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  • 序號基金代碼基金名稱↑單位凈值累計凈值凈值增長率前單位凈值前累計凈值
    1519183萬家雙引擎靈活配置混合1.22651.7165-0.11%1.22781.72
    2519181萬家和諧增長混合0.63031.3765-0.79%0.63531.39
    3375010上投摩根中國優(yōu)勢混合1.89364.9636-1.76%1.92755.00
    4373010上投摩根雙息平衡混合1.03942.6596-1.09%1.05092.67
    5373020上投摩根雙核平衡混合1.38931.6302-1.34%1.40811.65
    6000125上投摩根天頤年豐混合1.06301.1650-0.47%1.06801.17
    7000073上投摩根成長動力混合1.09201.0920-2.06%1.11501.12
    8000256上投摩根紅利回報混合1.09301.1990-0.09%1.09401.20
    9000328上投摩根轉型動力靈活配置1.03501.0350-2.63%1.06301.06
    10582003東吳保本混合1.08601.08600.18%1.08401.08
    11580009東吳內需增長混合1.43601.4360-1.10%1.45201.45
    12580001東吳嘉禾優(yōu)勢精選混合0.82302.5430-0.75%0.82922.55
    13580005東吳進取策略混合1.27881.3488-1.01%1.29191.36
    14000531東吳阿爾法靈活配置混合1.03901.03900.00%1.03901.04
    15400013東方保本混合型基金1.12501.24700.09%1.12401.25
    16400022東方利群混合1.11551.1155-0.02%1.11571.12
    17400015東方增長中小盤混合1.80131.8013-0.55%1.81131.81
    18400023東方多策略靈活配置混合1.12461.1246-0.02%1.12481.12
    19400020東方安心收益保本1.22101.2210-0.35%1.22531.23
    20400025東方新興成長混合1.04221.0422-0.87%1.05131.05
    21400003東方精選混合1.32364.1851-0.99%1.33684.22
    22000619東方紅產(chǎn)業(yè)升級混合1.45101.4510-1.16%1.46801.47
    23000480東方紅新動力混合1.36401.4520-7.15%1.46901.47
    24400001東方龍混合0.91882.6803-0.87%0.92692.69
    25000822東海美麗中國靈活配置混合1.07301.0730-0.19%1.07501.08
    26000804中信建投穩(wěn)利保本混合1.01801.0180-0.20%1.02001.02
    27000554中國夢基金1.16701.1670-1.93%1.19001.19
    28166019中歐價值智選混合1.48801.4880-0.87%1.50101.50
    29166020中歐成長優(yōu)選混合1.13301.18300.18%1.13101.18
    30166002中歐新藍籌混合1.22141.9314-0.59%1.22861.94
    31166006中歐行業(yè)成長混合(LOF)0.90110.9511-0.79%0.90830.96
    32398001中海優(yōu)質成長混合0.65013.1529-1.04%0.65693.17
    33393001中海保本混合1.12301.1880-0.35%1.12701.19
    34398011中海分紅增利混合0.87112.2711-2.32%0.89182.29
    35000166中海安鑫保本混合1.12401.1240-0.35%1.12801.13
    36398051中海環(huán)保新能源混合0.98400.9840-1.70%1.00101.00
    37000597中海積極收益靈活配置混合1.05101.05100.00%1.05101.05
    38398021中海能源策略混合0.69151.0015-1.62%0.70291.01
    39398031中海藍籌混合1.43002.0950-2.83%1.47162.14
    40000928中融國企改革混合1.01101.0110-1.17%1.02301.02
    41590006中郵中小盤靈活配置混合1.60701.6070-0.25%1.61101.61
    42000571中郵雙動力混合1.25101.2510-0.71%1.26001.26
    43000706中郵多策略靈活配置混合1.06701.0670-1.66%1.08501.09
    44590003中郵核心優(yōu)勢靈活配置混合1.36201.5420-0.87%1.37401.55
    45000545中郵核心競爭力靈活配置混合1.30301.3030-1.21%1.31901.32
    46163801中銀中國混合(LOF)1.46413.8041-1.90%1.49253.83
    47163810中銀價值混合1.36701.3870-0.51%1.37401.39
    48163807中銀優(yōu)選混合1.39381.7988-1.44%1.41421.82
    49000190中銀保本二號1.26501.2650-0.16%1.26701.27
    50163823中銀保本混合1.35201.3520-0.15%1.35401.35
    51000572中銀多策略混合1.21501.21500.08%1.21401.21
    52163804中銀收益混合1.27082.6208-1.40%1.28882.64
    53000805中銀新經(jīng)濟靈活配置混合1.16201.1620-1.78%1.18301.18
    54163809中銀藍籌混合1.24801.2680-0.95%1.26001.28
    55519700交銀主題優(yōu)選混合1.19101.2060-1.16%1.20501.22
    56519697交銀優(yōu)勢行業(yè)混合1.59001.7300-0.75%1.60201.74
    57519738交銀周期回報靈活配置混合1.11801.1980-0.53%1.12401.20
    58519732交銀定期支付雙息平衡混合1.33401.3340-0.74%1.34401.34
    59519690交銀穩(wěn)健配置混合1.30163.0826-0.60%1.30953.09
    60519710交銀榮安保本混合1.12401.2850-0.35%1.12801.29
    61519729交銀榮泰保本混合1.12001.1950-0.53%1.12601.20
    62519726交銀榮祥保本混合1.04001.2420-0.48%1.04501.25
    63550001信誠四季紅混合1.09012.3141-1.21%1.10342.33
    64610002信達澳銀精華配置混合1.73502.1550-1.14%1.75502.18
    65360011光大保德信動態(tài)優(yōu)選混合1.30001.6300-0.91%1.31201.64
    66163411興全保本混合1.11101.2896-0.26%1.11391.29
    67340001興全可轉債混合1.47073.4457-0.71%1.48123.46
    68340008興全有機增長混合1.83341.8334-0.83%1.84881.85
    69163402興全趨勢投資混合(LOF)1.17816.9739-0.67%1.18617.01
    70000259農(nóng)銀區(qū)間收益混合1.23791.2379-1.04%1.25091.25
    71660003農(nóng)銀平衡雙利混合1.27451.5145-1.10%1.28871.53
    72000336農(nóng)銀匯理研究精選靈活配置1.09401.0940-1.69%1.11281.11
    73000788前海開源中國成長靈活配置混合1.03101.1110-9.80%1.14301.14
    74000423前海開源事件驅動混合1.00301.0030-0.50%1.00801.01
    75000690前海開源大海洋混合1.23701.2370-0.80%1.24701.25
    76000689前海開源新經(jīng)濟混合1.21501.2150-0.90%1.22601.23
    77630016華商價值共享1.74401.8940-0.80%1.75801.91
    78000390華商優(yōu)勢行業(yè)靈活配置1.13401.2640-0.79%1.14301.27
    79000541華商創(chuàng)新成長靈活配置混合型發(fā)起1.33401.4290-1.19%1.35001.45
    80630005華商動態(tài)阿爾法混合1.82201.8220-1.09%1.84201.84
    81630015華商大盤量化精選混合1.78001.8800-0.56%1.79001.89
    82000609華商新量化靈活配置混合1.40401.4040-0.35%1.40901.41
    83000654華商新銳產(chǎn)業(yè)靈活配置混合1.14001.1600-2.06%1.16401.18
    84630008華商策略精選混合1.27301.2730-0.55%1.28001.28
    85000279華商紅利優(yōu)選靈活配置1.11301.2730-2.11%1.13701.30
    86630001華商領先企業(yè)混合1.66392.0189-0.65%1.67482.03
    87519908華夏興華混合1.38605.7930-0.07%1.38705.79
    88519918華夏興和混合型1.30203.6380-0.84%1.31303.65
    89002021華夏回報二號混合1.12302.7910-0.71%1.13102.80
    90002001華夏回報混合1.31103.8410-0.68%1.32003.85
    91000011華夏大盤精選混合9.415013.2950-1.28%9.537013.42
    92000001華夏成長混合1.23003.4310-0.97%1.24203.44
    93000121華夏永福養(yǎng)老理財混合1.23001.2300-0.40%1.23501.24
    94519029華夏穩(wěn)增混合1.78702.5920-1.16%1.80802.61
    95002031華夏策略混合2.28302.88300.09%2.28102.88
    96002011華夏紅利混合2.02204.4950-0.79%2.03804.51
    97288001華夏經(jīng)典混合1.25503.5450-1.10%1.26903.56
    98160311華夏藍籌混合(LOF)1.13304.1460-0.70%1.14104.16
    99000072華安保本混合1.29601.2960-0.31%1.30001.30
    100040001華安創(chuàng)新混合0.72103.5430-0.28%0.72303.55
    101040015華安動態(tài)靈活配置混合1.23501.4180-1.12%1.24901.43
    102519909華安安順混合1.33301.4470-0.67%1.34201.46
    103040004華安寶利配置混合1.54903.8740-0.90%1.56303.89
    104000590華安新活力混合1.16101.1610-0.26%1.16401.16
    105240001華寶興業(yè)寶康消費品混合1.87345.6017-1.29%1.89785.66
    106240002華寶興業(yè)寶康配置混合1.59623.3262-1.27%1.61683.35
    107240008華寶興業(yè)收益增長混合4.73434.7343-1.70%4.81644.82
    108000753華寶興業(yè)量化對沖混合A1.03501.0350-0.10%1.03601.04
    109000754華寶興業(yè)量化對沖混合C1.03501.0350-0.10%1.03601.04
    110410007華富價值增長混合1.27111.2711-1.65%1.29241.29
    111000028華富保本1.14101.2310-0.95%1.15201.24
    112000757華富智慧城市靈活配置混合1.01601.0160-1.45%1.03101.03
    113000398華富靈活配置混合1.11301.19300.00%1.11301.19
    114410001華富競爭力優(yōu)選混合0.85812.3125-1.57%0.87182.34
    115410006華富策略精選混合1.16911.3291-1.62%1.18841.35
    116000566華泰柏瑞創(chuàng)新升級混合1.37201.3720-1.86%1.39801.40
    117460002華泰柏瑞積極成長混合1.39491.5299-1.21%1.41201.55
    118000273華潤元大安鑫靈活配置混合1.11601.1160-1.67%1.13501.14
    119202023南方優(yōu)選成長混合1.42601.4260-0.63%1.43501.44
    120202212南方保本混合1.13001.2450-0.09%1.13101.25
    121000452南方醫(yī)保1.08101.1360-0.55%1.08701.14
    122202213南方安心保本混合1.27001.2700-0.16%1.27201.27
    123202211南方恒元保本混合1.01001.35300.00%1.01001.35
    124000527南方新優(yōu)享1.13501.1350-0.61%1.14201.14
    125202001南方穩(wěn)健成長混合1.02732.8823-1.21%1.03992.89
    126202002南方穩(wěn)健成長貳號混合0.55561.9886-1.21%0.56242.00
    127202202南方避險增值混合2.89323.5822-0.07%2.89523.58
    128202027南方高端裝備靈活配置混合1.32901.4740-0.75%1.33901.48
    129050001博時價值增長混合0.80703.3090-0.62%0.81203.31
    130050201博時價值增長貳號混合0.70802.1630-0.56%0.71202.17
    131000264博時內需增長混合1.17601.0280-1.01%1.18801.04
    132050022博時回報混合1.44901.56500.00%1.44901.57
    133050007博時平衡配置混合1.04202.4780-0.38%1.04602.48
    134000178博時混合1.11101.2020-0.98%1.12201.21
    135050012博時策略混合1.08001.1040-1.10%1.09201.12
    136000219博時裕益混合1.14001.2630-1.21%1.15401.28
    137000652博時裕隆靈活配置混合1.32201.1480-2.51%1.35601.18
    138070010嘉實主題混合1.36602.8790-1.01%1.38002.89
    139070018嘉實回報混合1.06901.1060-0.37%1.07301.11
    140070002嘉實增長混合6.69407.3250-1.93%6.82607.46
    141000585嘉實對沖套利定期混合0.99900.0000-0.20%1.00101.00
    142070001嘉實成長收益混合0.78773.5652-0.81%0.79413.58
    143070006嘉實服務增值行業(yè)混合5.24105.7410-1.23%5.30605.81
    144000595嘉實泰和混合1.31501.3910-0.68%1.32401.40
    145070003嘉實穩(wěn)健混合0.98802.8230-0.90%0.99702.84
    146070011嘉實策略混合1.37001.9510-2.07%1.39901.98
    147000414嘉實絕對收益策略定期混合1.03100.0000-0.19%1.03301.03
    148450001國富中國收益混合0.65062.3088-0.41%0.65332.31
    149000065國富焦點驅動混合1.29001.3160-0.62%1.29801.32
    150450010國富策略回報混合1.16301.1630-1.11%1.17601.18
    151000845國投瑞銀信息消費混合1.03501.13500.00%1.03501.14
    152000523國投瑞銀醫(yī)療保健混合1.15501.1550-0.09%1.15601.16
    153161219國投瑞銀新興產(chǎn)業(yè)混合(LOF)1.18201.5080-1.25%1.19701.52
    154000556國投瑞銀新機遇混合A1.22801.22800.00%1.22801.23
    155000557國投瑞銀新機遇混合C1.22701.22700.00%1.22701.23
    156121002國投瑞銀景氣行業(yè)混合1.11573.0847-0.06%1.11643.09
    157121010國投瑞銀瑞源保本混合0.99901.24800.00%0.99901.25
    158121006國投瑞銀穩(wěn)健增長混合1.15201.7820-0.78%1.16101.79
    159000165國投瑞銀策略精選混合1.24401.3410-0.08%1.24501.34
    160000663國投瑞銀美麗中國混合1.13801.1380-0.26%1.14101.14
    161121001國投瑞銀融華債券1.52062.86260.13%1.51862.86
    162020022國泰保本混合1.13201.2640-0.35%1.13601.27
    163000511國泰國策驅動靈活配置混合1.31101.3110-1.06%1.32501.33
    164000367國泰安康養(yǎng)老定期支付混合1.10101.10100.00%1.10101.10
    165000742國泰新經(jīng)濟靈活配置混合1.22401.2240-1.21%1.23901.24
    166160220國泰民益靈活配置混合(LOF)1.15801.15800.17%1.15601.16
    167000526國泰濃益靈活配置混合1.16401.16400.09%1.16301.16
    168000199國泰策略收益靈活配置混合1.00701.19200.00%1.00701.19
    169000512國泰結構轉型靈活配置混合1.36501.3650-0.22%1.36801.37
    170000362國泰聚信價值優(yōu)勢靈活配置混合A1.39501.3950-0.43%1.40101.40
    171000363國泰聚信價值優(yōu)勢靈活配置混合C1.40301.4030-0.43%1.40901.41
    172519020國泰金泰1.04800.96100.00%1.04800.96
    173020005國泰金馬穩(wěn)健混合0.78803.2730-0.88%0.79503.30
    174020009國泰金鵬藍籌混合1.27102.2890-0.78%1.28102.30
    175020018國泰金鹿保本混合1.01901.25200.10%1.01801.25
    176519021國泰金鼎價值混合0.72502.1990-1.76%0.73802.22
    177020003國泰金龍行業(yè)混合0.51103.7380-1.35%0.51803.76
    178000058國聯(lián)安保本1.10601.1060-0.36%1.11001.11
    179253010國聯(lián)安安心成長混合0.58401.82200.00%0.58401.82
    180257010國聯(lián)安小盤精選混合1.15003.3110-0.26%1.15303.31
    181000417國聯(lián)安新精選靈活配置1.14101.18300.00%1.14101.18
    182255010國聯(lián)安穩(wěn)健混合1.05802.7880-0.28%1.06102.79
    183000664國聯(lián)安通盈靈活配置混合1.05701.11000.09%1.05601.11
    184762001國金通用國鑫發(fā)起1.28871.5887-0.98%1.30141.60
    185000749國金通用鑫安保本0.99900.99900.10%0.99801.00
    186000824圓信永豐雙紅利靈活配置混合A1.16401.1640-1.52%1.18201.18
    187000825圓信永豐雙紅利靈活配置混合C1.15901.1590-1.53%1.17701.18
    188090006大成2020生命周期混合0.68602.5080-0.72%0.69102.51
    189090001大成價值增長混合0.92683.5868-0.65%0.93293.59
    190160910大成創(chuàng)新成長混合(LOF)0.98202.1930-1.01%0.99202.20
    191000865大成景利混合1.00501.0050-1.28%1.01801.02
    192090019大成景恒保本混合1.27301.2730-0.24%1.27601.28
    193000695大成景益平穩(wěn)收益混合1.43801.4380-1.17%1.45501.46
    194000587大成靈活配置混合1.45901.4590-1.02%1.47401.47
    195090004大成精選增值混合0.97233.0373-0.89%0.98103.05
    196090003大成藍籌穩(wěn)健混合0.74983.3198-1.68%0.76263.33
    197233001大摩基礎行業(yè)混合0.58742.1324-0.46%0.59012.14
    198233008大摩消費領航混合基金1.00531.0053-2.11%1.02701.03
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    393206001鵬華行業(yè)成長混合1.08164.3611-0.93%1.09184.40
    394206013鵬華金剛保本混合1.22301.2230-0.33%1.22701.23

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