|
| @代码 |
名称 |
交易价 |
净值代码 |
基金净值 |
升贴水值 |
折价率 |
|
| 510880 |
红利ETF |
4.817 |
495303N |
4.703 |
-0.114 |
2.42% |
|
| 510180 |
180ETF |
11.951 |
491105N |
3.078 |
-8.873 |
288.30% |
|
| 510180 |
180ETF |
11.951 |
491105N |
3.119 |
-8.832 |
283.17% |
|
| 510050 |
上证50ETF |
4.126 |
495001N |
4.078 |
-0.048 |
1.18% |
|
| 500058 |
基金银丰 |
1.740 |
500058N |
2.250 |
0.510 |
-22.67% |
|
| 500056 |
基金科瑞 |
3.019 |
500056N |
4.029 |
1.010 |
-25.06% |
|
| 500039 |
基金同德 |
2.610 |
500039N |
2.933 |
0.323 |
-11.00% |
|
| 500038 |
基金通乾 |
2.497 |
500038N |
3.324 |
0.827 |
-24.89% |
|
| 500029 |
基金科讯 |
3.475 |
500029N |
3.691 |
0.216 |
-5.84% |
|
| 500025 |
基金汉鼎 |
2.073 |
500025N |
2.438 |
0.365 |
-14.95% |
|
| 500018 |
基金兴和 |
2.170 |
500018N |
3.281 |
1.111 |
-33.87% |
|
| 500015 |
基金汉兴 |
1.738 |
500015N |
2.457 |
0.719 |
-29.27% |
|
| 500011 |
基金金鑫 |
2.220 |
500011N |
3.154 |
0.934 |
-29.61% |
|
| 500009 |
基金安顺 |
2.331 |
500009N |
3.210 |
0.879 |
-27.38% |
|
| 500008 |
基金兴华 |
2.680 |
500008N |
3.805 |
1.125 |
-29.56% |
|
| 500007 |
基金景阳 |
3.737 |
500007N |
3.970 |
0.233 |
-5.86% |
|
| 500006 |
基金裕阳 |
2.510 |
500006N |
3.433 |
0.923 |
-26.88% |
|
| 500005 |
基金汉盛 |
2.488 |
500005N |
3.438 |
0.950 |
-27.62% |
|
| 500003 |
基金安信 |
2.550 |
500003N |
3.501 |
0.951 |
-27.15% |
|
| 500002 |
基金泰和 |
2.444 |
500002N |
3.120 |
0.676 |
-21.67% |
|
| 500001 |
基金金泰 |
2.675 |
500001N |
3.706 |
1.031 |
-27.81% |
|
| 184728 |
基金鸿阳 |
1.983 |
184728N |
2.756 |
0.773 |
-28.05% |
|
| 184722 |
基金久嘉 |
2.907 |
184722N |
3.851 |
0.944 |
-24.51% |
|
| 184721 |
基金丰和 |
2.104 |
184721N |
2.909 |
0.805 |
-27.67% |
|
| 184719 |
基金融鑫 |
3.151 |
184719N |
3.471 |
0.320 |
-9.21% |
|
| 184718 |
基金兴安 |
3.836 |
184718N |
3.950 |
0.114 |
-2.89% |
|
| 184713 |
基金科翔 |
4.494 |
184713N |
5.114 |
0.620 |
-12.13% |
|
| 184712 |
基金科汇 |
3.950 |
184712N |
4.531 |
0.581 |
-12.83% |
|
| 184710 |
基金隆元 |
3.840 |
184710N |
3.973 |
0.133 |
-3.35% |
|
| 184706 |
基金天华 |
2.040 |
184706N |
2.657 |
0.617 |
-23.22% |
|
| 184705 |
基金裕泽 |
2.699 |
184705N |
3.436 |
0.737 |
-21.46% |
|
| 184703 |
基金金盛 |
3.336 |
184703N |
4.112 |
0.776 |
-18.88% |
|
| 184701 |
基金景福 |
2.194 |
184701N |
3.024 |
0.830 |
-27.44% |
|
| 184700 |
基金鸿飞 |
3.068 |
184700N |
3.423 |
0.355 |
-10.37% |
|
| 184699 |
基金同盛 |
1.971 |
184699N |
2.774 |
0.803 |
-28.96% |
|
| 184698 |
基金天元 |
2.490 |
184698N |
3.369 |
0.879 |
-26.10% |
|
| 184693 |
基金普丰 |
2.251 |
184693N |
3.153 |
0.902 |
-28.60% |
|
| 184692 |
基金裕隆 |
2.664 |
184692N |
3.531 |
0.867 |
-24.55% |
|
| 184691 |
基金景宏 |
2.470 |
184691N |
3.260 |
0.790 |
-24.24% |
|
| 184690 |
基金同益 |
2.300 |
184690N |
3.201 |
0.901 |
-28.16% |
|
| 184689 |
基金普惠 |
2.790 |
184689N |
3.808 |
1.018 |
-26.74% |
|
| 184688 |
基金开元 |
2.607 |
184688N |
3.404 |
0.797 |
-23.40% |
|
| 159902 |
中小板ETF |
2.802 |
491307N |
2.795 |
-0.007 |
0.25% |
|
| 159901 |
深100ETF |
5.535 |
491707N |
5.504 |
-0.031 |
0.56% |
|
| @平均值 |
-- |
3.256 |
-- |
3.471 |
0.214 |
-5.64% |
|
| @代码 |
名称 |
交易价 |
净值代码 |
基金净值 |
升贴水值 |
折价率 |
|
|
|