混合基金净值排行榜_混合基金最新净值查询 - 华西证券 - 第114页
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华西证券全部混合基金

基金名称 代码 最新净值 日幅度 近1周 近1月 近3月 近6月 今年以来 近1年 成立以来 浏览
民生加银康宁稳健养老目标一年持有期混合(FOF)Y 017283 1.14 0.01% -0.31% -0.64% -1.8% -1.17% -0.88% -1.93% -2.58% 详情
景顺长城安盈回报一年持有期混合C 011998 1.14 0.41% -0.58% -2.26% -4.23% 2.26% 4.87% 4.19% 14.24% 详情
银华稳健增利灵活配置混合C 005261 1.14 -0.81% -2.09% -6.18% -14.29% -16.4% -14.79% -19.19% 14.23% 详情
鹏华价值驱动混合 008132 1.14 -0.7% -0.64% -4.18% -10.17% -9.08% -7.2% -11.15% 14.22% 详情
博时汇悦回报混合 006813 1.14 -0.03% -1.79% -3.6% -11.68% -7.99% -10.32% -14.89% 14.2% 详情
光大保德信风格轮动混合C 007499 1.14 -0.61% -1.72% -4.27% -8.86% -9.37% -18.43% -21.02% 18.51% 详情
浦银安盛红利精选混合C 014029 1.14 -0.3% -1.88% -9.79% -16.32% -20.62% -28.09% -20.26% -44.81% 详情
中信建投稳利混合A 000804 1.14 -0.17% -1.48% -2.08% -7.47% -5.27% -7.04% -8.44% 10.44% 详情
淳厚欣享一年持有期混合A 009931 1.14 -0.89% -0.54% -3.13% -10.42% -5.94% -1.04% -5.2% 14.11% 详情
南方信息创新混合C 007491 1.14 -1.34% -1.14% -10.09% -14.74% -17.7% -24.92% -25.77% 14.11% 详情
建信弘利灵活配置混合A 002378 1.14 -1.81% -5.51% -13.61% -24.71% -32.92% -39.47% -34.36% 8.46% 详情
前海开源人工智能主题灵活配置混合 001986 1.14 1.33% 2.52% -1.89% -9.87% -10.09% -16.1% -24.19% 14.1% 详情
睿远均衡价值三年持有期混合A 008969 1.14 -0.48% -1.49% -1.29% -7.84% -1.46% 0.33% -9.53% 14.09% 详情
大成尊享18个月持有期混合A 009493 1.14 -0.07% -0.67% -1.31% -1.93% 0.1% 2.1% 2.77% 14.08% 详情
易方达资源行业混合 110025 1.14 -0.87% -1.89% -7.92% -16.42% -13.04% -4.12% -5.16% 14% 详情
兴银丰运稳益回报混合A 009205 1.14 -0.53% -1.62% -3.28% -8.41% -8.44% -8.38% -10.98% 13.98% 详情
工银瑞信新兴制造混合C 009708 1.14 -0.38% -1.52% -6.05% -4.17% 5.9% -0.64% -8.02% 13.96% 详情
银华尊和养老目标日期2035三年持有期混合(FOF)Y 017273 1.14 -0.1% -0.87% -2.28% -6.91% -6.5% -7.81% -11.32% -15.91% 详情
鹏华安泽混合C 009097 1.14 0.04% 0.18% 0.4% -0.71% -0.45% 1.13% 1.23% 13.95% 详情
国寿安保稳吉混合A 004756 1.14 -0.04% -0.31% -0.58% -0.58% 1.91% 4.02% 1.77% 41.85% 详情
本页面基金相关数据非实时更新
更新日期为: 2024-09-14 05:48:20
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