鹏华丰润债券(LOF)(160617)关注
1.1157+0.04%更新于 2025-06-17

整体排名 8645/13759
债券 1447/3487
鹏华丰润债券(LOF)净值统计
2025年-0.61%1.12%-1.25%
2024年2.46%2.46%-0.88%
2023年0.91%1.45%-1.64%
2022年-1.97%2.09%-4.09%
2021年0.14%1.95%-2.1%
仅供参考,如有错误请反馈
其他基金
501022银华鑫盛灵活配置混合(LOF)A混合4155/137594155/13759-0.54%1.24%-0.27% 012671嘉实核心蓝筹混合A混合1287/137591287/13759-0.12%5.48%4.17% 003839易方达瑞通灵活配置混合A混合5412/137595412/137590.28%0.83%2.33% 012689长安成长优选混合C混合1933/137591933/137591.62%1.77%-8.26% 016060大成健康产业混合C混合268/13759268/137591.63%19.47%19.91% 005902诺安汇利灵活配置混合C混合12106/1375912106/137590.17%0.76%2.11% 009378招商瑞恒一年持有期混合C混合11812/1375911812/13759-0.02%0.1%-0.06% 016209申万菱信中证军工指数(LOF)C指数2750/137592750/13759-0.77%1.51%-3.45% 050012博时策略混合混合4735/137594735/137590.39%2.29%-9.98% 014080交银启汇混合C混合3668/137593668/13759-0.38%2.68%2.92%