混合基金净值排行榜_混合基金最新净值查询 - 华西证券 - 第433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
湘财长兴灵活配置混合C 009170 0.53 -0.66% -0.26% -2.78% -10.23% -20.87% -27.24% -31.46% -47.18% 详情
信澳量化先锋混合(LOF)A 166109 0.53 -0.98% -2.57% -6.15% -17.33% -28.64% -35.37% -35.83% -31.51% 详情
工银瑞信景气优选混合C 011885 0.53 -0.13% -1.31% -3.67% -5.65% -5.73% -5.04% -11.88% -47.21% 详情
中信建投睿信灵活配置混合A 000926 0.53 -0.57% -1.82% -5.36% -9.41% -11.67% -17.75% -20.14% -47.23% 详情
诺德优势产业混合 010878 0.53 -1.49% -4.95% -9.61% -18.11% -21.31% -19.44% -29.8% -47.23% 详情
汇丰晋信研究精选混合 014423 0.53 -0.19% 1.38% -2.57% -8.35% -13.45% -21.29% -30.45% -47.23% 详情
华泰柏瑞行业严选混合A 011111 0.53 0.19% -0.3% -8.31% -17.02% -17.67% -23.4% -23.36% -47.24% 详情
东吴行业轮动混合C 011240 0.53 -0.26% -1.11% -4.75% -13.17% -10.28% -13.84% -19.09% -46.4% 详情
富国稳健增长混合C 010625 0.53 -0.73% -2.98% -7.67% -18.02% -19.07% -22.55% -28.44% -47.28% 详情
湘财长顺混合C 007013 0.53 -0.34% -0.88% -3.23% -9.43% -8.66% -19.28% -23.84% 11.15% 详情
平安研究睿选混合A 009661 0.53 -1.35% -0.87% -0.38% -10.36% -15.56% -19.12% -26.99% -47.3% 详情
中欧睿泽混合A 011710 0.53 -1.59% -3.52% -9.82% -20.1% -26.04% -29.39% -38.41% -47.3% 详情
新华鑫益灵活配置混合A 014150 0.53 -0.88% -0.98% -3.5% -16.21% -17.68% -16.57% -22.52% -47.33% 详情
兴全合兴混合(LOF)C 010670 0.53 -0.02% -0.51% -4.71% -11.78% -9.66% -9.74% -14.1% -26.75% 详情
益民品质升级灵活配置混合A 001135 0.53 -1.74% -1.92% -4.93% -6.77% -2.45% -21.43% -19.51% -47.36% 详情
广发聚鸿六个月持有期混合E 011140 0.53 -1.05% -2.16% -4.84% -13.21% -17.76% -19.8% -25.73% -47.36% 详情
鹏华品质精选混合C 012786 0.53 -0.81% -0.64% -2.68% -8.85% -10.87% -11.4% -20.22% -47.36% 详情
益民品质升级灵活配置混合C 020970 1 -2% -2% -5% -7% -3% 0% 0% 0% 详情
国金鑫意医药消费混合A 009507 0.53 -0.47% -1.92% -5.52% -9.09% -17.14% -19.87% -28.65% -47.42% 详情
博道睿见一年持有期混合 010755 0.53 -0.02% -0.53% -5.04% -10.22% -14.11% -23.63% -32.35% -47.48% 详情
本页面基金相关数据非实时更新
更新日期为: 2024-09-14 05:48:45
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