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                开放式基金每日净值表2021|7月2日开放式基金每日净值表查询

                2021-07-02 08:57 南方财富网

                开放式基金每日净值表2021|7月2日开放式基金每日净值表查询,开放式基金每日净值表一览,最新开放式基金每日净值表排名查询,南方财富网小编为您▼提供最新开放式基金每日净值
                基金代码 基金名称 周收益 月收益 季收益
                5669 前海开源公用①事业股票 5.97% 21.53% 58.45%
                689 前海开源新经∮济混合 4.72% 20.30% 54.90%
                9703 鹏华中债1-3年农发行债券指数C类 0.10% 0.27% 54.59%
                828 泰达◣转型机遇 4.93% 14.64% 53.76%
                2296 长城行业轮动混合 5.92% 16.21% 53.37%
                7872 金信稳健策略混合 9.46% 24.02% 52.67%
                10135 泰达宏利高研发创∴新6个月混合A 5.26% 15.61% 52.21%
                10136 泰达╳宏利高研发创新6个月混合C 5.25% 15.58% 52.10%
                5412 金信民长混√合A 11.58% 11.47% 51.80%
                5413 金信民长混合C 11.58% 11.46% 51.77%