* 基金净值更新至 2025-09-13
014572长信银利精选混合C混合3815/48208474/12932-0.26%-2.02%10.67% 519979长信内需成长混合A混合3189/48207324/129321.7%-2.04%16.43% 011685创金合信先进装备股票A股票2616/48206268/12932-0.31%-2.53%8.73% 011686创金合信先进装备股票C股票2658/48206339/12932-0.31%-2.56%8.61% 001978泰信互联网+混合混合4150/48209127/12932-0.06%-2.71%1.7% 014263鑫元长三角混合A混合3319/48207554/129320.1%-2.74%9.3% 000410益民服务领先混合A混合3281/48207487/129320.26%-2.76%9.78% 014264鑫元长三角混合C混合3346/48207599/129320.1%-2.77%9.2% 019615益民服务领先混合C混合3298/48207517/129320.26%-2.78%9.72% 016336博时卓远成长一年持有股票A股票2993/48206936/12932-0.29%-2.8%9.57% 010994博时创新经济混合A混合1645/48204748/129320.85%-2.81%13.73% 016337博时卓远成长一年持有股票C股票3049/48207029/12932-0.3%-2.84%9.42% 010995博时创新经济混合C混合1728/48204876/129320.84%-2.86%13.53% 213006宝盈核心优势混合A混合3750/48208356/12932-0.59%-3.93%9.69% 000241宝盈核心优势混合C混合3777/48208414/12932-0.61%-3.97%9.54% 006132万家智造优势混合A混合3196/48207340/129321.48%-4.09%11.13% 006133万家智造优势混合C混合3226/48207390/129321.47%-4.13%11% 011015嘉合锦元回报混合A混合4102/48209029/129320.29%-6.17%1.53% 011016嘉合锦元回报混合C混合4142/48209112/129320.29%-6.21%1.4% 001571嘉合磐石A混合3686/48208254/129320.56%-6.36%7.05%