日期:2023-08-14 21:16:47作者:人气:1
002939基金最新净值002939基金净值
单位:元
1,515330基民账户:净值1.1930元,估值0.9275元,估值涨幅1.77%
2,005939基金净值:,单位净值1.1933元,估值0.7189元,估值涨幅1.55%
3,000289基金最新净值:,单位净值1.1072元,估值1.123元,估值涨幅1.53%
4,005226基金最新净值:,单位净值1.1032元,估值0.8325元,估值涨幅1.53%
5,003962基金最新净值:,单位净值1.1032元,估值0.7738元,估值涨幅1.58%
6,006457基金最新净值:,单位净值1.1553元,估值1.09元,估值涨幅1.54%
7,007012基金最新净值:,单位净值1.1083元,估值0.7515元,估值涨幅1.52%
8,006209基金最新净值:,单位净值1.1098元,估值0.7238元,估值0.7257元,涨幅1.51%
9,007088基金最新净值:,单位净值1.1098元,估值0.7082元,涨幅1.54%
10,008712基金最新净值:,单位净值1.1480元,估值0.7862元,涨幅1.51%
11,009018基金最新净值:,单位净值1.1082元,估值0.7492元,涨幅1.51%
12,009117基金