正规买球app十佳排行

  • 股票型
  • 夹杂型
  • 债券型
  • 货泉型
  • 全数基金
基金称号
基金代码 停止日期 单元净值 累计净值 日涨幅 建立以来 本年以来 操纵
001410 2021-04-14 3.9030 3.9650 0.44% 309.37% -27.24%
006257 2021-04-14 2.3787 2.3787 0.50% 137.87% -27.93%
009988 2021-04-14 0.9284 0.9284 2.44% -7.16% -15.33%
001105 2021-04-14 0.8630 0.8630 -0.69% -13.70% -28.20%
005770 2021-04-14 0.8518 0.8518 1.44% -14.82% -13.22% 停息买卖
基金称号
基金代码 停止日期 单元净值 累计净值 日涨幅 建立以来 本年以来 操纵
013386 2021-04-14 0.8685 0.8685 1.50% -13.15% -12.41%
013385 2021-04-14 0.8711 0.8711 1.50% -12.89% -12.21%
013394 2021-04-14 0.8498 0.8498 1.48% -15.02% -16.86%
013393 2021-04-14 0.8530 0.8530 1.49% -14.70% -16.67%
014254 2021-04-14 0.8892 0.8892 0.47% -11.08% -11.08%
014255 2021-04-14 0.8885 0.8885 0.49% -11.15% -11.15%
013495 2021-04-08 0.9688 0.9688 -0.55% -3.12% -3.12% 停息买卖
013496 2021-04-08 0.9682 0.9682 -0.55% -3.18% -3.18% 停息买卖
013554 2021-04-08 1.0000 1.0000 0.00% 0.00% 0.00%
013555 2021-04-08 1.0000 1.0000 0.00% 0.00% 0.00%
013721 2021-04-14 0.7396 0.7396 0.56% -26.04% -26.19%
013722 2021-04-14 0.7377 0.7377 0.55% -26.23% -26.37%
012005 2021-04-14 0.9419 0.9419 0.38% -5.81% -9.13%
012006 2021-04-14 0.9398 0.9398 0.37% -6.02% -9.23%
012223 2021-04-14 0.7425 0.7425 0.23% -25.75% -21.04%
012224 2021-04-14 0.7390 0.7390 0.23% -26.10% -21.22%
012389 2021-04-14 0.8439 0.8439 2.40% -15.61% -14.35%
010363 2021-04-14 1.2569 1.2569 0.56% 25.69% -23.47%
012079 2021-04-14 1.1652 1.1652 1.14% 16.52% -23.54%
011188 2021-04-14 1.1028 1.1028 0.45% 10.28% -27.22%
011223 2021-04-14 1.0921 1.0921 0.44% 9.21% -27.38%
012608 2021-04-14 0.7554 0.7554 0.47% -24.46% -27.10%
011598 2021-04-14 0.7782 0.7782 1.89% -22.18% -20.47%
009437 2021-04-08 1.2812 1.2812 -0.52% 28.12% -24.25% 停息买卖
009438 2021-04-08 1.2788 1.2788 -0.52% 27.88% -24.27% 停息买卖
007484 2021-04-14 1.9690 1.9690 0.51% 96.90% -25.70%
610002 2021-04-14 1.0960 3.4120 0.74% 487.45% -23.89%
012772 2021-04-14 1.089 1.089 0.65% -8.95% -24.06%
610005 2021-04-14 1.1680 1.7000 2.46% 72.15% -15.31%
610006 2021-04-14 2.3920 2.8620 0.84% 242.06% -29.79%
610004 2021-04-14 2.0580 3.0740 0.10% 173.26% -32.24%
610007 2021-04-14 1.6600 2.1500 3.23% 121.64% -16.54%
003655 2021-04-14 1.611 1.902 0.50% 109.29% -6.17%
003456 2021-04-14 1.4790 1.7660 1.44% 91.25% -19.84%
005179 2021-03-02 1.2520 1.2520 0.02% 25.20% 0.45% 停息买卖
006462 2021-03-02 1.2192 1.2192 0.01% 21.92% 0.44% 停息买卖
005168 2020-11-24 1.4822 1.4822 0.00% 48.22% 3.59% 停息买卖
006463 2020-11-24 1.3946 1.3946 0.00% 39.46% 3.36% 停息买卖
166107 2021-04-14 1.1211 1.1211 1.35% 12.11% -20.25%
166108 2021-04-14 1.0994 1.0994 1.36% 9.94% -20.43%
166109 2021-04-14 1.0954 1.0954 1.23% 9.54% -17.32%
166110 2021-04-14 1.0766 1.0766 1.23% 7.66% -17.51%
011186 2021-04-14 0.7254 0.7254 2.39% -27.46% -14.89%
014953 2021-04-14 0.7248 0.7248 2.39% -8.98% -8.98%
009511 2021-04-14 1.1321 1.1321 0.46% 13.21% -27.35%
014954 2021-04-14 1.1313 1.1313 0.45% -19.46% -19.46%
003291 2021-04-14 2.0210 2.0210 1.86% 102.10% -19.67%
015208 2021-04-14 2.025 2.025 1.86% -6.68% -6.68%
010963 2021-04-14 1.5069 1.5069 0.62% 50.69% -12.80%
015455 2021-04-14 1.5068 1.5068 0.61% -1.77% -1.77%
610001 2021-04-14 1.2733 1.8254 1.16% 92.25% -27.46%
015456 2021-04-14 1.2733 1.2733 1.16% -14.37% -14.37%
基金称号
基金代码 停止日期 单元净值 累计净值 日涨幅 建立以来 本年以来 操纵
013857 2021-04-14 1.0072 1.0072 0.07% 0.72% 0.66%
013724 2021-04-14 0.9495 0.9495 0.13% -5.05% -4.99%
013858 2021-04-14 1.0062 1.0062 0.07% 0.62% 0.56%
013725 2021-04-14 0.9480 0.9480 0.13% -5.20% -5.01%
007768 2021-04-14 1.0257 1.0520 0.06% 5.25% 0.65%
610003 2020-12-13 1.0320 1.6450 0.00% 68.91% 0.68% 停息买卖
610103 2020-12-13 1.0060 1.5550 0.00% 57.83% -0.69% 停息买卖
166105 2021-04-14 1.1660 1.3150 0.17% 16.60% -3.80%
610008 2021-04-14 1.1350 1.5210 0.35% 58.50% -5.02%
610108 2021-04-14 1.1320 1.4790 0.35% 53.63% -5.11%
002554 2018-07-23 0.6700 0.6700 0.75% -33.00% -35.58% 停息买卖
004838 2021-04-14 1.0276 1.1467 0.06% 15.44% 0.70%
基金称号
基金代码 停止日期 每万份收益 七日年化收益率 操纵
000681 2021-04-14 0.5136 1.858%
009712 2021-04-14 0.5237 1.930%
000682 2021-04-14 0.5476 1.975%
009713 2021-04-14 0.4490 1.638%
000683 2021-04-14 0.5130 1.858%
003171 2021-04-14 0.0369 0.132%
基金称号
基金代码 停止日期 单元净值 累计净值 日涨幅 建立以来 本年以来 操纵
001410 2021-04-14 3.9030 3.9650 0.44% 309.37% -27.24%
006257 2021-04-14 2.3787 2.3787 0.50% 137.87% -27.93%
009988 2021-04-14 0.9284 0.9284 2.44% -7.16% -15.33%
001105 2021-04-14 0.8630 0.8630 -0.69% -13.70% -28.20%
005770 2021-04-14 0.8518 0.8518 1.44% -14.82% -13.22% 停息买卖
013386 2021-04-14 0.8685 0.8685 1.50% -13.15% -12.41%
013385 2021-04-14 0.8711 0.8711 1.50% -12.89% -12.21%
013394 2021-04-14 0.8498 0.8498 1.48% -15.02% -16.86%
013393 2021-04-14 0.8530 0.8530 1.49% -14.70% -16.67%
014254 2021-04-14 0.8892 0.8892 0.47% -11.08% -11.08%
014255 2021-04-14 0.8885 0.8885 0.49% -11.15% -11.15%
013495 2021-04-08 0.9688 0.9688 -0.55% -3.12% -3.12% 停息买卖
013496 2021-04-08 0.9682 0.9682 -0.55% -3.18% -3.18% 停息买卖
013554 2021-04-08 1.0000 1.0000 0.00% 0.00% 0.00%
013555 2021-04-08 1.0000 1.0000 0.00% 0.00% 0.00%
013721 2021-04-14 0.7396 0.7396 0.56% -26.04% -26.19%
013722 2021-04-14 0.7377 0.7377 0.55% -26.23% -26.37%
012005 2021-04-14 0.9419 0.9419 0.38% -5.81% -9.13%
012006 2021-04-14 0.9398 0.9398 0.37% -6.02% -9.23%
012223 2021-04-14 0.7425 0.7425 0.23% -25.75% -21.04%
012224 2021-04-14 0.7390 0.7390 0.23% -26.10% -21.22%
012389 2021-04-14 0.8439 0.8439 2.40% -15.61% -14.35%
010363 2021-04-14 1.2569 1.2569 0.56% 25.69% -23.47%
012079 2021-04-14 1.1652 1.1652 1.14% 16.52% -23.54%
011188 2021-04-14 1.1028 1.1028 0.45% 10.28% -27.22%
011223 2021-04-14 1.0921 1.0921 0.44% 9.21% -27.38%
012608 2021-04-14 0.7554 0.7554 0.47% -24.46% -27.10%
011598 2021-04-14 0.7782 0.7782 1.89% -22.18% -20.47%
009437 2021-04-08 1.2812 1.2812 -0.52% 28.12% -24.25% 停息买卖
009438 2021-04-08 1.2788 1.2788 -0.52% 27.88% -24.27% 停息买卖
007484 2021-04-14 1.9690 1.9690 0.51% 96.90% -25.70%
610002 2021-04-14 1.0960 3.4120 0.74% 487.45% -23.89%
012772 2021-04-14 1.089 1.089 0.65% -8.95% -24.06%
610005 2021-04-14 1.1680 1.7000 2.46% 72.15% -15.31%
610006 2021-04-14 2.3920 2.8620 0.84% 242.06% -29.79%
610004 2021-04-14 2.0580 3.0740 0.10% 173.26% -32.24%
610007 2021-04-14 1.6600 2.1500 3.23% 121.64% -16.54%
003655 2021-04-14 1.611 1.902 0.50% 109.29% -6.17%
003456 2021-04-14 1.4790 1.7660 1.44% 91.25% -19.84%
005179 2021-03-02 1.2520 1.2520 0.02% 25.20% 0.45% 停息买卖
006462 2021-03-02 1.2192 1.2192 0.01% 21.92% 0.44% 停息买卖
005168 2020-11-24 1.4822 1.4822 0.00% 48.22% 3.59% 停息买卖
006463 2020-11-24 1.3946 1.3946 0.00% 39.46% 3.36% 停息买卖
166107 2021-04-14 1.1211 1.1211 1.35% 12.11% -20.25%
166108 2021-04-14 1.0994 1.0994 1.36% 9.94% -20.43%
166109 2021-04-14 1.0954 1.0954 1.23% 9.54% -17.32%
166110 2021-04-14 1.0766 1.0766 1.23% 7.66% -17.51%
011186 2021-04-14 0.7254 0.7254 2.39% -27.46% -14.89%
014953 2021-04-14 0.7248 0.7248 2.39% -8.98% -8.98%
009511 2021-04-14 1.1321 1.1321 0.46% 13.21% -27.35%
014954 2021-04-14 1.1313 1.1313 0.45% -19.46% -19.46%
003291 2021-04-14 2.0210 2.0210 1.86% 102.10% -19.67%
015208 2021-04-14 2.025 2.025 1.86% -6.68% -6.68%
010963 2021-04-14 1.5069 1.5069 0.62% 50.69% -12.80%
015455 2021-04-14 1.5068 1.5068 0.61% -1.77% -1.77%
610001 2021-04-14 1.2733 1.8254 1.16% 92.25% -27.46%
015456 2021-04-14 1.2733 1.2733 1.16% -14.37% -14.37%
013857 2021-04-14 1.0072 1.0072 0.07% 0.72% 0.66%
013724 2021-04-14 0.9495 0.9495 0.13% -5.05% -4.99%
013858 2021-04-14 1.0062 1.0062 0.07% 0.62% 0.56%
013725 2021-04-14 0.9480 0.9480 0.13% -5.20% -5.01%
007768 2021-04-14 1.0257 1.0520 0.06% 5.25% 0.65%
610003 2020-12-13 1.0320 1.6450 0.00% 68.91% 0.68% 停息买卖
610103 2020-12-13 1.0060 1.5550 0.00% 57.83% -0.69% 停息买卖
166105 2021-04-14 1.1660 1.3150 0.17% 16.60% -3.80%
610008 2021-04-14 1.1350 1.5210 0.35% 58.50% -5.02%
610108 2021-04-14 1.1320 1.4790 0.35% 53.63% -5.11%
002554 2018-07-23 0.6700 0.6700 0.75% -33.00% -35.58% 停息买卖
004838 2021-04-14 1.0276 1.1467 0.06% 15.44% 0.70%
基金称号
基金代码 停止日期 每万份收益 七日年化收益率 操纵
000681 2021-04-14 0.5136 1.858%
009712 2021-04-14 0.5237 1.930%
000682 2021-04-14 0.5476 1.975%
009713 2021-04-14 0.4490 1.638%
000683 2021-04-14 0.5130 1.858%
003171 2021-04-14 0.0369 0.132%
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