基金公司:
    序号 基金代码 基金简称 日期 单位净值 累计净值 日增长率 近1周 近1月 近3月 近6月 近1年 近2年 近3年 今年来 成立来 申购状态
    1 003300 华夏圆和混合 2024-10-29 0.8755 1.084 -2.84% 7.19% 21.8% 26.87% 8.93% -13.92% -26.24% -24.49% -10.92% 3.71% 开放
    2 210001 金鹰成份优选混合 2024-10-10 0.485 3.1301 0.6% 1.42% 21.55% 12.66% 3.94% -5.55% -11.12% -28.84% 1.38% 279.3% 开放
    3 004649 国开开航混合 2020-07-13 1.2978 1.2978 3.1802% 7.76% 20.22% 38.65% 18.24% 41.37% 38.97% 29.78% 29.06% 29.78% 开放
    4 005671 前海联合研究优选混合A 2024-03-18 1.3633 2.3423 0.28% 4.44% 19.75% -8.9% -17.01% -21.4% -27.55% -17.39% -9.64% 109.81% 开放
    5 001412 德邦鑫星价值灵活配置混合A 2025-07-11 1.8636 2.0016 -0.67% 3.55% 19.65% 44.77% 11.09% 57.41% 65.1% 40.46% 11.6% 111.93% 限大额
    6 005672 前海联合研究优选混合C 2024-03-18 1.3604 2.2404 0.27% 4.42% 19.65% -9.08% -17.34% -22.02% -28.7% -19.35% -9.79% 100.51% 开放
    7 002112 德邦鑫星价值灵活配置混合C 2025-07-11 1.7919 1.9399 -0.67% 3.55% 19.65% 44.73% 11.04% 57.25% 64.77% 40.05% 11.55% 108.78% 限大额
    8 006887 诺德新生活混合A 2025-07-11 1.137 1.137 -0.32% 3.4% 19.06% 29.03% 7.93% 15.42% -23.33% 3.78% 5.8% 13.7% 开放
    9 006888 诺德新生活混合C 2025-07-11 1.1347 1.1347 -0.32% 3.41% 19.05% 29% 7.88% 15.3% -23.48% 3.57% 5.75% 13.47% 开放
    10 005537 中航新起航灵活配置混合A 2025-06-30 0.6462 0.6462 0.94% 5.93% 17.98% 22.99% 33.43% 56.65% -5.47% -37.32% 33.43% -35.38% 开放
    11 005538 中航新起航灵活配置混合C 2025-06-30 0.6339 0.6339 0.92% 5.91% 17.96% 22.94% 33.34% 56.48% -5.67% -37.52% 33.34% -36.61% 开放
    12 006430 凯石澜龙头经济定开混合 2025-07-11 0.7357 1.4557 -0.84% 3.8% 17.9% 20.27% 20.98% 17.81% 1.49% -25.51% 18.68% 31.23% 暂停
    13 001967 华宝转型升级混合 2023-06-20 1.59 1.59 2.38% 9.05% 17.6% 19.28% 30.11% 10.72% 11.03% 56.04% 29.48% 59% 开放
    14 006502 财通集成电路产业股票A 2025-07-11 1.9678 1.9678 -0.2% 6.29% 17.28% 21.39% 0.6% 16.9% 16.78% 14.68% 0.22% 96.78% 开放
    15 006503 财通集成电路产业股票C 2025-07-11 1.8665 1.8665 -0.2% 6.28% 17.21% 21.15% 0.2% 15.97% 14.93% 11.97% -0.2% 86.65% 开放
    16 005899 国投瑞银品牌优势混合 2020-07-10 1.5541 1.5541 -- 5.94% 17.03% 34.34% 26.66% 45.56% -- -- 27.04% 55.41% 开放
    17 001480 财通成长优选混合 2025-07-11 1.929 1.929 -0.21% 6.22% 16.98% 22.71% -9.61% 10.67% 13.94% -29.6% -10.61% 92.9% 开放
    18 001437 易方达瑞享混合I 2025-07-11 3.8841 3.8841 -0.49% 3.59% 16.92% 49.08% 30.25% 53.4% 11.97% 27.39% 28.99% 288.41% 开放
    19 001438 易方达瑞享混合E 2025-07-11 3.1469 3.1469 -0.49% 3.59% 16.9% 49.01% 30.12% 53.13% 11.51% 26.69% 28.86% 214.69% 开放
    20 005682 财通资管消费精选混合 2025-07-11 1.7362 1.7362 1.43% 6.4% 16.78% 36.15% 34.92% 42.66% 25.73% -17.67% 33.58% 73.62% 开放
    21 470006 汇添富医药保健混合A 2025-06-13 1.938 2.317 -2.37% 2.81% 16.12% 22.81% 19.7% 19.56% -3.2% -19.38% 26.09% 151.88% 开放
    22 001513 易方达信息产业混合 2025-07-11 2.979 2.979 -0.33% 2.23% 15.96% 20.51% 15.2% 21.15% 14.62% 16.69% 12.08% 197.9% 开放
    23 000531 东吴阿尔法灵活配置混合 2025-07-11 1.2375 1.2375 -0.79% 1.94% 15.76% 38.59% 14.15% 15.65% -11.31% -28.82% 11.33% 23.75% 开放
    24 580006 东吴新经济混合 2025-07-11 0.837 1.227 -0.79% 1.92% 15.61% 38.14% 17.59% 17.44% -17.59% -53.33% 14.69% 15.99% 开放
    25 005550 汇安成长优选混合A 2025-07-11 1.3938 1.3938 0.73% 3.12% 15.44% 16.75% 41.12% 46.44% 26.41% -1.52% 35.03% 39.38% 开放
    26 004320 前海开源沪港深乐享生活 2025-07-11 1.6484 1.6484 -0.52% 3% 15.42% 28.78% 10.69% 26.9% -3.33% 21.03% 7.1% 64.84% 开放
    27 005551 汇安成长优选混合C 2025-07-11 1.3109 1.3109 0.73% 3.11% 15.36% 16.52% 40.56% 45.3% 24.41% -3.88% 34.47% 31.09% 开放
    28 002692 富国创新科技混合 2025-07-11 1.422 1.422 0.14% 1.14% 15.33% 23.54% 19% 4.87% -6.08% -18.46% 16.46% 42.2% 开放
    29 240011 华宝大盘精选混合 2025-07-11 2.7012 3.208 -1.24% 3.77% 15.25% 37.81% 20.65% 28.01% 20.88% -10.99% 16.28% 238.9% 开放
    30 002152 华宝核心优势混合 2025-07-11 2.498 2.498 -1.23% 3.69% 15.22% 37.93% 20.97% 29.43% 24.03% 27.91% 16.57% 149.8% 开放
    31 005459 银河嘉谊灵活配置混合A 2024-03-21 1.0532 1.1352 -- 1.19% 15.07% -5.22% -3.46% -21.22% -19.55% -14.71% -6.12% 11.96% 开放
    32 006522 财通新兴蓝筹混合A 2025-07-11 1.7479 1.7479 -0.03% 3.49% 15.06% 31.91% 15.05% 34.21% 30.68% -5.02% 15.27% 74.79% 开放
    33 005460 银河嘉谊灵活配置混合C 2024-03-21 1.0486 1.1306 -0.01% 1.19% 15.05% -5.25% -3.51% -21.37% -19.63% -14.88% -6.15% 11.5% 开放
    34 006199 长盛同锦研究精选混合 2022-06-08 1.4995 1.4995 0.33% 5.41% 15.03% -6.29% -13% -2.55% 38.56% 52.82% -17.23% 49.95% 开放
    35 006523 财通新兴蓝筹混合C 2025-07-11 1.661 1.661 -0.04% 3.47% 14.99% 31.65% 14.6% 33.15% 28.64% -7.26% 14.78% 66.1% 开放
    36 005482 博时创新驱动混合A 2025-07-11 0.752 0.752 -0.12% 2.73% 14.97% 22.28% 9.68% 10.57% -18.22% -35.12% 8.58% -24.8% 开放
    37 005483 博时创新驱动混合C 2025-07-11 0.708 0.708 -0.13% 2.71% 14.9% 22.03% 9.24% 9.68% -19.53% -36.67% 8.12% -29.2% 开放
    38 540002 汇丰晋信龙腾混合 2025-07-11 1.1603 3.6563 0.22% 7.37% 14.79% 19.53% 14.52% 30.05% -15.52% -18.32% 5.04% 482.11% 开放
    39 150103 银河银泰混合 2024-10-18 0.6633 4.7603 2.47% 2.11% 14.56% 7.4% 7.57% -0.21% -26.71% -37.03% 0.93% 756.04% 开放
    40 001075 宝盈转型动力混合 2025-07-11 1.335 1.335 -0.74% 1.78% 14.44% 34.94% 16.66% 20.86% 37.39% 55.36% 17.66% 33.5% 开放
    41 006205 汇添富沪港深优势定开 2022-12-28 0.967 0.967 0.92% 3.79% 14.36% 11.56% -9.79% -20.14% -38.4% -22.25% -20.75% -3.3% 暂停
    42 519770 交银优择回报灵活配置混合A 2025-07-11 1.7771 1.8521 -0.4% 2.57% 14.23% 22.68% 23.24% 28.13% 26.04% 25.77% 24.8% 90.63% 开放
    43 519771 交银优择回报灵活配置混合C 2025-07-11 1.775 1.85 -0.4% 2.57% 14.21% 22.62% 23.09% 27.88% 25.53% 25.09% 24.65% 90.45% 开放
    44 001194 景顺长城稳健回报混合A 2025-07-11 2.294 2.359 -0.95% 1.68% 13.9% 23.4% 16.8% 44.28% 59.53% 58.86% 18.25% 140.11% 开放
    45 001407 景顺长城稳健回报混合C 2025-07-11 2.224 2.287 -0.98% 1.69% 13.88% 23.35% 16.68% 43.95% 58.74% 57.62% 18.11% 128.35% 开放
    46 006969 圆信永丰高端制造混合 2025-06-30 1.8617 1.8617 0.98% 6.72% 13.71% 2.82% 4.25% 17.75% 1.39% -17.46% 4.25% 86.17% 暂停
    47 005851 财通新视野灵活配置混合A 2025-07-09 2.5875 2.5875 -0.71% 4.23% 13.66% 43.46% 22.97% 50.32% 43.72% 19.14% 26.45% 158.75% 开放
    48 005959 财通新视野灵活配置混合C 2025-07-09 2.446 2.446 -0.71% 4.21% 13.59% 43.17% 22.5% 49.14% 41.43% 16.33% 25.93% 144.6% 开放
    49 501015 财通多策略升级混合(LOF) 2025-07-09 1.559 1.559 -0.7% 4.07% 13.55% 43.55% 24.72% 52.25% 43.95% 17.48% 28.21% 55.9% 开放
    50 006976 鹏华核心优势混合 2025-07-03 2.2554 2.2554 0.91% 3.17% 13.5% 11.55% 12.12% 30.33% 9.6% 0.75% 7.65% 125.54% 开放