停

購買(mǎi)

173000295鵬華豐實(shí)定期開(kāi)放債券A估值圖基金凈值1.09201.16801.08001.15600.01201.11%暫停暫停

購買(mǎi)

174161831銀華恒生國企指數分級估值圖基金凈值1.09711.11791.08511.10590.01201.11%開(kāi)放開(kāi)放購買(mǎi)
175110032易方達恒生聯(lián)接現匯估值圖基金凈值0.17680.17680.17490.17490.00191.09%開(kāi)放開(kāi)放---

購買(mǎi)

176110033易方達恒生聯(lián)接現鈔估值圖基金凈值0.17680.17680.17490.17490.00191.09%開(kāi)放開(kāi)放---

購買(mǎi)

177000756建信潛力新藍籌股票估值圖基金凈值1.21501.21501.20201.20200.01301.08%暫停暫停

購買(mǎi)

178160806長(cháng)盛同慶估值圖基金凈值1.31001.20301.29601.19100.01401.08%開(kāi)放開(kāi)放購買(mǎi)
179000532景順長(cháng)城優(yōu)勢企業(yè)估值圖基金凈值1.50401.50401.48801.48800.01601.08%開(kāi)放開(kāi)放購買(mǎi)
180162208泰達宏利首選企業(yè)估值圖基金凈值1.63201.95201.61471.93470.01731.07%開(kāi)放開(kāi)放購買(mǎi)
181000003中?赊D債A估值圖基金凈值1.13401.34401.12201.33200.01201.07%開(kāi)放開(kāi)放購買(mǎi)
182530016建信恒穩價(jià)值估值圖基金凈值1.70401.80401.68601.78600.01801.07%開(kāi)放開(kāi)放購買(mǎi)
183000004中?赊D債C估值圖基金凈值1.13601.34601.12401.33400.01201.07%開(kāi)放開(kāi)放購買(mǎi)
184000405信誠月月支付估值圖基金凈值1.24701.24701.23401.23400.01301.05%開(kāi)放開(kāi)放購買(mǎi)
185630008華商策略精選估值圖基金凈值1.38801.38801.37401.37400.01401.02%開(kāi)放開(kāi)放購買(mǎi)
186263001景順長(cháng)城上證180聯(lián)接估值圖基金凈值1.50001.50001.48501.48500.01501.01%開(kāi)放開(kāi)放購買(mǎi)
187160607鵬華價(jià)值優(yōu)勢估值圖基金凈值1.10303.64501.09203.61300.01101.01%開(kāi)放開(kāi)放購買(mǎi)
188164205天弘深證成份指數估值圖基金凈值0.90300.90300.89400.89400.00901.01%開(kāi)放開(kāi)放購買(mǎi)
189370023上投中證消費指數估值圖基金凈值1.31201.49201.29901.47900.01301.00%開(kāi)放開(kāi)放購買(mǎi)
190260110景順長(cháng)城精選藍籌估值圖基金凈值1.31501.31501.30201.30200.01301.00%開(kāi)放開(kāi)放購買(mǎi)
191050024博時(shí)上證自然資源聯(lián)接估值圖基金凈值0.79970.79970.79180.79180.00791.00%開(kāi)放開(kāi)放購買(mǎi)
192161601融通新藍籌估值圖基金凈值0.98733.28230.97783.27280.00950.97%開(kāi)放開(kāi)放購買(mǎi)
193202107南方廣利債券C估值圖基金凈值1.46201.56201.44801.54800.01400.97%限大額開(kāi)放購買(mǎi)
194630016華商價(jià)值共享混合估值圖基金凈值1.89002.04001.87202.02200.01800.96%開(kāi)放開(kāi)放購買(mǎi)
195163109申萬(wàn)深指分級估值圖基金凈值0.71530.84190.70850.83510.00680.96%開(kāi)放開(kāi)放購買(mǎi)
196398041中海量化策略估值圖基金凈值1.16101.19801.15001.18700.01100.96%開(kāi)放開(kāi)放購買(mǎi)
197202105南方廣利債券A/B估值圖基金凈值1.48501.58501.47101.57100.01400.95%限大額開(kāi)放購買(mǎi)
198166105信達增利估值圖基金凈值1.07101.11901.06101.10800.01000.94%封閉期封閉期---

購買(mǎi)

199000293鵬華豐信分級債券B估值圖基金凈值1.07201.23501.06201.22300.01000.94%暫停暫停

購買(mǎi)

200160505博時(shí)主題行業(yè)估值圖基金凈值2.69504.75302.67004.72800.02500.94%開(kāi)放開(kāi)放購買(mǎi)

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