010141基金净值查询
010141基金净值查询?很多人都不懂001256基金净值今曰估值查询。因为“005620基金净值查询今天”与广大基民们息息相关,下面,恒生指数网就010141基金净值查询问题进行介绍。
000251基金净值查询今日
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006300 | 1.0194 | 1.0944 | 1.0344 | 1.0944 |
0.08%
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008068 | 1.0193 | 1.0193 | 1.0193 | 1.0193 |
0.00%
|
002438 | 1.0190 | 1.2180 | 1.0190 | 1.2180 |
0.08%
|
007890 | 1.0190 | 1.0360 | 1.0190 | 1.0360 | --- |
010146 | 1.0190 | 1.0190 | 1.0190 | 1.0190 |
0.00%
|
010310 | 1.0190 | 1.0190 | 1.0190 | 1.0190 |
0.00%
|
007958 | 1.0189 | 1.0407 | 1.0189 | 1.0407 | --- |
003277 | 1.0187 | 1.1532 | 1.0187 | 1.1532 |
0.08%
|
006431 | 1.0184 | 1.0184 | 1.0184 | 1.0184 |
0.08%
|
005556 | 1.0183 | 1.1391 | 1.0183 | 1.1391 |
0.08%
|
008588 | 1.0182 | 1.0182 | 1.0182 | 1.0182 |
0.00%
|
006927 | 1.0181 | 1.0701 | 1.0181 | 1.0701 | --- |
160128 | 1.0180 | 1.5850 | 1.0180 | 1.5850 |
0.08%
|
161614 | 1.0180 | 1.4760 | 1.0180 | 1.4760 |
0.08%
|
001960 | 1.0180 | 1.1670 | 1.0180 | 1.1670 |
0.01%
|
008578 | 1.0178 | 1.0178 | 1.0178 | 1.0178 |
0.04%
|
009271 | 1.0178 | 1.0245 | 1.0178 | 1.0245 |
0.08%
|
000839 | 1.0176 | 1.1866 | 1.0176 | 1.1866 |
0.08%
|
003002 | 1.0166 | 1.0166 | 1.0166 | 1.0166 |
0.00%
|
006954 | 1.0166 | 1.2596 | 1.0166 | 1.2596 | --- |
009748 | 1.0163 | 1.0163 | 1.0163 | 1.0163 |
0.06%
|
000465 | 1.0160 | 1.3850 | 1.0160 | 1.3850 |
0.06%
|
002073 | 1.0160 | 1.2380 | 1.0160 | 1.2380 |
0.08%
|
010986 | 1.0160 | 1.0600 | 1.0160 | 1.0600 |
0.00%
|
005731 | 1.0158 | 1.1208 | 1.0158 | 1.1208 | --- |
009272 | 1.0158 | 1.0215 | 1.0158 | 1.0215 |
0.00%
|
161911 | 1.0157 | 1.4957 | 1.0157 | 1.4957 |
0.08%
|
004838 | 1.0156 | 1.1047 | 1.0156 | 1.1047 |
0.08%
|
009192 | 1.0156 | 1.0196 | 1.0156 | 1.0196 |
0.00%
|
010145 | 1.0156 | 1.0156 | 1.0156 | 1.0156 |
0.04%
|
004021 | 1.0155 | 1.1712 | 1.0155 | 1.1712 | --- |
007122 | 1.0154 | 1.0534 | 1.0154 | 1.0534 |
0.04%
|
008267 | 1.0154 | 1.0154 | 1.0154 | 1.0154 | --- |
007946 | 1.0153 | 1.0370 | 1.0153 | 1.0370 |
0.05%
|
008996 | 1.0152 | 1.0152 | 1.0152 | 1.0152 |
0.00%
|
007699 | 1.0151 | 1.0351 | 1.0151 | 1.0351 |
0.035%
|
002074 | 1.0150 | 1.2250 | 1.0150 | 1.2250 |
0.00%
|
004780 | 1.0150 | 1.1596 | 1.0150 | 1.1596 |
0.04%
|
000673 | 1.0150 | 1.0260 | 1.0150 | 1.0260 |
0.00%
|
004980 | 1.0149 | 1.0149 | 1.0149 | 1.0149 | --- |
006978 | 1.0149 | 1.0304 | 1.0149 | 1.0304 |
0.06%
|
008455 | 1.0148 | 1.0148 | 1.0148 | 1.0148 |
0.00%
|
010068 | 1.0148 | 1.0148 | 1.0148 | 1.0148 |
0.08%
|
011077 | 1.0146 | 1.0146 | 1.0146 | 1.0146 |
0.15%
|
008517 | 1.0144 | 1.0264 | 1.0144 | 1.0264 | --- |
010168 | 1.0143 | 1.0143 | 1.0143 | 1.0143 |
0.035%
|
005648 | 1.0142 | 1.1375 | 1.0142 | 1.1375 | --- |
519785 | 1.0141 | 1.1405 | 1.0141 | 1.1405 |
0.00%
|
006576 | 1.0141 | 1.0970 | 1.0141 | 1.0970 | --- |
007175 | 1.0141 | 1.0551 | 1.0141 | 1.0551 | --- |
002445 | 1.0140 | 1.1290 | 1.0140 | 1.1290 |
0.06%
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012042 | 1.0140 | 1.0140 | 1.0140 | 1.0140 |
0.00%
|
010169 | 1.0138 | 1.0138 | 1.0138 | 1.0138 |
0.00%
|
006427 | 1.0136 | 1.1064 | 1.0136 | 1.1064 | --- |
009196 | 1.0135 | 1.0135 | 1.0135 | 1.0135 |
0.035%
|
010069 | 1.0133 | 1.0133 | 1.0133 | 1.0133 |
0.00%
|
008257 | 1.0131 | 1.0181 | 1.0131 | 1.0181 | --- |
002268 | 1.0130 | 1.1220 | 1.0130 | 1.1220 |
0.06%
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003528 | 1.0130 | 1.1470 | 1.0130 | 1.1470 | --- |
005047 | 1.0130 | 1.0130 | 1.0130 | 1.0130 |
0.06%
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202306 | 1.0129 | 1.0129 | 1.0129 | 1.0129 |
0.00%
|
010223 | 1.0128 | 1.0128 | 1.0128 | 1.0128 |
0.03%
|
007744 | 1.0127 | 1.0127 | 1.0127 | 1.0127 |
0.05%
|
005996 | 1.0125 | 1.0845 | 1.0125 | 1.0845 |
0.08%
|
009389 | 1.0125 | 1.0125 | 1.0125 | 1.0125 |
0.07%
|
005367 | 1.0123 | 1.1304 | 1.0123 | 1.1304 |
0.00%
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基金净值查询值查询系统
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003051 | 1.0260 | 1.1460 | 1.0263 | 1.1463 |
0.08%
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006985 | 1.0249 | 1.0609 | 1.0252 | 1.0612 |
0.06%
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006172 | 1.0232 | 1.1051 | 1.0235 | 1.1054 |
0.08%
|
000347 | 1.0231 | 1.3567 | 1.0234 | 1.3570 |
0.00%
|
008380 | 1.0203 | 1.0203 | 1.0206 | 1.0206 |
0.05%
|
006173 | 1.0195 | 1.0937 | 1.0198 | 1.0940 |
0.00%
|
008379 | 1.0195 | 1.0195 | 1.0198 | 1.0198 |
0.00%
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519947 | 1.0077 | 1.0077 | 1.0080 | 1.0080 |
0.08%
|
010270 | 1.0066 | 1.0066 | 1.0069 | 1.0069 |
0.00%
|
010475 | 1.0052 | 1.0052 | 1.0055 | 1.0055 |
0.08%
|
007172 | 1.0048 | 1.0678 | 1.0051 | 1.0681 |
0.00%
|
007171 | 1.0046 | 1.0641 | 1.0049 | 1.0644 |
0.04%
|
011397 | 1.0021 | 1.0021 | 1.0024 | 1.0024 |
0.10%
|
011398 | 1.0017 | 1.0017 | 1.0020 | 1.0020 |
0.00%
|
009938 | 0.9911 | 1.0411 | 0.9914 | 1.0414 |
0.00%
|
010816 | 0.9899 | 0.9899 | 0.9902 | 0.9902 |
0.08%
|
010790 | 0.9762 | 0.9762 | 0.9765 | 0.9765 |
0.15%
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010791 | 0.9742 | 0.9742 | 0.9745 | 0.9745 |
0.00%
|
010027 | 0.9379 | 0.9379 | 0.9382 | 0.9382 |
0.15%
|
002482 | 2.8380 | 2.8380 | 2.8390 | 2.8390 |
0.15%
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610004 | 2.6730 | 2.6730 | 2.6740 | 2.6740 |
0.15%
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005233 | 2.6298 | 2.6298 | 2.6309 | 2.6309 |
0.12%
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519133 | 2.4900 | 2.9350 | 2.4910 | 2.9360 |
0.15%
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000165 | 2.4520 | 3.3460 | 2.4530 | 3.3470 |
0.15%
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000242 | 2.4370 | 2.9870 | 2.4380 | 2.9880 |
0.15%
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485114 | 2.4330 | 2.4330 | 2.4340 | 2.4340 |
0.00%
|
001272 | 2.2990 | 2.2990 | 2.3000 | 2.3000 |
0.15%
|
485014 | 2.2940 | 2.2940 | 2.2950 | 2.2950 |
0.00%
|
519003 | 2.2650 | 3.9150 | 2.2660 | 3.9160 |
0.15%
|
000462 | 2.2026 | 2.2026 | 2.2034 | 2.2034 |
0.15%
|
161037 | 2.0084 | 2.0084 | 2.0092 | 2.0092 |
0.12%
|
004234 | 1.9215 | 1.9215 | 1.9222 | 1.9222 |
0.00%
|
002220 | 1.8907 | 1.8907 | 1.8914 | 1.8914 |
0.15%
|
163804 | 1.8157 | 4.1822 | 1.8165 | 4.1830 |
0.15%
|
320020 | 1.7735 | 2.5850 | 1.7742 | 2.5861 |
0.15%
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007799 | 1.6833 | 1.6833 | 1.6839 | 1.6839 |
0.00%
|
160322 | 1.6199 | 1.6699 | 1.6206 | 1.6706 |
0.15%
|
006247 | 1.6164 | 1.6164 | 1.6170 | 1.6170 |
0.00%
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003626 | 1.1936 | 1.2232 | 1.1941 | 1.2237 |
0.08%
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003328 | 1.1831 | 1.2410 | 1.1836 | 1.2415 |
0.00%
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007735 | 1.1796 | 1.3311 | 1.1801 | 1.3316 |
0.00%
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420102 | 1.1626 | 1.8382 | 1.1631 | 1.8387 |
0.08%
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001862 | 1.1615 | 1.3115 | 1.1620 | 1.3120 |
0.80%
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420002 | 1.1613 | 1.7818 | 1.1618 | 1.7823 |
0.00%
|
006717 | 1.1588 | 1.1588 | 1.1593 | 1.1593 |
0.00%
|
004533 | 1.1510 | 1.1510 | 1.1515 | 1.1515 |
0.00%
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007762 | 1.1404 | 1.1404 | 1.1409 | 1.1409 |
0.08%
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010789 | 1.1381 | 1.1381 | 1.1385 | 1.1385 |
0.00%
|
164705 | 1.1378 | 1.2828 | 1.1382 | 1.2832 |
0.12%
|
001863 | 1.1373 | 1.2873 | 1.1378 | 1.2878 |
0.00%
|
519187 | 1.1347 | 1.6487 | 1.1351 | 1.6491 |
0.00%
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161015 | 1.1338 | 1.8241 | 1.1343 | 1.8247 |
0.00%
|
004586 | 1.1277 | 1.2137 | 1.1281 | 1.2141 |
0.00%
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009260 | 1.1218 | 1.1218 | 1.1222 | 1.1222 |
0.06%
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002734 | 1.1189 | 1.5299 | 1.1193 | 1.5303 |
0.08%
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002946 | 1.1171 | 1.1171 | 1.1175 | 1.1175 |
0.08%
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南方医保基金净值查询
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008146 | 1.0079 | 1.0300 | 1.0078 | 1.0299 |
0.03%
|
010567 | 1.0077 | 1.0077 | 1.0076 | 1.0076 |
0.00%
|
010083 | 1.0076 | 1.0161 | 1.0075 | 1.0160 |
0.08%
|
010725 | 1.0075 | 1.0075 | 1.0074 | 1.0074 |
0.08%
|
010473 | 1.0075 | 1.0075 | 1.0074 | 1.0074 |
0.08%
|
003651 | 1.0073 | 1.1521 | 1.0072 | 1.1520 |
0.08%
|
007189 | 1.0072 | 1.0372 | 1.0071 | 1.0371 |
0.60%
|
006481 | 1.0071 | 1.0619 | 1.0070 | 1.0618 |
0.10%
|
007365 | 1.0071 | 1.0421 | 1.0070 | 1.0420 |
0.00%
|
008881 | 1.0070 | 1.0070 | 1.0069 | 1.0069 |
0.00%
|
000134 | 1.0069 | 1.0247 | 1.0129 | 1.0246 |
0.80%
|
010513 | 1.0069 | 1.0069 | 1.0068 | 1.0068 |
0.80%
|
000952 | 1.0066 | 1.0066 | 1.0065 | 1.0065 |
0.00%
|
000951 | 1.0066 | 1.0066 | 1.0065 | 1.0065 |
0.00%
|
006319 | 1.0066 | 1.0756 | 1.0065 | 1.0755 |
0.04%
|
000141 | 1.0061 | 1.3326 | 1.0060 | 1.3325 |
0.00%
|
009749 | 1.0059 | 1.0259 | 1.0058 | 1.0258 |
0.06%
|
010498 | 1.0059 | 1.0059 | 1.0058 | 1.0058 |
0.06%
|
007998 | 1.0056 | 1.0546 | 1.0055 | 1.0545 |
0.00%
|
010514 | 1.0056 | 1.0056 | 1.0055 | 1.0055 |
0.00%
|
004928 | 1.0055 | 1.0055 | 1.0054 | 1.0054 |
0.08%
|
004409 | 2.0355 | 2.0355 | 2.0354 | 2.0354 |
0.00%
|
001706 | 1.9790 | 1.9790 | 1.9790 | 1.9790 |
0.15%
|
001480 | 1.9680 | 1.9680 | 1.9680 | 1.9680 |
0.15%
|
004957 | 1.9625 | 2.0185 | 1.9625 | 2.0185 |
0.00%
|
001638 | 1.9240 | 1.9240 | 1.9240 | 1.9240 |
0.15%
|
001659 | 1.9164 | 1.9164 | 1.9164 | 1.9164 |
0.15%
|
630007 | 1.7970 | 1.8580 | 1.7970 | 1.8580 |
0.08%
|
002256 | 1.7910 | 1.7910 | 1.7910 | 1.7910 |
0.15%
|
001397 | 1.7855 | 1.7855 | 1.7855 | 1.7855 |
0.15%
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161115 | 1.7630 | 2.3470 | 1.7630 | 2.3470 |
0.08%
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000236 | 1.7580 | 1.7580 | 1.7580 | 1.7580 |
0.08%
|
001162 | 1.7560 | 1.7560 | 1.7560 | 1.7560 |
0.15%
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002263 | 1.7480 | 1.7480 | 1.7480 | 1.7480 |
0.15%
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050106 | 1.7390 | 2.1230 | 1.7390 | 2.1230 |
0.08%
|
001763 | 1.7090 | 1.7090 | 1.7090 | 1.7090 |
0.15%
|
050006 | 1.6920 | 2.0530 | 1.6920 | 2.0530 |
0.00%
|
100072 | 1.6880 | 1.7180 | 1.6880 | 1.7180 |
0.08%
|
001547 | 1.6840 | 1.6840 | 1.6840 | 1.6840 |
0.15%
|
002923 | 1.6780 | 1.6780 | 1.6780 | 1.6780 |
0.00%
|
000916 | 1.6540 | 1.9550 | 1.6540 | 1.9550 |
0.15%
|
002322 | 1.6430 | 1.6430 | 1.6430 | 1.6430 |
0.00%
|
100073 | 1.6150 | 1.6450 | 1.6150 | 1.6450 |
0.00%
|
002017 | 1.6120 | 1.8200 | 1.6120 | 1.8200 |
0.00%
|
001264 | 1.6040 | 1.6640 | 1.6040 | 1.6640 |
0.06%
|
011391 | 1.5870 | 1.6520 | 1.5870 | 1.6520 |
0.00%
|
001276 | 1.5620 | 1.5620 | 1.5620 | 1.5620 |
0.15%
|
217022 | 1.5570 | 1.7970 | 1.5570 | 1.7970 |
0.08%
|
009317 | 1.5435 | 2.4762 | 1.5435 | 2.4762 |
0.12%
|
100053 | 1.5380 | 1.5380 | 1.5380 | 1.5380 |
0.15%
|
006802 | 1.5378 | 1.5378 | 1.5378 | 1.5378 |
0.00%
|
160514 | 1.5360 | 1.6360 | 1.5360 | 1.6360 |
0.00%
|
001178 | 1.5360 | 2.1160 | 1.5360 | 2.1160 |
0.15%
|
519661 | 1.5350 | 1.8350 | 1.5350 | 1.8350 |
0.00%
|
165526 | 1.5280 | 1.5280 | 1.5280 | 1.5280 |
0.15%
|
002088 | 1.5270 | 1.5590 | 1.5270 | 1.5590 |
0.00%
|
000045 | 1.5210 | 1.7720 | 1.5210 | 1.7720 |
0.08%
|
399001 | 1.5130 | 1.6850 | 1.5130 | 1.6850 |
0.12%
|
财富通基金净值查询
基金代码 | 基金名称 | 发行公司 | 基金经理 |
012195 | 万家瑞泽回报一年持有混合 | 万家基金 | 苏谋东 |
011837 | 鹏扬中国优质成长混合A | 鹏扬基金 | 朱国庆 |
011838 | 鹏扬中国优质成长混合C | 鹏扬基金 | 朱国庆 |
012210 | 申万菱信智能汽车股票A | 申万菱信基金 | 付娟,熊哲颖 |
012211 | 申万菱信智能汽车股票C | 申万菱信基金 | 付娟,熊哲颖 |
011908 | 广发沪港深价值精选混合A | 广发基金 | 张东一 |
011909 | 广发沪港深价值精选混合C | 广发基金 | 张东一 |
012008 | 易方达稳健回报一年混合A | 易方达基金 | 孙松 |
012009 | 易方达稳健回报一年混合C | 易方达基金 | 孙松 |
011899 | 长安鑫瑞科技6个月定开混合A | 长安基金 | 徐小勇 |
011900 | 长安鑫瑞科技6个月定开混合C | 长安基金 | 徐小勇 |
012196 | 招商品质生活混合A | 招商基金 | 王景 |
012197 | 招商品质生活混合C | 招商基金 | 王景 |
010977 | 华夏鸿阳6个月持有期混合A | 华夏基金 | 蔡向阳 |
010978 | 华夏鸿阳6个月持有期混合C | 华夏基金 | 蔡向阳 |
011346 | 淳厚鑫淳一年持有混合 | 淳厚基金 | 薛莉丽 |
011645 | 国泰核心价值两年持有期股票A | 国泰基金 | 李恒 |
011646 | 国泰核心价值两年持有期股票C | 国泰基金 | 李恒 |
012001 | 中泰星宇一年封闭混合A | 中泰证券(上海)资管 | 田瑀 |
012002 | 中泰星宇一年封闭混合C | 中泰证券(上海)资管 | 田瑀 |
以上就是010141基金净值查询的全部内容,继续查看0001225基金净值查询今天相关内容,请浏览本栏目其它内容。
标题:010141基金净值查询
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