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(%)长城优选回报六个月混合A0107972024-12-100.18-0.350.44长城优选回报六个月混合C0107982024-12-100.17-0.370.04长城优选稳进六个月混合C0108002024-12-100.170.023.38长城优选稳进六个月混合A0107992024-12-100.180.063.79长城新优选混合A0022272024-12-100.23-0.025.27长城新优选混合C0022282024-12-100.22-0.074.75长城优选添利一年混合A0113592024-12-100.170.193.06长城优选添利一年混合C0113602024-12-100.160.152.64长城优选添瑞六个月混合C0115392024-12-100.17-0.233.33长城优选添瑞六个月混合A0115382024-12-100.18-0.203.74长城集利债券发起式C0186022024-12-100.220.115.34长城集利债券发起式A0186012024-12-100.230.135.68长城优选增强六个月混合C0098302024-12-100.090.162.47长城优选增强六个月混合A0098292024-12-100.090.182.88长城优选招益一年混合C0126862024-12-100.020.022.70长城优选招益一年混合A0126852024-12-100.030.053.11长城久惠混合A0013632024-12-100.06-1.7028.05长城久惠混合C0176262024-12-100.04-1.7527.35
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