混合基金净值排行榜_混合基金最新净值查询 - 华西证券 - 第442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
长城品质成长混合C 010411 0.5 0.06% -2.22% -5.65% -12.44% -11.93% -15.2% -20.29% -50.25% 详情
信澳智远三年持有期混合A 014254 0.5 -1.31% -2.22% -7.89% -16.47% -18.99% -29.74% -32.71% -50.26% 详情
金元顺安价值增长混合 620004 0.5 -0.32% -1% -4.55% -15.71% -20.43% -24.88% -28.34% -50.27% 详情
华夏智造升级混合A 016075 0.5 -1.31% -1.02% -0.6% -20.68% -23.11% -27.64% -31.07% -50.28% 详情
汇安鑫利优选混合A 010558 0.5 -0.8% -1.95% -6.56% -11.8% -16.98% -18.52% -23.33% -50.28% 详情
汇添富成长先锋六个月持有期混合C 012156 0.5 0.16% -0.04% -1.51% -7.3% -1.72% 2.6% -3.78% -50.34% 详情
长城兴华优选一年定期开放混合A 012312 0.5 -0.74% -3.16% -6.88% -15.22% -16.77% -14.96% -23.68% -50.36% 详情
瑞达鑫红量化6个月持有期混合A 012977 0.5 -0.86% -3.22% -7.53% -17.65% -23.66% -17.71% -20.68% -50.37% 详情
尚正新能源产业混合A 015732 0.5 -1.96% -2.03% -4.21% -16.46% -22.05% -24.81% -32.53% -50.38% 详情
招商创新增长混合C 009361 0.5 -1.41% -3.48% -9.08% -13.88% -22.87% -29.73% -24.5% -50.41% 详情
长城健康消费混合C 020693 0 -1% -2% -2% -11% -13% -5% 0% -5% 详情
华夏核心成长混合A 012703 0.5 -1.92% -2.29% -6.58% -15.68% -20.74% -26.62% -29.47% -50.43% 详情
申万菱信乐同混合C 013086 0.5 -1.76% -2.99% -4.4% -17.92% -22.4% -33.83% -32.62% -50.43% 详情
大摩基础行业混合 233001 0.5 -1.71% 0.36% -1.55% -10.04% -13.99% -13.14% -15.2% 76.98% 详情
工银瑞信成长精选混合C 011070 0.5 -0.28% -2.19% -4.29% -11.52% -14.23% -20.96% -22.63% -50.45% 详情
银华瑞祥一年持有期混合 011733 0.5 0.98% 1.58% -5.8% -13.9% -18.1% -12.19% -18.54% -50.45% 详情
博时健康生活混合C 012087 0.5 -0.3% -1.55% -4.1% -10.72% -14.2% -20.02% -18.33% -50.47% 详情
工银瑞信兴瑞一年持有期混合C 012889 0.49 0.28% -1.86% -4.81% -13.07% -17.96% -25.71% -25.25% -50.52% 详情
广发瑞锦一年定期开放混合 011481 0.49 -0.48% -1.96% -5.88% -8.44% -10.72% -18.96% -22.93% -50.52% 详情
民生加银双核动力混合A 012495 0.49 -0.42% -0.5% -5.82% -12.46% -13.66% -22.47% -26.22% -50.52% 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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