上海陆金所基金销售有限公司
全部基金
基金代码 基金简称 最新净值 日增长率 近一个月 近三个月 近一年 今年以来 成立以来 起投金额(元)
基金代码 基金简称 最新净值 日增长率 近一个月 近三个月 近一年 今年以来 成立以来 起投金额(元)
020026 国泰成长优选

3.7100

2020/07/16

-4.05% 9.43% 25.67% 62.43% 38.32% 346.14% 10.00 投资
180012 银华富裕主题

5.0910

2020/07/16

-6.79% 12.51% 32.26% 59.21% 42.01% 942.95% 100.00 投资
001875 前海开源沪港深优势精选

2.4600

2020/07/16

-5.20% 17.42% 37.12% 85.80% 56.78% 242.85% 1,000.00 投资
002939 广发创新升级

2.9292

2020/07/16

-5.97% 26.33% 42.82% 153.56% 68.82% 225.17% 10.00 投资
005911 广发双擎升级A

3.1620

2020/07/16

-5.94% 25.89% 41.77% 150.79% 62.17% 253.37% 1.00 投资
320007 诺安成长

1.9170

2020/07/16

-8.18% 23.75% 43.81% 144.82% 54.22% 187.13% 1,000.00 投资
004851 广发医疗保健A

3.0575

2020/07/16

-6.20% 16.55% 50.62% 143.46% 91.17% 225.97% 10.00 投资
162703 广发小盘成长A

3.2329

2020/07/16

-5.65% 23.44% 38.51% 140.65% 68.71% 1,339.90% 10.00 投资
519674 银河创新成长

6.3389

2020/07/16

-7.81% 18.74% 33.98% 138.69% 57.33% 533.89% 10.00 投资
006751 富国互联科技

2.4014

2020/07/16

-6.60% 19.79% 38.92% 137.57% 68.99% 140.14% 1.00 投资
002560 诺安和鑫

1.6756

2020/07/16

-7.84% 24.84% 45.40% 131.88% 59.12% 67.56% 1,000.00 投资
001717 工银瑞信前沿医疗

3.5160

2020/07/16

-5.40% 11.33% 35.12% 130.55% 83.31% 251.60% 10.00 投资
213001 宝盈鸿利收益A

2.1710

2020/07/16

-4.57% 12.19% 28.76% 129.09% 59.04% 1,066.69% 1,000.00 投资
007581 宝盈鸿利收益C

2.1590

2020/07/16

-4.55% 12.15% 28.51% 127.38% 58.28% 119.60% 10.00 投资
000924 宝盈先进制造A

2.2080

2020/07/16

-4.29% 14.10% 30.11% 124.77% 59.08% 180.15% 1,000.00 投资