* 基金净值更新至 2025-08-30
017601华夏行业甄选混合C混合152/1984459/129761.06%9.64%13.27% 168501北信瑞丰产业升级混合188/1985499/12976-0.14%8.95%23.7% 540002汇丰晋信龙腾混合A混合115/1983659/129760.43%8.33%23.96% 019244汇丰晋信龙腾混合C混合117/1983707/129760.42%8.29%23.84% 014725广发成长动力三年持有混合A混合197/1987614/12976-1.12%7.81%15.26% 014726广发成长动力三年持有混合C混合198/1987665/12976-1.14%7.74%15.13%