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EFT基金

基金代码 基金简称 单位净值 累计净值 日增长额 日增长率 市价 折价率
513520华夏野村日经225ETF1.45871.45870.01921.33%1.467-0.57%
159866工银瑞信大和日经225ETF(QDII)1.08961.08960.00870.80%1.093-0.31%
513880华安日经225ETF1.35301.35300.01030.77%1.360-0.52%
513000易方达日经225ETF1.46121.46120.01050.72%1.468-0.47%
513800南方顶峰TOPIX-ETF1.37441.40440.00680.50%1.379-0.33%
159985华夏饲料豆粕期货ETF1.90331.90330.00890.47%1.9010.12%
518800国泰黄金ETF5.74082.17160.02310.40%5.7310.17%
159812前海开源黄金ETF5.79471.49110.02330.40%5.7800.25%
159934易方达黄金ETF5.75082.34280.02310.40%5.7400.19%
159937博时黄金ETF5.80372.27880.02330.40%5.7930.18%
518880华安黄金易ETF5.81002.19390.02330.40%5.7990.19%
518660工银瑞信黄金ETF5.79021.50060.02320.40%5.7780.21%
518850华夏黄金ETF5.82601.49980.02330.40%5.8180.14%
511130博时上证30年期国债ETF106.38901.06390.20790.20%106.1990.18%
511090鹏扬中债-30年期国债ETF116.90731.19910.20720.18%116.7980.09%
511220海富通上证城投债ETF10.20401.40760.01370.13%10.215-0.11%
511270海富通上证10年期ETF114.49551.32540.13190.12%114.3530.12%
511260国泰上证10年期国债ETF130.89501.30900.14000.11%130.8600.03%
511100华夏上证基准做市国债ETF104.81471.04810.10620.10%104.833-0.02%
511520富国中债7-10年政策性金融债ETF110.88861.10890.11200.10%110.8930.00%
511020平安中证5-10年国债活跃券ETF113.27101.22000.10620.09%113.2410.03%
511010国泰上证5年期国债ETF138.52701.39800.06900.05%138.4840.03%
518860建信上海金ETF5.80971.38050.00280.05%5.8090.01%
159830天弘上海金ETF5.63471.49920.00260.05%5.635-0.01%
518680富国上海金ETF5.77381.44160.00260.05%5.781-0.12%
518890中银上海金ETF5.81351.39890.00260.04%5.817-0.06%
511030平安中债债利差因子ETF10.53581.16810.00470.04%10.5340.02%
159831嘉实上海金ETF5.86421.47500.00260.04%5.8620.04%
518600广发上海金ETF5.70751.39800.00250.04%5.711-0.06%
511060海富通上证5年期ETF105.93221.19080.02860.03%105.8720.06%
数据时间:2024-10-15
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