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(%)华安智联混合(LOF)A5010732024-11-051.424.0613.61华安智联混合(LOF)C0160712024-11-051.424.0213.02华安稳健回报混合A0000722024-11-050.570.474.90华安稳健回报混合C0160422024-11-050.560.434.48华安添和一年债券C0124462024-11-050.691.105.08华安添和一年债券A0124332024-11-050.681.125.39华安双债添利债券E0196472024-11-050.230.54--华安双债添利债券C0001502024-11-050.230.513.45华安双债添利债券A0001492024-11-050.230.543.82华安新回报灵活配置混合C0165192024-11-050.160.32--华安新回报灵活配置混合A0013112024-11-050.180.374.00
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