混合基金净值排行榜_混合基金最新净值查询 - 华西证券 - 第404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
工银瑞信沪港深精选灵活配置混合A 005197 0.61 1.25% 0.05% -1.25% -7.99% 1.42% 6.8% -3.41% -39.4% 详情
华夏远见成长一年持有期混合C 016251 0.61 -0.15% -2.42% -3.35% -10.1% -18.05% -20.21% -23.06% -39.44% 详情
广发创业板两年定期开放混合 162720 0.61 -1.35% -0.77% -3.35% -9.79% -16.95% -20.22% -23.37% -39.44% 详情
兴银高端制造混合A 011765 0.61 -0.71% -1.11% -6.12% -14.6% -18.72% -14% -20.14% -39.44% 详情
兴业消费精选混合A 010617 0.61 -0.44% -1.42% -4.1% -11.54% -12.47% -12.99% -18.16% -39.47% 详情
海通红利优选一年持有期混合B 850006 0.61 0.68% -1.77% -3.86% -7.83% -0.02% 7.34% 4.25% -30.1% 详情
泓德产业升级混合C 013862 0.61 -1.34% 0.03% -0.93% -6.26% -10.09% -10.68% -18.44% -39.48% 详情
海通红利优选一年持有期混合A 850688 0.61 0.67% -1.79% -3.88% -7.84% -0.03% 7.32% 4.24% -30.12% 详情
东方红智华三年持有期混合C 012840 0.61 -1.18% -1.67% -5.54% -8.76% -5.64% -8.08% -14.59% -39.49% 详情
鹏扬中国优质成长混合A 011837 0.61 -0.38% -1.77% -3.46% -9.71% -8% -9.2% -14.33% -39.49% 详情
华商新常态灵活配置混合C 016070 0.6 -0.33% -0.82% -4.27% -12.06% -11.94% -17.35% -22.34% -38.27% 详情
交银施罗德内核驱动混合 008507 0.6 -0.05% -0.26% -4.05% -12.91% -15.86% -16.07% -24.8% -39.51% 详情
大成景阳领先混合C 017772 0.6 -0.58% -2.33% -9.04% -15.38% -10.93% -12.85% -11.71% -25.79% 详情
宝盈成长精选混合C 013896 0.6 -0.48% -1.55% -2.59% -11.38% -14.1% -17.33% -16.02% -39.52% 详情
长安优势行业混合C 015344 0.6 0.23% 0.92% -3.14% -13.24% -15.66% -13.56% -19.43% -39.53% 详情
广发沪港深医药混合A 014114 0.6 -0.12% -1.14% -4.29% -8.1% -8.45% -16.62% -12.17% -39.55% 详情
博时凤凰领航混合C 013451 0.6 -0.25% -0.58% -2.26% -10.5% -8.82% -9.37% -13.52% -39.55% 详情
财通资管均衡价值一年持有期混合 009950 0.6 -0.71% -3.06% -6.41% -10.37% -12.7% -18.45% -31.61% -39.58% 详情
建信智能生活混合 011503 0.6 -0.69% -0.71% 3.12% -6.34% -4.07% -9.14% -13.2% -39.59% 详情
海富通消费优选混合C 010422 0.6 -0.95% -1.85% -6.73% -17.4% -20.8% -22.26% -22.42% -39.6% 详情
本页面基金相关数据非实时更新
更新日期为: 2024-09-14 05:48:42
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