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场内基金

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
501097科创国寿LOF2.78342.78340.13355.04%2.691-3.32%
160215国泰价值LOF4.42705.03700.21205.03%4.305-2.76%
501205鹏华创新未来LOF1.16051.16050.05434.91%1.135-2.20%
501015财通升级混合LOF3.87103.87100.17004.59%3.9792.79%
501079科创大成LOF5.76245.76240.25044.54%5.8190.98%
501026财通福享混合LOF2.94422.94420.12074.27%3.0483.53%
159566储能电池ETF易方达2.28302.28300.09324.26%2.2930.44%
159305储能电池ETF广发1.01222.02440.04134.25%1.0180.57%
159193新能源电池ETF银华0.98900.98900.04014.23%0.9920.30%
159052新能源电池ETF嘉实1.04751.04750.04244.22%1.045-0.24%
160220国泰民益LOF5.46715.46710.21564.11%5.391-1.39%
501032财通福盛混合LOF2.20782.32130.08473.99%2.179-1.30%
510770G60创新ETF申万菱信1.13221.13220.04333.98%1.1491.48%
159663机床ETF华夏2.58022.58020.09223.71%2.5990.73%
159368创业板新能源ETF华夏1.67861.67860.05973.69%1.6810.14%
159667工业母机ETF国泰0.86512.59530.03073.68%0.8700.57%
159122创业板新能源ETF富国1.12901.12900.04003.67%1.127-0.18%
159387创业板新能源ETF国泰0.92631.85260.03283.67%0.9270.08%
159187创业板新能源ETF景顺1.07221.07220.03793.66%1.0730.07%
159261创业板新能源ETF鹏华1.74971.74970.06173.66%1.747-0.15%
159190创业板新能源ETF天弘1.06681.06680.03763.65%1.065-0.17%
159009易方达创业板新能源ETF1.10251.10250.03883.65%1.1030.05%
159149创业板新能源ETF工银1.07821.07820.03793.64%1.078-0.02%
160324华夏磐晟LOF3.39243.39240.11853.62%3.392-0.01%
169201浙商鼎盈LOF2.29502.29500.07973.60%2.237-2.53%
501188添富核心精选LOF1.32781.32780.04583.57%1.305-1.72%
501046财通福鑫定开混合11.901611.90160.39643.45%15.37629.19%
588850科创机械ETF嘉实2.12062.12060.07063.44%2.1220.07%
159147电池ETF南方1.07201.07200.03543.42%1.0780.56%
159796电池ETF汇添富1.07131.07130.03523.40%1.0750.35%
数据时间:2026-06-16
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