基金名称基金代码截止日期周净值增长率(%)月净值增长率(%)年净值增长率(%)淳厚优加一年持有混合A0171072024-12-160.400.977.31淳厚优加一年持有混合C0171082024-12-160.390.946.91淳厚益加债券A0105132024-12-160.411.316.79淳厚益加债券C0105142024-12-160.401.276.37淳厚信泽A0078112024-12-160.081.6518.16淳厚信泽C0078122024-12-160.071.6017.63淳厚信睿A0081862024-12-16-1.690.9719.98淳厚信睿C0081872024-12-16-1.700.9319.40淳厚现代服务业A0113492024-12-16-0.061.1321.28淳厚现代服务业C0113502024-12-16-0.081.0820.50淳厚鑫淳0113462024-12-16-1.462.301.75淳厚欣颐0105512024-12-16-0.830.6419.19淳厚鑫悦混合A0124542024-12-16-1.732.321.72淳厚鑫悦混合C0124552024-12-16-1.742.281.24
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