基金代码基金简称上周净值(元)涨跌幅%184713基金科翔1.96847.57184712基金科汇1.94766.93184722基金久嘉1.7487.05184719基金融鑫1.68136.3184688基金开元1.63556.31184720基金久富1.6266.32184708基金兴科1.62074.69184703基金金盛1.61995.94184702基金同智1.54522.96184718基金兴安1.53445.49184696基金裕华1.53157.7184698基金天元1.51764.23184690基金同益1.48743.16184721基金丰和1.41272.34184728基金鸿阳1.41152.51184705基金裕泽1.40875.41184689基金普惠1.39064.9184709基金安久1.37864.93500058基金银丰
1.3694.66184692基金裕隆1.36734.61184693基金普丰1.34753.55184700基金鸿飞1.33323.11184691基金景宏1.32923.91184738基金通宝1.32584.16184706基金天华1.30255.92184695基金景博1.28653.41184699基金同盛1.26483.43184710基金隆元1.23916.87184701基金景福1.21071.05184711基金普华1.12255.33
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