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封闭式基金折价率排行5-17
基金代码基金名称市价(元) (每日盘后更新)最新单位净值(元)升贴水值(元)升贴水率 184712基金科汇1.6951.7886-0.0936-5.2331% 184713基金科翔2.2172.3806-0.1636-6.8722% 500025基金汉鼎1.6361.7706-0.1346-7.6019% 184706基金天华0.9541.0766-0.1226-11.3877% 500008基金兴华1.1291.2858-0.1568-12.1947% 184703基金金盛1.3361.5217-0.1857-12.2035% 184688基金开元1.0991.2716-0.1726-13.5735% 184705基金裕泽1.0441.2175-0.1735-14.2505% 184722基金久嘉0.8691.0249-0.1559-15.2112% 500002基金泰和0.9461.1291-0.1831-16.2165% 500003基金安信1.5541.8799-0.3259-17.3360% 500009基金安顺1.2521.5337-0.2817-18.3673% 500005基金汉盛1.8332.2633-0.4303-19.0121% 184698基金天元1.2781.5783-0.3003-19.0268% 500006基金裕阳1.4941.8453-0.3513-19.0376% 184721基金丰和0.7640.9469-0.1829-19.3157% 184728基金鸿阳0.7560.9414-0.1854-19.6941% 184692基金裕隆1.0601.3208-0.2608-19.7456% 500056基金科瑞1.0931.3803-0.2873-20.8143% 184690基金同益1.1431.4513-0.3083-21.2430% 500011基金金鑫0.8591.0929-0.2339-21.4018% 500058基金银丰0.9001.1460-0.2460-21.4660% 500038基金通乾1.3551.7392-0.3842-22.0906% 500001基金金泰0.9761.2538-0.2778-22.1566% 184699基金同盛0.9111.1758-0.2648-22.5208% 500018基金兴和1.0391.3426-0.3036-22.6128% 184691基金景宏1.4621.8935-0.4315-22.7885% 184693基金普丰1.1111.4400-0.3290-22.8472% 184689基金普惠1.4811.9231-0.4421-22.9889% 500015基金汉兴1.3461.7680-0.4220-23.8688% 184701基金景福1.1371.5121-0.3751-24.8066%
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