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开放式基金净值情况一览表
来源: 港澳资讯 日期:2019/6/4

代    码        基金简称      单位净前单位  涨跌幅累计净      份额    基金管理公司
                                          值(元)值(元)    (%)    值(元)    (亿份)                          
000001  华夏成长            1.061  1.069  -0.74%  3.472        44.0    华夏基金        
000003  中海可转债A      0.675  0.690  -2.17%  0.885          1.3    中海基金        
000005  嘉实增强信用    1.031  1.032  -0.09%  1.303          1.3    嘉实基金        
000006  西部量化成长    0.959  0.965  -0.62%  0.959          1.8    西部利得基金
000008  嘉实500ETF联接1.309  1.323  -1.10%  1.375          6.1    嘉实基金        
000011  华夏大盘            13.27  13.28  -0.05%  17.55          3.0    华夏基金        
000014  华夏聚利            1.148  1.162  -1.20%  1.148          1.2    华夏基金        
000015  华夏纯债A          1.218  1.218    0.00%  1.304        18.4    华夏基金        
000017  财通可持续混合1.346  1.349  -0.22%  2.276          1.0    财通基金        
000020  景顺品质            1.832  1.841  -0.48%  2.000          2.6    景顺长城基金
000021  华夏优势            1.476  1.476    0.00%  2.646        34.2    华夏基金        
000024  大摩双利增强A  1.166  1.167  -0.08%  1.430        29.4    摩根士丹利华
000028  华富保本            1.008  1.008    0.00%  1.386          3.3    华富基金        
000029  富国宏观策略    1.673  1.683  -0.59%  1.868          1.4    富国基金        
000030  长城核心优选    1.048  1.049  -0.10%  1.939                    长城基金        
000031  华夏复兴            1.437  1.434    0.20%  1.437          8.9    华夏基金        
000032  易基信用债A      1.197  1.197    0.00%  1.360        23.8    易方达基金    
000039  农银高增长        1.644  1.657  -0.77%  1.644          2.0    农银汇理基金
000042  财通中国100A    1.678  1.682  -0.20%  1.678          0.6    财通基金        
000045  工银产业债A      1.384  1.384    0.00%  1.535          4.7    工银瑞信基金
000047  华夏双债A          1.212  1.217  -0.41%  1.432          0.7    华夏基金        
000051  沪深300ETF联接1.201  1.200    0.08%  1.201      106.1    华夏基金        
000053  鹏华永诚定开    1.038  1.037    0.07%  1.519          2.1    鹏华基金        
000054  鹏华双债增利    1.146  1.146  -0.06%  1.373          4.5    鹏华基金        
000056  建信消费            1.804  1.804    0.00%  1.804          0.4    建信基金管理
000057  中银消费主题    1.381  1.385  -0.28%  1.381          0.3    中银基金        
000058  国联安保本        1.045  1.044    0.05%  1.224          0.5    国联安基金    
000059  国联安中证100A0.836  0.845  -1.08%  1.396        20.5    国联安基金    
000061  华夏盛世            0.591  0.595  -0.67%  0.591        14.7    华夏基金        
000063  长盛主题            1.160  1.160    0.00%  1.160          5.1    长盛基金        
000065  国富驱动            1.490  1.492  -0.13%  1.655        10.0    国海富兰克林
000066  诺安鸿鑫保本    1.098  1.098    0.00%  1.550          8.5    诺安基金        
000067  民生转债优选A  0.649  0.652  -0.46%  1.049          3.0    民生加银基金
000069  国投中高等级债1.102  1.103  -0.09%  1.380          0.5    国投瑞银基金
000071  恒生ETF联接A(  1.466  1.467  -0.06%  1.466          7.9    华夏基金        
000072  华安保本            1.074  1.074    0.00%  1.887        15.3    华安基金        
000073  上投成长动力    1.076  1.087  -1.01%  1.076          2.5    上投摩根基金
000074  工银一年定期开1.452  1.451    0.06%  1.452          4.2    工银瑞信基金
000074  工银一年定期开1.452  1.416    2.54%  1.452          4.2    工银瑞信基金
000080  天治可转债A      1.131  1.144  -1.13%  1.131          1.2    天治基金        
000082  嘉实阿尔法        1.252  1.256  -0.31%  1.862          4.3    嘉实基金        
000083  添富消费            3.874  3.880  -0.15%  3.874        12.9    汇添富基金管
000084  博时安盈A          1.222  1.222    0.02%  1.259        56.7    博时基金        
000086  南方稳利A          1.034  1.033    0.09%  1.298        19.8    南方基金管理
000087  嘉实国债ETF联  1.059  1.059    0.04%  1.059          0.1    嘉实基金        
000092  信诚新双盈A      1.002  1.002    0.00%  1.239          0.1    中信保诚基金
000093  信诚新双盈B      0.991  0.994  -0.30%  1.329          0.0    中信保诚基金
000104  华宸稳健添利A  1.077  1.076    0.08%  1.287          0.3    华宸未来基金
000105  建信安心回报A  1.295  1.295    0.00%  1.305          0.6    建信基金管理
000107  富国稳健A/B      1.124  1.125  -0.08%  1.422          2.5    富国基金        
000110  金鹰元安混合A  1.164  1.166  -0.09%  1.463          0.2    金鹰基金        
000113  嘉实如意宝A/B  1.153  1.152    0.08%  1.352          9.0    嘉实基金        
000116  嘉实丰益纯债    1.026  1.025    0.02%  1.316        11.1    嘉实基金        
000117  广发轮动配置    1.603  1.614  -0.68%  1.603          5.0    广发基金        
000118  广发聚鑫A          1.279  1.287  -0.62%  1.723          6.0    广发基金        
000120  中银美丽中国    1.227  1.234  -0.56%  1.262          0.3    中银基金        
000121  华夏永福A          1.579  1.586  -0.44%  1.579          2.1    华夏基金        
000122  汇添富实业债A  1.131  1.133  -0.17%  1.405          1.3    汇添富基金管
000124  华宝服务优选    1.545  1.549  -0.25%  1.845          7.4    华宝基金        
000126  招商安润混合    1.044  1.045  -0.03%  1.388                    招商基金        
000127  农银行业领先    2.141  2.177  -1.63%  2.141          7.7    农银汇理基金
000128  景安短融债A      1.221  1.221    0.02%  1.326        26.3    大成基金        
000130  大成景兴A          1.251  1.252  -0.09%  1.551          8.9    大成基金        
000136  民生策略精选    2.112  2.100    0.57%  2.473          2.3    民生加银基金
000137  民生岁岁增利A  1.177  1.176    0.10%  1.416        15.2    民生加银基金
000138  民生岁岁增利C  1.165  1.164    0.10%  1.389                    民生加银基金
000139  富国国企债A/B  1.007  1.006    0.03%  1.303          9.3    富国基金        
000142  融通通泰A          1.051  1.051    0.00%  1.318          9.9    融通基金        
000143  鹏华双债加利    1.404  1.404  -0.01%  1.454          0.4    鹏华基金        
000147  易基高等信用A  1.178  1.177    0.08%  1.346        52.4    易方达基金    
000149  华安双债添利A  1.209  1.210  -0.04%  1.529          2.5    华安基金        
000152  大成景旭纯债A  1.077  1.076    0.05%  1.379        65.1    大成基金        
000165  国投策略精选    1.529  1.529    0.00%  2.204          2.7    国投瑞银基金
000166  中海信息产业    1.039  1.041  -0.20%  1.442          0.4    中海基金        
000167  广发聚优A          1.309  1.310  -0.07%  1.519          2.2    广发基金        
000171  易基裕丰            1.709  1.709    0.00%  1.709        25.3    易方达基金    
000172  华泰量化增强A  1.262  1.264  -0.15%  2.274        37.8    华泰柏瑞基金
000173  添富美丽30        2.162  2.174  -0.55%  2.293        20.6    汇添富基金管
000174  汇添富高息债A  1.491  1.492  -0.06%  1.526          2.4    汇添富基金管
000176  嘉实300              1.269  1.268    0.09%  1.269          6.0    嘉实基金        
000181  景顺四季金利A  1.155  1.156  -0.08%  1.337          0.6    景顺长城基金
000183  嘉实丰益策略    1.005  1.005    0.00%  1.294          1.9    嘉实基金        
000184  工银添福A类      1.434  1.435  -0.06%  1.580          6.6    工银瑞信基金
000186  华泰季季红债    1.031  1.031    0.04%  1.348        13.3    华泰柏瑞基金
000187  华泰丰盛纯债A  1.215  1.215    0.02%  1.354          5.0    华泰柏瑞基金
000189  易基丰华A          0.993  0.993  -0.08%  1.086          2.2    易方达基金    
000190  中银新回报        1.312  1.312    0.00%  1.632          4.1    中银基金        
000191  富国信用债A/B  1.050  1.050    0.03%  1.341        63.2    富国基金        
000194  银华信用四季红1.077  1.076    0.09%  1.417          5.3    银华基金管理
000197  富国收益一年期1.069  1.069    0.00%  1.327          6.6    富国基金        
000199  国泰策略收益    1.202  1.202  -0.08%  1.422          0.4    国泰基金        
000202  富国收益两年期1.067  1.066    0.09%  1.389          2.1    富国基金        
000205  易基投资级信用1.136  1.136    0.00%  1.379        11.9    易方达基金    
000205  易基投资级信用1.136  1.135    0.08%  1.379        11.9    易方达基金    
000207  建信双债A          1.221  1.222  -0.08%  1.231          0.5    建信基金管理
000209  信诚新兴            1.078  1.084  -0.55%  1.078          0.1    中信保诚基金
000214  广发成长优选混1.348  1.348    0.00%  1.477          0.5    广发基金        
000215  广发趋势            1.535  1.535    0.00%  1.801          1.3    广发基金        
000216  华安黄金易ETF  1.081  1.062    1.77%  1.081        20.9    华安基金        
000216  华安黄金易ETF  1.081  1.067    1.26%  1.081        20.9    华安基金        
000218  国泰黄金ETF联  1.109  1.096    1.26%  1.109          0.8    国泰基金        
000219  博时裕益            1.214  1.231  -1.38%  1.466          4.6    博时基金        
000220  富国医疗保健    2.058  2.074  -0.77%  2.058          6.4    富国基金        
000221  添富年年利A      1.252  1.253  -0.07%  1.302          3.1    汇添富基金管
000236  工银月月薪A      1.494  1.496  -0.13%  1.494          2.8    工银瑞信基金
000242  景顺策略精选    1.091  1.093  -0.18%  1.641          1.7    景顺长城基金
000244  天弘稳利A          1.198  1.197    0.08%  1.417          2.9    天弘基金        
000248  汇添富消费ETF  1.818  1.817    0.07%  1.818        12.0    汇添富基金管
000251  工银金融地产    2.318  2.323  -0.21%  3.053        14.3    工银瑞信基金
000252  景顺景兴A          1.209  1.209    0.00%  1.343          4.6    景顺长城基金
000254  长城增强收益A  1.098  1.097    0.04%  1.378          5.3    长城基金        
000256  上投红利A          0.957  0.958  -0.10%  1.299          0.7    上投摩根基金
000259  农银区间            2.120  2.139  -0.91%  2.120          3.6    农银汇理基金
000263  工银信息产业    1.431  1.440  -0.62%  1.708          3.9    工银瑞信基金
000264  博时内需增长    0.944  0.956  -1.25%  0.825          2.4    博时基金        
000269  嘉实合润双债    1.068  1.068    0.00%  1.068          3.3    嘉实基金        
000270  建信安心保本    1.059  1.060  -0.09%  1.618        15.7    建信基金管理
000273  华润元大安鑫    1.194  1.194    0.00%  1.916          0.2    华润元大基金
000279  华商红利            0.909  0.911  -0.21%  1.862          3.2    华商基金        
000286  银华季季红A      1.054  1.054    0.00%  1.361        37.9    银华基金管理
000289  鹏华丰泰定债A  1.061  1.060    0.05%  1.368          5.6    鹏华基金        
000294  华安生态            2.540  2.552  -0.47%  2.540          0.6    华安基金        
000295  鹏华丰实A          1.113  1.113    0.00%  1.349          9.0    鹏华基金        
000297  鹏华可转债        0.866  0.872  -0.68%  0.866          0.8    鹏华基金        
000298  中海纯债债券A  1.079  1.078    0.09%  1.219          1.3    中海基金        
000305  中银中高等级债1.060  1.059    0.09%  1.351        58.0    中银基金        
000306  天弘弘利债券    1.211  1.211    0.00%  1.327          1.5    天弘基金        
000307  易基黄金ETF联  1.036  1.023    1.20%  1.036          6.3    易方达基金    
000308  建信创新            2.580  2.581  -0.03%  2.580          0.4    建信基金管理
000309  大摩品质            1.661  1.664  -0.18%  1.661          2.5    摩根士丹利华
000311  景顺300指数      1.939  1.950  -0.56%  2.279        41.4    景顺长城基金
000312  华安300增强A    1.493  1.492    0.09%  1.853          3.0    华安基金        
000314  招商瑞丰A          1.376  1.376    0.00%  1.589          6.1    招商基金        
000317  惠利A                  1.011  1.011    0.01%  1.220          0.1    中海基金        
000318  惠利B                  0.998  0.998    0.01%  1.257          0.2    中海基金        
000319  泰达淘利A          1.126  1.125    0.02%  1.330          8.8    泰达宏利基金
000326  南方中小盘        1.074  1.080  -0.53%  1.092          1.8    南方基金管理
000327  南方新蓝筹        1.275  1.282  -0.53%  1.275          1.7    南方基金管理
000328  上投转型动力    1.260  1.262  -0.15%  1.260          4.0    上投摩根基金
000329  鹏华丰饶            1.077  1.077    0.00%  1.077          1.8    鹏华基金        
000333  长城稳固收益A  1.131  1.135  -0.37%  1.151          0.9    长城基金        
000336  农银研究            1.128  1.126    0.21%  1.128          1.9    农银汇理基金
000338  鹏华双债保利    1.149  1.149  -0.03%  1.332          0.5    鹏华基金        
000339  长城医疗保健    1.711  1.724  -0.73%  1.711          0.7    长城基金        
000345  鹏华丰融定期    1.509  1.507    0.13%  1.574          4.5    鹏华基金        
000346  建信回报债券A  1.065  1.066  -0.04%  1.339          0.8    建信基金管理
000354  长盛城镇化        1.029  1.034  -0.48%  1.677          0.6    长盛基金        
000355  南方丰元A          1.222  1.222    0.00%  1.374        36.3    南方基金管理
000360  信诚年年有余A  1.153  1.155  -0.17%  1.280          0.1    中信保诚基金
000362  国泰聚信A类      1.184  1.198  -1.16%  2.182          6.9    国泰基金        
000367  国泰安康混合A  1.449  1.448    0.06%  1.449          0.2    国泰基金        
000368  添富300安中指  1.423  1.421    0.18%  1.423          2.3    汇添富基金管
000373  中证医药ETF联  1.211  1.213  -0.16%  1.211          0.6    华安基金        
000377  上投双债A          1.048  1.048    0.00%  1.442          0.7    上投摩根基金
000385  景顺景颐双利A  1.556  1.557  -0.06%  1.556          3.2    景顺长城基金
000390  华商优势行业    1.023  1.027  -0.38%  2.161          3.0    华商基金        
000394  融通通源短融A  1.023  1.023    0.02%  1.234        35.6    融通基金        
000395  汇添富安心中国1.234  1.233    0.08%  1.234          2.1    汇添富基金管
000395  汇添富安心中国1.234  1.248  -1.12%  1.234          2.1    汇添富基金管
000398  华富灵活配置    0.872  0.869    0.34%  1.097          0.2    华富基金        
000400  中融增鑫定期开1.348  1.349  -0.07%  1.348          0.4    中融基金        
000400  中融增鑫定期开1.348  1.320    2.12%  1.348          0.4    中融基金        
000402  工银纯债A          1.161  1.160    0.05%  1.307        36.4    工银瑞信基金
000404  易基新兴成长    1.850  1.863  -0.69%  1.850        10.0    易方达基金    
000406  添富双利增强债1.063  1.065  -0.18%  1.376          2.9    汇添富基金管
000408  民生城镇化        1.503  1.512  -0.59%  2.398          2.3    民生加银基金
000409  鹏华环保产业股1.474  1.489  -1.00%  1.474          1.6    鹏华基金        
000410  益民服务领先    2.734  2.739  -0.18%  2.734          0.3    益民基金        
000411  景顺优质成长    1.088  1.093  -0.45%  1.438          0.8    景顺长城基金
000414  嘉实绝对收益    1.183  1.184  -0.08%  1.183          0.4    嘉实基金        
000417  国联安新精选    0.854  0.863  -1.07%  1.091          0.9    国联安基金    
000418  景顺成长之星    1.755  1.766  -0.62%  1.755          0.4    景顺长城基金
000419  大摩优质信价纯1.094  1.077    1.57%  1.275        25.7    摩根士丹利华
000419  大摩优质信价纯1.094  1.093    0.09%  1.275        25.7    摩根士丹利华
000421  华泰丰汇A          1.079  1.078    0.04%  1.193        11.3    华泰柏瑞基金
000423  前海事件驱动A  1.527  1.529  -0.13%  1.527          1.8    前海开源基金
000429  易基聚盈A          1.002  1.002    0.01%  1.198          2.5    易方达基金    
000430  易基聚盈B          1.032  1.032    0.00%  1.032          3.3    易方达基金    
000431  鹏华品牌传承混1.356  1.354    0.14%  1.438          0.7    鹏华基金        
000432  中银优秀企业    1.489  1.491  -0.13%  1.489          0.2    中银基金        
000433  安信鑫发优选混1.169  1.169    0.00%  1.169          0.4    安信基金管理
000435  建信稳定添利A  1.113  1.114  -0.08%  1.445          0.8    建信基金管理
000436  易基裕惠回报    1.683  1.683    0.00%  1.937        19.7    易方达基金    
000437  融通月月添利A  1.054  1.053    0.09%  1.218          5.3    融通基金        
000452  南方医保            1.538  1.546  -0.51%  1.753          3.5    南方基金管理
000457  上投核心成长    1.463  1.464  -0.06%  1.772        29.3    上投摩根基金
000458  英大领先            0.861  0.863  -0.25%  1.521          0.7    英大基金        
000462  农银主题            1.042  1.048  -0.53%  1.042          6.3    农银汇理基金
000463  华商双债A          0.849  0.849    0.00%  1.264          4.1    华商基金        
000465  景顺鑫月薪定期1.038  1.038    0.00%  1.292          1.5    景顺长城基金
000466  融通通瑞A/B      1.025  1.025    0.00%  1.100          0.5    融通基金        
000469  富国目标齐利    1.097  1.096    0.09%  1.272        12.5    富国基金        
000471  富国城镇            1.200  1.212  -0.99%  1.700          7.9    富国基金        
000477  广发主题领先    1.506  1.509  -0.19%  1.506          9.0    广发基金        
000478  建信中证500A    1.893  1.912  -0.98%  1.893        30.5    建信基金管理
000480  东方红新动力    2.148  2.159  -0.50%  2.236        17.5    上海东方证券
000489  光大岁末红利A  1.042  1.042    0.00%  1.204          0.7    光大保德信基
000496  长安产业A          1.138  1.134    0.35%  1.378          0.1    长安基金        
000497  财通纯债债券A  1.055  1.055    0.01%  1.130          4.9    财通基金        
000503  中信建投稳信一1.079  1.079    0.05%  1.238          0.8    中信建投基金
000503  中信建投稳信一1.079  1.054    2.41%  1.238          0.8    中信建投基金
000507  泰达宏利宏达混1.202  1.165    3.17%  1.392          1.9    泰达宏利基金
000507  泰达宏利宏达混1.202  1.202    0.00%  1.392          1.9    泰达宏利基金
000511  国泰国策驱动A  1.347  1.346    0.07%  1.347          0.4    国泰基金        
000512  国泰沪深300A    1.708  1.706    0.14%  1.708                    国泰基金        
000513  富国高端制造    1.561  1.564  -0.19%  1.561          4.0    富国基金        
000516  富国祥利A          1.085  1.085    0.06%  1.125          5.1    富国基金        
000520  上银新兴价值    1.099  1.097    0.18%  1.804          1.9    上银基金        
000521  诺安瑞鑫            1.011  1.011    0.04%  1.071        49.4    诺安基金        
000522  华润元大信息传1.206  1.203    0.24%  1.206          0.5    华润元大基金
000523  国投医疗保健    1.240  1.255  -1.19%  1.742          4.4    国投瑞银基金
000524  上投民生需求    1.253  1.256  -0.23%  1.692          1.5    上投摩根基金
000526  国泰浓益灵活A  1.252  1.253  -0.07%  1.252          0.3    国泰基金        
000527  南方新优享A      2.358  2.378  -0.84%  2.358        14.8    南方基金管理
000529  广发竞争优势    1.775  1.780  -0.28%  1.775          4.1    广发基金        
000530  招商丰盛稳定A  1.107  1.111  -0.36%  1.107          0.8    招商基金        
000531  东吴阿尔法        1.147  1.155  -0.69%  1.147          3.2    东吴基金        
000532  景顺优势企业    1.931  1.932  -0.05%  1.931          1.5    景顺长城基金
000534  长盛高端装备    1.357  1.360  -0.22%  1.357          2.0    长盛基金        
000535  长盛航天海工装0.883  0.895  -1.34%  1.398          1.1    长盛基金        
000536  前海开源可转债0.784  0.791  -0.88%  1.154          0.9    前海开源基金
000538  诺安优势行业A  1.281  1.282  -0.07%  1.281          1.3    诺安基金        
000541  华商创新成长    1.113  1.123  -0.89%  1.368          4.2    华商基金        
000545  中邮核心竞争力1.054  1.057  -0.28%  1.054          5.3    中邮创业基金
000547  建信健康民生    2.274  2.281  -0.30%  2.274          0.3    建信基金管理
000549  华安大国新经济1.625  1.636  -0.67%  1.625          1.1    华安基金        
000550  广发新动力股票1.763  1.771  -0.45%  1.763          3.6    广发基金        
000551  信诚幸福消费    1.755  1.752    0.17%  1.755          0.1    中信保诚基金
000554  中国梦灵活        1.319  1.317    0.15%  1.319          2.9    南方基金管理
000556  国投新机遇A类  1.427  1.446  -1.31%  1.624          0.5    国投瑞银基金
000561  南方启元A          1.139  1.139    0.00%  1.191        40.4    南方基金管理
000563  南方通利A          1.116  1.116    0.00%  1.355        11.4    南方基金管理
000566  华泰创新            2.160  2.175  -0.68%  2.483          3.8    华泰柏瑞基金
000567  广发聚祥灵活混1.523  1.528  -0.32%  1.523          1.6    广发基金        
000572  中银多策略混合1.045  1.045    0.00%  1.476          5.1    中银基金        
000573  天弘通利            1.237  1.236    0.08%  1.306          4.7    天弘基金        
000574  宝盈新价值        1.410  1.410    0.00%  2.098          7.1    宝盈基金        
000577  安信价值精选    2.632  2.634  -0.07%  2.632        15.7    安信基金管理
000578  鑫元恒鑫收益A  0.884  0.887  -0.34%  0.964          0.1    鑫元基金        
000583  江信聚福            1.050  1.051  -0.11%  1.350          1.0    江信基金        
000584  新华鑫益            2.015  2.019  -0.19%  2.015          2.3    新华基金管理
000585  嘉实对冲套利    1.056  1.056    0.00%  1.056          1.3    嘉实基金        
000586  景顺中小板创业1.343  1.365  -1.61%  1.343          3.7    景顺长城基金
000587  大成灵活配置    1.592  1.593  -0.06%  1.992          1.3    大成基金        
000589  光大银发商机    1.440  1.442  -0.13%  1.690          1.0    光大保德信基
000590  华安新活力混合1.262  1.261    0.07%  1.463          2.3    华安基金        
000591  中银健康生活    1.365  1.365    0.00%  1.365          0.4    中银基金        
000592  建信改革            1.842  1.847  -0.27%  1.842          0.8    建信基金管理
000594  大摩进取优选    1.437  1.442  -0.34%  1.437          0.3    摩根士丹利华
000595  嘉实泰和混合    2.398  2.411  -0.53%  6.434          4.5    嘉实基金        
000596  前海中证军工A  1.149  1.164  -1.28%  1.149          9.4    前海开源基金
000597  中海积极收益    1.072  1.072    0.00%  1.331          2.0    中海基金        
000598  长盛生态环境    1.647  1.669  -1.31%  1.647          1.3    长盛基金        
000601  华宝创新优选    0.888  0.901  -1.44%  1.228          2.8    华宝基金        
000603  易方达创新驱动0.817  0.822  -0.60%  0.817        22.8    易方达基金    
000606  天弘优选            1.031  1.030    0.06%  1.087        98.0    天弘基金        
000609  华商新量化        1.070  1.069    0.09%  1.620          2.5    华商基金        
000612  华宝生态            1.702  1.724  -1.27%  1.902          3.6    华宝基金        
000613  国寿沪深300联  0.976  0.975    0.07%  1.636        15.8    国寿安保基金
000616  上投优信A          1.451  1.451    0.00%  1.451          0.1    上投摩根基金
000619  东方红产业        2.991  2.994  -0.10%  2.991        29.2    上海东方证券
000624  华富恒财定开A  1.016  1.016    0.00%  1.294          0.1    华富基金        
000628  大成高新技术    1.655  1.653    0.12%  1.655          3.2    大成基金        
000634  富国天盛灵活    1.132  1.132    0.00%  1.781          2.7    富国基金        
000639  宝盈祥瑞            1.110  1.110    0.00%  1.436          0.3    宝盈基金        
000646  华润元大医疗保1.058  1.062  -0.37%  1.058          0.3    华润元大基金
000649  长城久鑫混合    0.983  0.984  -0.07%  1.204          1.0    长城基金        
000652  博时裕隆            2.259  2.273  -0.61%  1.958          5.0    博时基金        
000654  华商新锐产业    1.040  1.045  -0.47%  1.060        21.6    华商基金        
000655  鑫元稳利            1.068  1.069  -0.04%  1.260          0.8    鑫元基金        
000656  前海开源沪深301.231  1.230    0.08%  1.481          0.3    前海开源基金
000663  国投美丽中国    1.386  1.393  -0.50%  1.772          2.2    国投瑞银基金
000664  国联安通盈A      1.303  1.301    0.20%  1.356          0.5    国联安基金    
000667  工银绝对收益A  1.094  1.095  -0.09%  1.094          0.7    工银瑞信基金
000668  国寿尊享A          1.257  1.257    0.00%  1.409        12.7    国寿安保基金
000675  惠祥A                  1.004  1.004    0.01%  1.181          0.1    中海基金        
000676  惠祥B                  0.976  0.976    0.01%  1.180          0.3    中海基金        
000679  招商丰利A          1.044  1.047  -0.28%  1.044          0.6    招商基金        
000684  长盛养老            1.108  1.111  -0.27%  1.108          0.4    长盛基金        
000688  景顺研究精选    1.380  1.393  -0.93%  1.400          0.3    景顺长城基金
000689  前海开源新经济0.920  0.922  -0.21%  1.030          2.1    前海开源基金
000690  前海开源大海洋0.949  0.964  -1.55%  0.949          0.7    前海开源基金
000694  鑫元鸿利            1.318  1.317    0.06%  1.318          7.3    鑫元基金        
000695  大成景益            1.451  1.452  -0.06%  1.451          0.1    大成基金        
000696  添富环保行业    0.950  0.959  -0.93%  0.950        16.8    汇添富基金管
000697  添富移动互联    0.986  0.990  -0.40%  0.986        44.4    汇添富基金管
000698  宝盈科技30        1.280  1.280    0.00%  1.280        13.9    宝盈基金        
000706  中邮多策略        1.109  1.123  -1.24%  1.109          1.3    中邮创业基金
000708  华安安享混合    1.187  1.187    0.00%  1.187          9.9    华安基金        
000711  嘉实医疗保健    1.511  1.524  -0.85%  1.511        10.7    嘉实基金        
000714  诺安稳健回报A  1.324  1.323    0.07%  1.432          7.3    诺安基金        
000717  融通三动力        1.273  1.300  -2.07%  1.273          1.6    融通基金        
000727  融通健康产业    1.225  1.239  -1.12%  1.225          0.9    融通基金        
000729  建信中小盘        1.226  1.237  -0.88%  1.226          1.5    建信基金管理
000736  诺安聚利A          1.199  1.198    0.08%  1.263          0.5    诺安基金        
000739  平安新鑫A          0.941  0.945  -0.42%  0.941          0.4    平安基金        
000742  国泰新经济        1.619  1.626  -0.43%  2.238        18.9    国泰基金        
000743  红塔盛世普益    0.935  0.938  -0.33%  1.095          0.9    红塔红土基金
000744  北信稳定收益A  1.071  1.071    0.00%  1.338          5.1    北信瑞丰基金
000746  招商行业精选    1.693  1.702  -0.52%  1.693          2.7    招商基金        
000747  广发逆向策略    1.629  1.625    0.24%  1.629          0.5    广发基金        
000751  嘉实新兴产业    2.273  2.284  -0.48%  2.273          2.9    嘉实基金        
000753  华宝量化对冲A  1.051  1.052  -0.10%  1.231          6.0    华宝基金        
000755  安达新兴            1.013  1.028  -1.40%  1.013          1.5    富安达基金    
000756  建信新蓝筹        1.304  1.310  -0.45%  1.304          0.6    建信基金管理
000757  华富智慧城市    0.714  0.718  -0.55%  0.914          1.3    华富基金        
000761  国富健康优质生1.054  1.061  -0.65%  1.054          0.1    国海富兰克林
000762  汇添富绝对收益1.190  1.192  -0.16%  1.190        11.3    汇添富基金管
000763  工银新财富        1.545  1.546  -0.06%  1.545          3.5    工银瑞信基金
000767  华富国泰民安    0.935  0.939  -0.42%  0.935          1.0    华富基金        
000772  景顺中国回报    1.158  1.162  -0.34%  1.158          0.5    景顺长城基金
000778  鹏华先进制造    1.504  1.506  -0.13%  1.504          2.4    鹏华基金        
000780  鹏华医疗保健    1.149  1.152  -0.26%  1.149          9.7    鹏华基金        
000781  国投岁增利A      1.076  1.076    0.00%  1.207          0.2    国投瑞银基金
000788  前海开源中国成1.054  1.064  -0.93%  1.134          0.6    前海开源基金
000793  工银高端制造    0.775  0.790  -1.89%  0.775          8.4    工银瑞信基金
000794  宝盈睿丰创新A/1.182  1.198  -1.33%  1.182          1.7    宝盈基金        
000800  华商未来主题    0.593  0.595  -0.33%  0.593        14.7    华商基金        
000801  中金纯债A          1.093  1.092    0.09%  1.205          1.9    中金基金        
000803  工银研究精选    1.233  1.236  -0.24%  1.233          0.4    工银瑞信基金
000804  中信稳利混合A  1.056  1.055    0.02%  1.296          1.8    中信建投基金
000805  中银新经济        0.959  0.961  -0.20%  0.959          4.2    中银基金        
000810  富国收益增强A  1.133  1.135  -0.17%  1.253          1.0    富国基金        
000815  鑫元合享纯债A  1.016  1.016    0.04%  1.162        12.3    鑫元基金        
000822  东海美丽中国    0.859  0.860  -0.11%  0.859          0.1    东海基金管理
000823  银华高端制造业0.745  0.741    0.53%  0.745          3.6    银华基金管理
000824  圆信永丰双红利1.154  1.159  -0.43%  2.093        16.6    圆信永丰基金
000826  广发百发100A    0.860  0.865  -0.57%  1.220          6.9    广发基金        
000828  泰达转型机遇    0.842  0.852  -1.17%  1.062          0.8    泰达宏利基金
000831  工银医疗保健股1.453  1.458  -0.34%  1.453        22.7    工银瑞信基金
000835  华润元大富时中1.765  1.757    0.45%  1.765          2.5    华润元大基金
000839  上投纯债丰利A  1.015  1.014    0.09%  1.132        35.7    上投摩根基金
000841  富国新回报A/B  1.131  1.132  -0.08%  1.131          0.2    富国基金        
000844  南方绝对收益    1.259  1.262  -0.24%  1.289          2.4    南方基金管理
000845  国投信息消费    1.073  1.076  -0.27%  1.661          0.9    国投瑞银基金
000849  汇丰双核策略A  1.061  1.065  -0.34%  1.904        38.3    汇丰晋信基金
000854  鹏华养老产业    1.755  1.761  -0.34%  1.755          2.5    鹏华基金        
000866  华宝制造            1.012  1.016  -0.39%  1.012          3.5    华宝基金        
000867  华宝品质生活    0.917  0.923  -0.65%  0.967          2.3    华宝基金        
000870  嘉实新收益        1.142  1.162  -1.72%  1.455          7.5    嘉实基金        
000875  建信稳定得利A  1.289  1.289    0.00%  1.289          1.4    建信基金管理
000877  华泰量化            1.465  1.467  -0.14%  1.587          4.6    华泰柏瑞基金
000878  中海医药精选A  1.662  1.662    0.00%  1.662          4.8    中海基金        
000880  富国研究            1.366  1.368  -0.14%  1.366          6.4    富国基金        
000884  民生优选            1.253  1.264  -0.87%  1.253          2.2    民生加银基金
000887  上投稳进回报    0.969  0.970  -0.10%  1.180          0.3    上投摩根基金
000889  上投纯债添利A  1.053  1.053    0.00%  1.142          0.2    上投摩根基金
000892  九泰天宝A          1.080  1.085  -0.46%  1.217          0.0    九泰基金        
000893  工银创新            0.524  0.528  -0.75%  0.524        12.0    工银瑞信基金
000896  鑫元聚鑫A          0.987  0.987    0.00%  1.047          0.2    鑫元基金        
000898  华富恒稳纯债A  1.204  1.204    0.00%  1.204          0.1    华富基金        
000911  鑫元合丰纯债A  1.019  1.018    0.07%  1.288        21.5    鑫元基金        
000913  农银医疗            1.168  1.180  -1.01%  1.168        14.5    农银汇理基金
000914  中加纯债            1.049  1.049    0.05%  1.350          4.3    中加基金        
000916  前海股息率100  1.107  1.110  -0.27%  1.408          7.6    前海开源基金
000924  宝盈先进制造    1.069  1.082  -1.20%  1.176          5.7    宝盈基金        
000925  添富外延增长    0.921  0.924  -0.32%  0.921        28.9    汇添富基金管
000926  中信睿信灵活A  0.636  0.639  -0.53%  0.636          0.3    中信建投基金
000928  中融国企改革混0.940  0.938    0.21%  0.940          1.1    中融基金        
000931  国寿安保尊益信1.060  1.061  -0.09%  1.180          0.7    国寿安保基金
000932  前海开源睿远稳1.332  1.330    0.15%  1.332          0.5    前海开源基金
000932  前海开源睿远稳1.332  1.283    3.81%  1.332          0.5    前海开源基金
000935  汇金转型成长    0.661  0.661    0.00%  0.811          1.5    浙江浙商证券
000936  博时新动力A      1.490  1.501  -0.73%  1.516          4.7    博时基金        
000937  华商稳固A          0.868  0.870  -0.22%  0.868          0.3    华商基金        
000939  中银精选            0.698  0.706  -1.13%  0.908          3.2    中银基金        
000940  富国中小盘        1.124  1.123    0.08%  1.124          4.7    富国基金        
000942  广发信息技术联0.861  0.868  -0.72%  0.861          5.6    广发基金        
000942  广发信息技术联0.861  0.864  -0.33%  0.861          5.6    广发基金        
000943  工银中高等级A  1.106  1.105    0.04%  1.106          6.3    工银瑞信基金
000945  华夏医疗A          1.364  1.380  -1.15%  1.364        18.0    华夏基金        
000948  华夏恒生通ETF  1.224  1.225  -0.09%  1.224          5.5    华夏基金        
000950  易基非银ETF联  0.938  0.936    0.18%  0.938        14.3    易方达基金    
000953  国泰睿吉灵活A  0.839  0.838    0.11%  1.005          0.7    国泰基金        
000955  南方产业活力    0.945  0.949  -0.42%  0.945        10.4    南方基金管理
000958  东吴鼎元A          0.921  0.919    0.21%  0.921          0.1    东吴基金        
000960  招商医药            1.250  1.269  -1.49%  1.250          7.7    招商基金        
000961  天弘沪深300A    1.094  1.093    0.10%  1.094        22.5    天弘基金        
000962  天弘中证500A    0.829  0.838  -1.08%  0.829        18.6    天弘基金        
000963  兴业多策略混合1.304  1.311  -0.53%  1.304          5.0    兴业基金        
000965  汇丰新动力        0.727  0.727  -0.04%  0.727          3.2    汇丰晋信基金
000966  中邮核心科技    0.872  0.877  -0.57%  0.872          2.1    中邮创业基金
000967  华泰创新动力    1.428  1.438  -0.69%  1.428          1.0    华泰柏瑞基金
000968  广发中证养老A  0.898  0.904  -0.66%  0.898        14.6    广发基金        
000969  前海开源大安全0.960  0.974  -1.43%  0.960          2.5    前海开源基金
000971  诺安新经济        0.857  0.862  -0.58%  0.857          3.3    诺安基金        
000972  新华多元            1.011  1.011    0.00%  1.011          1.4    新华基金管理
000973  新华增盈            1.186  1.186    0.00%  1.272        21.7    新华基金管理
000974  安信消费医药    1.273  1.275  -0.15%  1.333        20.7    安信基金管理
000975  华夏MSCIA股联  1.017  1.017    0.00%  1.017          1.7    华夏基金        
000976  长城新兴产业    1.134  1.144  -0.94%  1.134          0.8    长城基金        
000977  长城环保主题    0.906  0.921  -1.65%  0.906          4.9    长城基金        
000978  景顺量化精选    1.189  1.209  -1.65%  1.242        30.1    景顺长城基金
000979  景顺沪港深精选1.125  1.130  -0.44%  1.125        21.8    景顺长城基金
000985  嘉实逆向策略    1.113  1.133  -1.76%  1.113        10.2    嘉实基金        
000986  太平灵活配置    0.691  0.691    0.00%  0.691        21.4    太平基金        
000991  工银战略转型    1.189  1.199  -0.83%  1.189          7.3    工银瑞信基金
000993  华宝稳健回报    0.692  0.699  -1.00%  0.692          4.1    华宝基金        
000994  建信睿盈A          0.982  0.985  -0.30%  0.982          1.7    建信基金管理
000996  中银新动力        0.581  0.587  -1.02%  0.581        19.1    中银基金        
000997  南方双元A          1.098  1.098    0.00%  1.124          0.7    南方基金管理
001000  中欧明睿新起点0.869  0.868    0.11%  0.869        14.3    中欧基金        
001001  华夏债券A/B      1.053  1.057  -0.37%  1.923          7.6    华夏基金        
001004  新华稳健回报    0.863  0.865  -0.23%  0.863          4.1    新华基金管理
001007  国联安鑫安        1.046  1.045    0.16%  1.211          0.8    国联安基金    
001008  工银国企改革股1.072  1.074  -0.18%  1.072        14.1    工银瑞信基金
001009  上投安全战略    0.865  0.870  -0.57%  0.865          7.7    上投摩根基金
001011  华夏希望A          1.137  1.137    0.00%  1.657          9.8    华夏基金        
001014  中融融安混合    0.881  0.884  -0.33%  0.881          0.0    中融基金        
001015  华夏沪深300A    1.335  1.335    0.00%  1.335          4.9    华夏基金        
001017  泰达改革动力A  1.189  1.196  -0.59%  1.419          3.5    泰达宏利基金
001018  易基新经济        1.471  1.476  -0.33%  1.471          8.7    易方达基金    
001021  亚债中国A          1.228  1.226    0.16%  1.333        42.3    华夏基金        
001027  前海中证大农业0.904  0.913  -0.98%  0.904          1.0    前海开源基金
001028  华安物联网        0.657  0.661  -0.60%  0.657        14.1    华安基金        
001030  天弘云端生活    0.758  0.759  -0.15%  0.758          3.9    天弘基金        
001031  华夏安康A          1.301  1.303  -0.15%  1.461          1.9    华夏基金        
001036  嘉实企业变革    0.883  0.892  -1.00%  0.883        13.1    嘉实基金        
001037  国投锐意改革    0.673  0.676  -0.44%  0.673        11.7    国投瑞银基金
001039  嘉实先进制造    0.751  0.756  -0.66%  0.751        17.1    嘉实基金        
001040  新华策略精选    1.050  1.059  -0.84%  1.050          6.5    新华基金管理
001042  华夏领先            0.522  0.526  -0.76%  0.522        31.9    华夏基金        
001043  工银美丽城镇    1.146  1.151  -0.43%  1.146          3.9    工银瑞信基金
001044  嘉实新消费        1.390  1.390    0.00%  1.390        21.3    嘉实基金        
001045  华夏可转债A      0.931  0.942  -1.16%  0.931          0.8    华夏基金        
001047  光大国企改革    1.066  1.073  -0.65%  1.066          8.7    光大保德信基
001048  富国新兴产业    1.147  1.150  -0.26%  1.147        17.9    富国基金        
001050  添富成长            1.047  1.054  -0.66%  1.047        10.8    汇添富基金管
001051  华夏上证50联接0.929  0.924    0.54%  0.929        15.8    华夏基金        
001052  华夏中证500联  0.534  0.539  -0.92%  0.534        36.3    华夏基金        
001053  南方创新经济    1.178  1.188  -0.84%  1.178          7.6    南方基金管理
001054  工银新金融        1.056  1.062  -0.56%  1.056          6.4    工银瑞信基金
001056  北信健康生活    0.809  0.812  -0.36%  0.809          5.6    北信瑞丰基金
001059  中金绝对收益    1.038  1.040  -0.19%  1.038          0.7    中金基金        
001060  前海开源高端装1.200  1.209  -0.74%  1.200          1.7    前海开源基金
001064  广发环保ETF联  0.545  0.552  -1.12%  0.545        22.5    广发基金        
001067  鹏华弘盛A          1.259  1.259  -0.02%  1.259          1.5    鹏华基金        
001069  华泰消费成长    1.042  1.050  -0.76%  1.042          2.7    华泰柏瑞基金
001070  建信信息产业    1.225  1.230  -0.40%  1.225          3.2    建信基金管理
001071  华安互联网        1.224  1.224    0.00%  1.224        46.0    华安基金        
001072  华安智能装备    0.923  0.927  -0.43%  0.976          8.1    华安基金        
001073  华泰绝对收益    1.109  1.110  -0.05%  1.109          0.8    华泰柏瑞基金
001074  华泰量化驱动A  0.988  0.988  -0.06%  0.988          5.9    华泰柏瑞基金
001075  宝盈转型混合    0.573  0.577  -0.69%  0.573        28.1    宝盈基金        
001076  易方达改革红利1.008  1.006    0.19%  1.008        18.4    易方达基金    
001086  华富恒利债券A  1.036  1.040  -0.38%  1.036          2.2    华富基金        
001088  华宝国策混合    0.613  0.614  -0.16%  0.613        11.9    华宝基金        
001097  华泰积极优选    0.565  0.568  -0.52%  0.565          5.0    华泰柏瑞基金
001102  前海国家比较    1.469  1.479  -0.67%  1.469          3.2    前海开源基金
001103  前海工业革命    1.434  1.437  -0.20%  1.559          8.2    前海开源基金
001104  华安新丝路        1.111  1.111    0.00%  1.111        11.8    华安基金        
001105  信达创新            0.669  0.672  -0.44%  0.669          7.6    信达澳银基金
001106  华商健康生活    0.798  0.802  -0.49%  0.848        11.1    华商基金        
001110  中欧瑾泉A          1.570  1.569    0.01%  1.570          4.9    中欧基金        
001112  东方红中国优势1.571  1.567    0.25%  1.571        46.8    上海东方证券
001113  大数据100A        0.616  0.625  -1.47%  0.616        48.3    南方基金管理
001115  广发聚安A          1.129  1.129    0.00%  1.489          2.2    广发基金        
001117  中欧精选A          0.978  0.970    0.82%  0.978        14.6    中欧基金        
001118  华宝事件驱动    0.618  0.618    0.00%  0.618        30.0    华宝基金        
001119  国投新回报        1.007  1.006    0.09%  1.025          0.4    国投瑞银基金
001120  东方睿鑫A          0.548  0.549  -0.20%  0.548          2.4    东方基金管理
001122  鹏华弘利A          1.105  1.104    0.09%  1.173          8.1    鹏华基金        
001125  博时互联网        0.622  0.625  -0.48%  0.622        19.8    博时基金        
001126  上投卓越制造    0.683  0.685  -0.29%  0.683        20.0    上投摩根基金
001127  中银宏观策略    0.616  0.617  -0.16%  0.616        18.3    中银基金        
001128  宝盈新兴产业    0.569  0.572  -0.52%  0.569        24.5    宝盈基金        
001133  广发可选消费联0.655  0.658  -0.50%  0.655          4.4    广发基金        
001133  广发可选消费联0.655  0.656  -0.22%  0.655          4.4    广发基金        
001135  益民品质            0.562  0.560    0.35%  0.562          2.9    益民基金        
001136  易基裕如            1.089  1.089    0.00%  1.240          8.9    易方达基金    
001139  华安新动力        1.158  1.158    0.00%  1.158        10.8    华安基金        
001140  工银总回报        0.973  0.977  -0.40%  0.973          9.8    工银瑞信基金
001141  泰达创盈A          1.419  1.416    0.21%  1.419          1.0    泰达宏利基金
001143  华商量化进取    0.731  0.730    0.13%  0.731        27.6    华商基金        
001144  大成互联网        0.855  0.852    0.35%  0.855        13.2    大成基金        
001146  中欧瑾源A          1.248  1.248    0.00%  1.248          2.8    中欧基金        
001148  申万多策略A      1.008  1.007    0.09%  1.211          1.2    申万菱信基金
001150  融通互联网传媒0.496  0.498  -0.40%  0.496        28.9    融通基金        
001152  融通新区域        0.460  0.466  -1.28%  0.460        13.0    融通基金        
001154  北信平安            0.734  0.740  -0.81%  0.734          0.6    北信瑞丰基金
001156  申万新能源        0.808  0.817  -1.10%  0.808          3.6    申万菱信基金
001157  国联安睿祺        1.194  1.192    0.15%  1.194          0.7    国联安基金    
001158  工银新材料新能0.637  0.644  -1.08%  0.637        29.3    工银瑞信基金
001162  前海优势蓝筹A  0.984  0.960    2.50%  0.984          0.4    前海开源基金
001163  银华中国梦30    1.045  1.051  -0.57%  1.045          7.9    银华基金管理
001164  中欧琪和A          1.206  1.206  -0.02%  1.266          6.6    中欧基金        
001166  建信环保            0.627  0.631  -0.63%  0.627        31.9    建信基金管理
001167  金鹰科技创新    0.577  0.582  -0.85%  0.577          8.6    金鹰基金        
001170  泰达复兴            0.887  0.885    0.22%  0.887        11.0    泰达宏利基金
001171  工银养老产业    0.787  0.790  -0.37%  0.787        11.8    工银瑞信基金
001172  鹏华弘泽A          1.131  1.130    0.07%  1.131          0.5    鹏华基金        
001173  中欧瑾和A          1.094  1.095  -0.09%  1.094          1.1    中欧基金        
001178  前海开源再融资1.281  1.281    0.00%  1.501        18.2    前海开源基金
001179  德邦大健康        1.097  1.098  -0.09%  1.145          3.4    德邦基金        
001180  广发中证全指联0.746  0.752  -0.83%  0.746        17.8    广发基金        
001180  广发中证全指联0.746  0.747  -0.20%  0.746        17.8    广发基金        
001181  南方改革机遇    0.887  0.888  -0.11%  0.887        11.8    南方基金管理
001182  易方达安心回馈1.425  1.429  -0.27%  1.425          4.1    易方达基金    
001183  南方利淘A          1.180  1.180    0.00%  1.180          4.4    南方基金管理
001184  易方达新常态    0.366  0.367  -0.27%  0.366        68.6    易方达基金    
001185  安信动态策略A  1.301  1.300    0.06%  1.301          0.4    安信基金管理
001186  富国文体            0.974  0.973    0.10%  0.974        14.0    富国基金        
001188  鹏华改革            0.847  0.853  -0.70%  0.847        15.6    鹏华基金        
001189  广发聚宝            1.183  1.184  -0.08%  1.183          1.3    广发基金        
001190  鹏华弘润A          1.167  1.166    0.05%  1.167        12.4    鹏华基金        
001192  上投整合驱动    0.552  0.553  -0.18%  0.552        15.1    上投摩根基金
001193  中金消费升级    0.730  0.729    0.13%  0.730          2.2    中金基金        
001194  景顺稳健回报A  1.177  1.176    0.08%  1.177          7.0    景顺长城基金
001195  工银农业产业    0.699  0.714  -2.10%  0.699        13.2    工银瑞信基金
001196  东方鼎新灵活配1.229  1.229    0.00%  1.229          2.2    东方基金管理
001196  东方鼎新灵活配1.229  1.245  -1.25%  1.229          2.2    东方基金管理
001197  长盛转型升级    0.797  0.799  -0.25%  0.797        25.3    长盛基金        
001198  东方惠新A          1.077  1.077    0.02%  1.082          4.8    东方基金管理
001199  创金聚利A          1.112  1.111    0.09%  1.112          0.2    创金合信基金
001201  申万安鑫A          1.078  1.076    0.18%  1.134          0.8    申万菱信基金
001202  东方红领先精选1.127  1.129  -0.17%  1.247          6.0    上海东方证券
001203  东方红稳健A      1.321  1.321    0.00%  1.321          5.1    上海东方证券
001205  建信稳健回报    1.017  1.018  -0.09%  1.162          5.0    建信基金管理
001208  诺安低碳经济    1.120  1.125  -0.44%  1.120          9.3    诺安基金        
001209  前海主题精选A  0.760  0.759    0.13%  0.760          2.4    前海开源基金
001210  天弘互联网        0.559  0.556    0.48%  0.559        12.3    天弘基金        
001212  华润元大稳健A  1.051  1.050    0.09%  1.060          0.1    华润元大基金
001214  华泰中证500联  0.520  0.526  -1.06%  0.520          3.9    华泰柏瑞基金
001215  博时沪港深A      0.921  0.934  -1.39%  0.921        17.1    博时基金        
001216  易方达新收益A  1.588  1.588    0.00%  1.588          0.6    易方达基金    
001218  国投精选收益    0.586  0.589  -0.50%  0.586          9.0    国投瑞银基金
001219  上投动态            0.714  0.723  -1.24%  0.714          7.2    上投摩根基金
001220  民生研究精选    0.689  0.690  -0.14%  0.689          7.8    民生加银基金
001222  鹏华外延成长    1.000  0.997    0.30%  1.000          3.4    鹏华基金        
001223  鹏华文化传媒    0.961  0.983  -2.23%  0.961          1.0    鹏华基金        
001224  中邮新思路        1.330  1.335  -0.37%  1.330          0.7    中邮创业基金
001225  中邮趋势            0.454  0.459  -1.08%  0.454        33.5    中邮创业基金
001226  中邮稳健添利    1.207  1.207    0.00%  1.207          3.7    中邮创业基金
001227  中邮产业            0.586  0.589  -0.50%  0.586        43.1    中邮创业基金
001228  国联安鑫享A      0.863  0.862    0.03%  0.983          0.1    国联安基金    
001229  德邦福鑫A          0.956  0.956    0.01%  0.956          0.6    德邦基金        
001230  鹏华医药            0.553  0.555  -0.36%  0.553        24.1    鹏华基金        
001231  银华泰利A          1.302  1.301    0.07%  1.302          0.5    银华基金管理
001235  中银国企债A      1.014  1.016  -0.19%  1.134        21.8    中银基金        
001236  博时丝路A          0.853  0.863  -1.15%  0.853        11.9    博时基金        
001237  博时50ETF联接A0.976  0.970    0.54%  0.976          3.2    博时基金        
001239  长盛国企改革    0.400  0.401  -0.24%  0.400        17.9    长盛基金        
001241  国寿500ETF联接0.479  0.485  -1.07%  0.479          4.1    国寿安保基金
001242  博时大数据100A0.811  0.821  -1.14%  0.811        14.2    博时基金        
001244  华泰量化智慧A  0.978  0.987  -0.96%  1.026        13.3    华泰柏瑞基金
001245  工银生态环境    0.634  0.639  -0.78%  0.634        14.1    工银瑞信基金
001247  华泰新利灵活A  1.020  1.020    0.00%  1.138          1.2    华泰柏瑞基金
001249  易方达新利灵活1.234  1.234    0.00%  1.234          0.3    易方达基金    
001250  天弘新活力        1.152  1.151    0.05%  1.152          3.2    天弘基金        
001252  中海进取收益    0.986  0.999  -1.30%  0.986          0.5    中海基金        
001254  泰达新起点A      1.215  1.213    0.16%  1.215          0.6    泰达宏利基金
001255  长城改革红利    0.588  0.590  -0.38%  0.588          7.2    长城基金        
001256  泓德优选成长    1.028  1.035  -0.67%  1.181        30.7    泓德基金        
001257  兴业收益增强A  1.207  1.207    0.00%  1.207          0.7    兴业基金        
001261  中融新机遇        0.901  0.903  -0.22%  0.901          1.1    中融基金        
001264  银华恒利A          1.213  1.218  -0.41%  1.273          0.5    银华基金管理
001265  国泰兴益A          1.064  1.066  -0.18%  1.209          0.7    国泰基金        
001266  国投招财混合    0.814  0.820  -0.70%  0.846          1.9    国投瑞银基金
001267  泰达蓝筹            0.638  0.642  -0.62%  0.638          1.8    泰达宏利基金
001268  富国国家安全    0.544  0.544    0.00%  0.544        26.0    富国基金        
001270  英大灵活配置A  1.071  1.071  -0.03%  1.171          1.5    英大基金        
001272  兴业聚利            1.380  1.387  -0.50%  1.380          1.4    兴业基金        
001273  民生新动力A      0.889  0.899  -1.11%  0.889          0.2    民生加银基金
001275  中邮创新优势    0.746  0.755  -1.19%  0.746          4.9    中邮创业基金
001276  建信新经济        0.767  0.769  -0.26%  0.767          5.4    建信基金管理
001277  博时国企改革    0.726  0.730  -0.54%  0.726        15.0    博时基金        
001278  前海清洁能源A  1.432  1.434  -0.13%  1.532          4.5    前海开源基金
001279  中海积极增利    0.888  0.887    0.11%  0.888          2.4    中海基金        
001280  银华聚利A          1.238  1.238    0.00%  1.238          2.7    银华基金管理
001281  长安鑫利优选A  1.613  1.613  -0.04%  1.613          0.4    长安基金        
001282  华安新机遇混合1.113  1.113  -0.04%  1.113          1.2    华安基金        
001283  红塔盛金A          0.894  0.895  -0.08%  1.112          1.2    红塔红土基金
001285  易基新鑫I          1.075  1.074    0.09%  1.215          0.0    易方达基金    
001287  安信优势增长混1.534  1.542  -0.51%  1.534          0.4    安信基金管理
001287  安信优势增长混1.534  1.533    0.03%  1.534          0.4    安信基金管理
001289  银华汇利A          1.446  1.447  -0.06%  1.446          3.6    银华基金管理
001291  大摩量化多策略0.776  0.780  -0.51%  0.776          5.8    摩根士丹利华
001294  新华战略新兴    0.547  0.549  -0.36%  0.547          2.8    新华基金管理
001296  长城转型成长    0.949  0.951  -0.14%  0.949          0.8    长城基金        
001297  平安智慧中国    0.501  0.506  -0.98%  0.501          8.2    平安基金        
001298  金鹰民族新兴    1.114  1.130  -1.41%  1.114          0.7    金鹰基金        
001299  兴业添利            1.028  1.028    0.00%  1.195        83.9    兴业基金        
001300  大成睿景A          0.644  0.650  -0.92%  0.644        13.5    大成基金        
001302  前海金银A          0.843  0.832    1.32%  0.843          6.2    前海开源基金
001303  银华稳利A          0.931  0.931    0.00%  0.931          0.3    银华基金管理
001304  建信鑫安            1.017  1.017    0.00%  1.162          5.9    建信基金管理
001305  九泰天富            0.593  0.599  -1.00%  0.593        10.3    九泰基金        
001306  中欧永裕A          0.869  0.874  -0.57%  0.869        15.7    中欧基金        
001311  华安新回报        1.188  1.188    0.00%  1.188          6.0    华安基金        
001312  华安新优选A      0.904  0.904    0.00%  0.904          0.4    华安基金        
001313  上投智慧互联    0.633  0.638  -0.78%  0.633        22.6    上投摩根基金
001314  易方达新益I      1.506  1.507  -0.06%  1.506          1.2    易方达基金    
001316  安信稳健A          1.259  1.259    0.00%  1.314          1.6    安信基金管理
001318  东方新策略A      0.916  0.916    0.05%  0.916          0.9    东方基金管理
001319  农银信息传媒    0.621  0.623  -0.22%  0.621        21.1    农银汇理基金
001320  工银丰盈回报    1.155  1.159  -0.34%  1.155          0.8    工银瑞信基金
001322  东吴新趋势        0.496  0.494    0.40%  0.496          5.0    东吴基金        
001323  东吴互联A          0.856  0.851    0.58%  0.856          1.2    东吴基金        
001324  华宝新价值        1.159  1.160  -0.08%  1.159          3.3    华宝基金        
001325  鹏华弘和A          1.132  1.132  -0.02%  1.132          2.5    鹏华基金        
001327  鹏华弘华A          0.983  0.987  -0.41%  1.038          1.9    鹏华基金        
001329  鹏华弘实A          1.068  1.068    0.03%  1.123          0.0    鹏华基金        
001331  鹏华弘信A          1.171  1.173  -0.20%  1.202          3.3    鹏华基金        
001334  南方利鑫A          1.169  1.169    0.00%  1.169          5.1    南方基金管理
001335  南方利众A          1.166  1.166    0.00%  1.216          0.7    南方基金管理
001336  鹏华弘益A          1.137  1.137    0.03%  1.137          6.1    鹏华基金        
001339  兴银鼎新            0.791  0.792  -0.12%  0.848          0.1    兴银基金管理
001342  易方达新享A      1.608  1.607    0.06%  1.663          0.0    易方达基金    
001344  易基医药ETF联  0.975  0.975    0.06%  0.975          2.2    易方达基金    
001345  富国新收益A      1.128  1.128    0.00%  1.128          0.9    富国基金        
001348  大摩新机遇        0.961  0.963  -0.20%  0.961          0.4    摩根士丹利华
001349  富国改革            0.496  0.498  -0.40%  0.496        50.1    富国基金        
001351  诺安中证500增  0.675  0.684  -1.31%  0.675          1.6    诺安基金        
001352  民生新战略        1.250  1.252  -0.15%  1.250          1.2    民生加银基金
001355  广发聚泰A          1.032  1.039  -0.67%  1.339          0.3    广发基金        
001357  泓德泓富混合A  1.119  1.124  -0.49%  1.239        25.2    泓德基金        
001358  宝盈祥泰            1.095  1.095    0.00%  1.095          0.3    宝盈基金        
001359  国联安添鑫A      0.927  0.929  -0.21%  0.957          0.2    国联安基金    
001361  景顺TMT150联接0.476  0.477  -0.20%  0.476          6.6    景顺长城基金
001362  景顺领先回报A  1.202  1.206  -0.33%  1.261          0.7    景顺长城基金
001363  长城久惠混合    1.057  1.057  -0.02%  1.057          0.9    长城基金        
001364  大成景润            0.746  0.746    0.00%  0.746          0.2    大成基金        
001365  大成正向            0.655  0.657  -0.30%  0.655          2.1    大成基金        
001366  金鹰产业            0.655  0.657  -0.30%  0.655          4.0    金鹰基金        
001367  德邦新添利债券1.062  1.062    0.00%  1.258          3.7    德邦基金        
001370  中银新趋势        1.110  1.109    0.09%  1.110          1.6    中银基金        
001371  富国沪港深        1.103  1.103    0.00%  1.350        37.9    富国基金        
001373  易方达新丝路    0.837  0.837    0.00%  0.837      124.6    易方达基金    
001382  易方达国企        1.141  1.139    0.17%  1.141          1.0    易方达基金    
001384  东方新思路A      0.740  0.743  -0.33%  0.740          4.9    东方基金管理
001387  中融新经济A      1.610  1.619  -0.55%  2.042          0.6    中融基金        
001392  国富金融地产A  1.138  1.138    0.05%  1.138          0.6    国海富兰克林
001396  建信互联网+      0.637  0.639  -0.31%  0.637        14.0    建信基金管理
001397  建信精工制造    0.983  0.988  -0.51%  0.983          1.0    建信基金管理
001398  华泰健康            0.827  0.833  -0.72%  0.827          7.5    华泰柏瑞基金
001399  安信鑫安得利A  1.267  1.267    0.06%  1.267          0.4    安信基金管理
001402  信诚新选回报A  1.029  1.029    0.00%  1.029          0.5    中信保诚基金
001403  招商国企            0.777  0.779  -0.25%  0.777          8.2    招商基金        
001404  招商互联网        0.694  0.698  -0.57%  0.694        17.3    招商基金        
001405  东方红策略A      1.072  1.072  -0.02%  1.192          2.9    上海东方证券
001408  建信鑫丰A          1.063  1.063    0.00%  1.063        10.5    建信基金管理
001409  工银互联网加    0.304  0.305  -0.32%  0.304      101.6    工银瑞信基金
001410  信达新能源        1.456  1.459  -0.20%  1.518          7.6    信达澳银基金
001411  诺安创新驱动A  1.008  1.008    0.00%  1.078          7.8    诺安基金        
001412  德邦鑫星价值A  1.063  1.063    0.00%  1.161          3.3    德邦基金        
001413  中融鑫起点A      0.909  0.909  -0.01%  0.959          0.0    中融基金        
001415  信诚新锐回报A  0.955  0.954    0.10%  0.955          0.5    中信保诚基金
001416  嘉实事件驱动    0.694  0.699  -0.71%  0.694        64.0    嘉实基金        
001417  添富医疗服务    0.986  0.993  -0.70%  0.986        78.7    汇添富基金管
001418  泰达创益A          1.289  1.286    0.23%  1.289          1.1    泰达宏利基金
001419  泰达新思路A      1.082  1.080    0.18%  1.122          1.5    泰达宏利基金
001420  大数据300A        0.981  0.981  -0.02%  0.981          5.3    南方基金管理
001421  南方量化成长    0.920  0.935  -1.60%  0.920          5.2    南方基金管理
001422  景顺安享回报A  1.108  1.107    0.09%  1.199          5.1    景顺长城基金
001424  博时新起点混合1.523  1.524  -0.12%  1.523          0.2    博时基金        
001426  大数据300C        0.968  0.968  -0.03%  0.968                    南方基金管理
001427  招商丰泽A          1.210  1.210    0.00%  1.210          8.5    招商基金        
001430  中邮乐享            1.152  1.152    0.00%  1.212          0.0    中邮创业基金
001433  易方达瑞景        1.274  1.274    0.00%  1.274          0.4    易方达基金    
001437  易基瑞享I          1.133  1.140  -0.61%  1.133          1.5    易方达基金    
001441  易方达瑞信I      0.915  0.917  -0.21%  0.915          2.4    易方达基金    
001443  易方达瑞选I      1.146  1.148  -0.17%  1.276          5.5    易方达基金    
001445  华安国企改革    1.563  1.568  -0.31%  1.563          2.2    华安基金        
001447  天弘惠利            1.203  1.203  -0.02%  1.203          5.0    天弘基金        
001448  华商双翼            1.110  1.114  -0.35%  1.110          1.2    华商基金        
001449  华商优选            1.002  1.012  -0.98%  1.192          3.6    华商基金        
001453  鹏华弘鑫A          1.001  1.001    0.00%  1.001          0.7    鹏华基金        
001455  景顺中证500联  0.673  0.680  -1.02%  0.673          4.4    景顺长城基金
001457  华商新常态        0.660  0.664  -0.60%  0.910          2.9    华商基金        
001463  光大战略            0.690  0.693  -0.43%  0.690          6.6    光大保德信基
001464  光大鼎鑫A          0.987  0.986    0.10%  1.053          0.5    光大保德信基
001466  华富永鑫A          1.001  1.002  -0.06%  1.001          0.0    华富基金        
001468  广发改革先锋    0.586  0.591  -0.84%  0.586          5.2    广发基金        
001469  广发金融联接A  1.023  1.022    0.07%  1.023          3.8    广发基金        
001470  融通通鑫            1.102  1.103  -0.09%  1.161        10.4    融通基金        
001471  融通新能源        0.965  0.978  -1.32%  1.085        10.9    融通基金        
001473  建信大安全        1.333  1.332    0.07%  1.333          1.0    建信基金管理
001475  易基国防军工    0.710  0.719  -1.25%  0.710        44.1    易方达基金    
001476  中银智能制造    0.584  0.591  -1.18%  0.584        24.2    中银基金        
001479  中邮风格轮动    1.018  1.024  -0.58%    1141          0.5    中邮创业基金
001480  财通成长优选    0.858  0.846    1.41%  0.858          9.2    财通基金        
001482  上投新兴服务    0.997  1.001  -0.39%  0.997          0.7    上投摩根基金
001484  天弘新价值        1.156  1.154    0.12%  1.156          0.6    天弘基金        
001485  华安添颐            1.148  1.147    0.08%  1.148          9.5    华安基金        
001487  宝盈优势            1.262  1.262    0.00%  1.412          1.0    宝盈基金        
001488  万家瑞丰A          1.137  1.137    0.00%  1.137          0.5    万家基金        
001490  添富国企创新    0.897  0.901  -0.44%  0.897          6.9    汇添富基金管
001495  东方新价值A      1.132  1.130    0.15%  1.132          0.2    东方基金管理
001496  工银聚焦30        0.675  0.679  -0.58%  0.675          2.9    工银瑞信基金
001498  建信鑫荣            1.318  1.318    0.00%  1.318          0.4    建信基金管理
001499  国投新增长A      1.165  1.165    0.00%  1.215          0.6    国投瑞银基金
001500  泓德远见回报    1.166  1.169  -0.25%  1.410        28.0    泓德基金        
001506  景顺泰和A          1.207  1.208  -0.08%  1.207          0.7    景顺长城基金
001508  富国新动力A      1.599  1.609  -0.62%  1.599          1.6    富国基金        
001511  兴全新视野        1.228  1.236  -0.64%  1.288        49.7    兴全基金
001512  易基中债            1.148  1.148    0.00%  1.148          1.0    易方达基金    
001513  易方达信息产业1.119  1.116    0.26%  1.119          4.9    易方达基金    
001518  万家瑞兴            1.494  1.495  -0.08%  2.134          1.6    万家基金        
001520  国投研究精选    0.901  0.906  -0.55%  0.901          0.5    国投瑞银基金
001521  国寿安保成长    0.937  0.943  -0.63%  1.007          4.4    国寿安保基金
001522  博时新策略A      1.109  1.109  -0.02%  1.162          1.9    博时基金        
001524  华泰精选回报    1.070  1.070  -0.01%  1.070          5.0    华泰柏瑞基金
001528  诺安先进制造    1.382  1.374    0.58%  1.382          3.6    诺安基金        
001530  万家瑞富            1.042  1.042    0.00%  1.072          2.7    万家基金        
001531  招商安益混合    1.107  1.106    0.14%  1.107          0.7    招商基金        
001532  华安文体健康    1.118  1.127  -0.79%  1.118          0.9    华安基金        
001534  华宝万物            0.735  0.736  -0.13%  0.735          3.3    华宝基金        
001535  景顺改革机遇    0.950  0.953  -0.31%  0.950          0.5    景顺长城基金
001536  南方君选            1.020  1.023  -0.29%  1.144          2.2    南方基金管理
001537  中加改革红利    0.874  0.877  -0.36%  0.934          0.7    中加基金        
001538  上投科技前沿    1.114  1.120  -0.53%  1.114          0.6    上投摩根基金
001539  嘉实中证地产联1.242  1.154    7.60%  1.242          0.5    嘉实基金        
001539  嘉实中证地产联1.242  1.240    0.12%  1.242          0.5    嘉实基金        
001540  浙商汇金转型    0.613  0.611    0.32%  0.613          3.8    浙江浙商证券
001541  汇添富民营        0.782  0.786  -0.50%  0.782          4.8    汇添富基金管
001542  国泰互联网+      1.449  1.456  -0.48%  1.608        23.7    国泰基金        
001543  宝盈新锐            1.556  1.556    0.00%  1.556          1.5    宝盈基金        
001547  兴业聚惠A          1.231  1.232  -0.08%  1.231          0.9    兴业基金        
001548  天弘上证50A      1.098  1.092    0.55%  1.098          7.1    天弘基金        
001550  天弘中证医药A  0.674  0.682  -1.15%  0.674          8.0    天弘基金        
001552  天弘中证保险A  0.811  0.810    0.12%  0.811          5.5    天弘基金        
001556  天弘量化驱动A  0.730  0.736  -0.84%  0.730          0.3    天弘基金        
001558  天弘医疗健康A  0.836  0.843  -0.73%  0.836          1.8    天弘基金        
001562  易方达瑞和灵活1.043  1.043    0.00%  1.043          2.3    易方达基金    
001563  华富健康文娱    0.987  0.989  -0.20%  0.987          0.4    华富基金        
001564  东方红京东        1.247  1.253  -0.47%  1.247        16.9    上海东方证券
001566  南方利达A          1.184  1.183    0.08%  1.184          0.3    南方基金管理
001569  泰信国策            0.625  0.632  -1.10%  0.625          1.6    泰信基金        
001570  南方利安A          1.090  1.089    0.09%  1.090          3.8    南方基金管理
001571  嘉合磐石A          1.113  1.113    0.07%  1.263        10.7    嘉合基金        
001573  南方互联混合    0.940  0.949  -0.94%  0.940          1.1    南方基金管理
001574  中海混改红利    0.946  0.946    0.00%  0.946          0.5    中海基金        
001575  兴银稳健            1.011  1.010    0.04%  1.085        21.7    兴银基金管理
001576  国泰智能装备    0.982  0.991  -0.90%  0.982          8.0    国泰基金        
001577  嘉实低价            1.049  1.057  -0.75%  1.049          1.8    嘉实基金        
001578  博时裕瑞            1.153  1.152    0.03%  1.199          3.3    博时基金        
001579  国泰大农业        1.307  1.314  -0.53%  1.307          1.0    国泰基金        
001581  华安沪港深通    1.242  1.240    0.16%  1.361          3.7    华安基金        
001583  安信新常态        1.182  1.185  -0.25%  1.277          5.0    安信基金管理
001588  天弘中证800A    0.865  0.867  -0.18%  0.865          0.8    天弘基金        
001592  天弘创业A          0.592  0.598  -0.93%  0.592        48.7    天弘基金        
001594  天弘中证银行A  1.115  1.110    0.42%  1.115          4.6    天弘基金        
001596  信诚新泽A          1.050  1.050    0.00%  1.103          2.0    中信保诚基金
001601  鑫元鑫新A          1.008  1.007    0.03%  1.028          1.0    鑫元基金        
001603  易基安盈回报    1.181  1.188  -0.58%  1.181          0.8    易方达基金    
001604  汇金转型升级    0.931  0.929    0.21%  0.931          0.1    浙江浙商证券
001605  国富沪港深成长1.158  1.159  -0.08%  1.158          1.7    国海富兰克林
001606  农银工业4.0      1.107  1.114  -0.56%  1.107          1.6    农银汇理基金
001607  英大策略优选A  1.187  1.184    0.28%  1.187          0.9    英大基金        
001609  平安鑫享A          1.142  1.142    0.00%  1.142          2.1    平安基金        
001613  长城久祥混合    1.006  1.014  -0.77%  1.006          1.1    长城基金        
001614  东方区域发展    0.802  0.803  -0.11%  0.802          0.3    东方基金管理
001616  嘉实环保低碳    1.283  1.314  -2.35%  1.283        21.8    嘉实基金        
001617  天弘电子A          0.761  0.762  -0.13%  0.761          4.7    天弘基金        
001623  兴业国企改革    1.204  1.202    0.16%  1.204          2.7    兴业基金        
001626  国泰央企改革    1.075  1.078  -0.27%  1.075          1.7    国泰基金        
001628  招商体育文化    0.789  0.796  -0.87%  0.789          0.6    招商基金        
001629  天弘计算机A      0.653  0.658  -0.74%  0.653        12.8    天弘基金        
001631  天弘食品A          1.615  1.615    0.00%  1.693          3.1    天弘基金        
001633  万家瑞祥A          1.016  1.016    0.01%  1.098          4.5    万家基金        
001635  万家瑞益A          1.293  1.296  -0.22%  1.293          3.8    万家基金        
001637  嘉实腾讯            0.976  0.987  -1.11%  0.976          2.3    嘉实基金        
001641  富国多策略        1.132  1.132    0.00%  1.132          1.0    富国基金        
001643  汇丰智造先锋A  0.893  0.905  -1.23%  0.893          0.8    汇丰晋信基金
001645  国泰大健康        1.517  1.518  -0.06%  1.517          2.5    国泰基金        
001648  工银新价值        0.879  0.882  -0.34%  0.879          0.6    工银瑞信基金
001650  工银丰收回报A  1.150  1.150    0.00%  1.150          1.8    工银瑞信基金
001651  工银新蓝筹        1.353  1.361  -0.58%  1.353          2.2    工银瑞信基金
001656  农银中国优势    0.910  0.914  -0.40%  0.910          0.4    农银汇理基金
001657  长安鑫富领先    1.496  1.497  -0.06%  1.496          0.2    长安基金        
001659  富安达新动力    1.250  1.254  -0.31%  1.250          0.7    富安达基金    
001660  富安达行业轮动0.974  0.981  -0.71%  0.974          1.4    富安达基金    
001662  创金沪港深        1.000  1.010  -0.99%  1.000          3.6    创金合信基金
001663  中银互联网+      0.881  0.880    0.11%  0.881          0.9    中银基金        
001664  平安鑫安A          1.065  1.064    0.02%  1.065          1.3    平安基金        
001667  南方转型混合    0.777  0.779  -0.25%  0.777          4.1    南方基金管理
001672  国寿智慧生活    0.951  0.956  -0.52%  1.101          2.9    国寿安保基金
001675  江信同福A          0.924  0.926  -0.19%  0.963          0.5    江信基金        
001677  中银战略            1.232  1.236  -0.32%  1.232          1.9    中银基金        
001678  英大国企改革    1.104  1.105  -0.04%  1.104          0.6    英大基金        
001679  前海稀缺资产A  1.191  1.196  -0.41%  1.191          2.7    前海开源基金
001681  新华积极价值    1.050  1.044    0.57%  1.050          0.8    新华基金管理
001682  新华鑫回报        0.941  0.945  -0.42%  1.051          0.3    新华基金管理
001685  汇添富沪港深    1.026  1.029  -0.29%  1.026          3.1    汇添富基金管
001686  安信新动力A      1.075  1.075    0.00%  1.169          0.0    安信基金管理
001688  嘉实新起点A      1.083  1.083    0.00%  1.083          0.1    嘉实基金        
001692  南方国策动力    1.018  1.021  -0.29%  1.048          1.5    南方基金管理
001694  华安沪港深增长1.462  1.469  -0.47%  1.537          3.6    华安基金        
001695  泓德泓业            1.129  1.135  -0.52%  1.239          8.1    泓德基金        
001696  南方智造未来    0.909  0.911  -0.21%  0.909          1.1    南方基金管理
001701  中融产业升级    1.004  1.018  -1.37%  1.004          0.3    中融基金        
001702  东方创新科技    0.779  0.778    0.14%  0.779          0.5    东方基金管理
001703  银华沪港深增长1.382  1.386  -0.28%  1.452          2.1    银华基金管理
001704  国投进宝混合    0.959  0.962  -0.39%  0.984          3.1    国投瑞银基金
001705  泓德战略转型    0.959  0.964  -0.51%  1.159          5.5    泓德基金        
001706  诺安积极回报    1.220  1.218    0.16%  1.220          0.1    诺安基金        
001707  诺安高端制造    1.076  1.091  -1.37%  1.076          0.7    诺安基金        
001708  东兴改革精选    0.873  0.871    0.22%  0.873          0.2    东兴证券股份
001709  华富物联            0.973  0.983  -1.01%  0.973          0.2    华富基金        
001710  安信新趋势A      1.043  1.043    0.00%  1.143          5.5    安信基金管理
001712  东方优势精选    1.291  1.291    0.00%  1.291        14.4    上海东方证券
001713  华润中创100      0.690  0.690  -0.02%  0.690          0.0    华润元大基金
001714  工银文体            1.575  1.582  -0.44%  1.575          6.4    工银瑞信基金
001715  工银新焦点A      1.001  1.002  -0.09%  1.001          0.8    工银瑞信基金
001716  工银新趋势A      1.213  1.215  -0.16%  1.213          1.0    工银瑞信基金
001717  工银前沿医疗    1.456  1.458  -0.13%  1.456          4.0    工银瑞信基金
001718  工银物流            1.327  1.328  -0.07%  1.327          0.3    工银瑞信基金
001719  工银国家战略    0.970  0.974  -0.41%  0.970          0.6    工银瑞信基金
001720  工银新增利        1.098  1.097    0.09%  1.098          0.6    工银瑞信基金
001721  工银新增益        1.073  1.073    0.00%  1.073          2.0    工银瑞信基金
001722  工银银和利        1.133  1.133    0.00%  1.133          1.9    工银瑞信基金
001723  华商新动力        0.557  0.556    0.17%  0.557          0.6    华商基金        
001725  汇添富高端制造1.286  1.291  -0.38%  1.286        24.2    汇添富基金管
001726  汇添富新兴        0.906  0.909  -0.33%  0.906          6.0    汇添富基金管
001731  广发大数据价值0.844  0.844    0.00%  0.844          0.7    广发基金        
001733  泰达宏利量化    0.912  0.920  -0.86%  0.912          0.4    泰达宏利基金
001734  广发大数据成长0.844  0.852  -0.93%  0.844          1.7    广发基金        
001736  圆信永丰优加生1.383  1.389  -0.43%  1.383          7.5    圆信永丰基金
001738  大摩新趋势        0.825  0.829  -0.37%  0.825          0.4    摩根士丹利华
001739  中融融安二号    1.011  1.011    0.00%  1.011          0.1    中融基金        
001740  光大制造2025    0.990  0.988    0.20%  1.089        10.6    光大保德信基
001741  广发百发大数据0.893  0.893    0.00%  0.893          0.6    广发基金        
001743  诺安优选            1.200  1.197    0.25%  1.200          0.1    诺安基金        
001744  诺安进取回报    0.892  0.893  -0.11%  0.920          2.1    诺安基金        
001745  易方达瑞富I      1.057  1.058  -0.09%  1.107          2.6    易方达基金    
001747  易方达瑞祺I      1.069  1.070  -0.09%  1.069          2.6    易方达基金    
001748  易方达瑞祺E      1.066  1.068  -0.18%  1.066                    易方达基金    
001749  招商中国机遇    0.866  0.870  -0.45%  0.866          8.5    招商基金        
001750  景顺景瑞            1.027  1.027    0.00%  1.074          0.5    景顺长城基金
001751  华商信用A          0.865  0.865    0.00%  0.865          0.2    华商基金        
001753  红土新兴产业    0.736  0.740  -0.54%  0.736          0.9    红土创新基金
001755  嘉实新思路        1.108  1.110  -0.18%  1.158          0.5    嘉实基金        
001756  嘉实策略优选    1.033  1.034  -0.09%  1.135          4.1    嘉实基金        
001758  嘉实研究            0.930  0.934  -0.42%  0.930          3.4    嘉实基金        
001759  嘉实成长增强    0.982  0.983  -0.10%  0.982          6.9    嘉实基金        
001760  嘉实创新混合    0.823  0.825  -0.24%  0.823          0.5    嘉实基金        
001761  广发安宏A          1.273  1.272    0.07%  1.273          2.6    广发基金        
001763  广发多策略        0.866  0.866    0.00%  0.866        15.8    广发基金        
001764  广发沪港深        0.892  0.890    0.22%  1.029        11.0    广发基金        
001765  前海嘉鑫A          1.079  1.078    0.09%  1.079          0.5    前海开源基金
001766  上投医疗            1.062  1.070  -0.74%  1.062          6.8    上投摩根基金
001771  南方量化            0.895  0.896  -0.11%  0.895          0.5    南方基金管理
001776  中欧兴利            1.034  1.034    0.04%  1.194        48.3    中欧基金        
001779  中融稳健添利    0.900  0.899    0.11%  0.900          0.3    中融基金        
001780  诺安改革            0.911  0.922  -1.19%  0.911          0.7    诺安基金        
001781  建信现代服务业1.007  1.010  -0.29%  1.007          0.3    建信基金管理
001782  九泰久益A          1.190  1.208  -1.49%  1.324          0.2    九泰基金        
001783  兴银合盈A          1.004  1.004    0.00%  1.004          0.0    兴银基金管理
001789  国泰量化收益    1.005  1.005    0.00%  1.071          0.1    国泰基金        
001790  国泰智能汽车    0.749  0.757  -1.05%  0.749        13.2    国泰基金        
001791  大成绝对收益A  0.931  0.930    0.10%  0.931          0.4    大成基金        
001795  上投文体休闲    0.789  0.790  -0.12%  0.789          0.7    上投摩根基金
001796  汇添富安鑫智选1.147  1.150  -0.26%  1.177          3.8    汇添富基金管
001798  泰康新回报A      1.012  1.020  -0.80%  1.012          0.6    泰康资产管理
001800  华安新乐享        1.180  1.185  -0.47%  1.180          1.3    华安基金        
001801  汇添富达欣A      1.086  1.087  -0.09%  1.086          0.5    汇添富基金管
001802  易方达瑞财I      1.103  1.103    0.00%  1.193        10.9    易方达基金    
001806  易方达瑞智I      1.008  1.007    0.09%  1.008          0.1    易方达基金    
001808  银华互联网        0.809  0.813  -0.49%  0.809          1.1    银华基金管理
001809  中信建投智信A  0.897  0.905  -0.93%  0.897          0.3    中信建投基金
001810  中欧潜力A          1.168  1.175  -0.59%  1.350        27.2    中欧基金        
001811  中欧明睿新常态1.181  1.187  -0.50%  1.310        35.8    中欧基金        
001815  华泰激励动力A  1.314  1.324  -0.75%  1.379          0.4    华泰柏瑞基金
001816  添富新睿精选A  1.147  1.147    0.00%  1.147          1.0    汇添富基金管
001817  易方达瑞兴I      1.039  1.038    0.09%  1.039          0.1    易方达基金    
001819  兴全稳益定开    1.088  1.087    0.02%  1.237        97.7    兴全基金
001822  华商智能生活    0.779  0.782  -0.38%  0.779          2.6    华商基金        
001824  博时沪港深成长1.124  1.125  -0.08%  1.124          0.0    博时基金        
001825  建信中国制造200.835  0.833    0.25%  0.835          1.3    建信基金管理
001827  富国研究优选    1.265  1.268  -0.23%  1.265          0.4    富国基金        
001829  北信中国智造    0.837  0.838  -0.11%  0.837          1.0    北信瑞丰基金
001830  融通跨界成长    1.156  1.164  -0.68%  1.156          0.4    融通基金        
001832  易方达瑞恒        1.070  1.071  -0.09%  1.070          4.1    易方达基金    
001835  易方达瑞祥I      1.077  1.077    0.00%  1.077          0.1    易方达基金    
001837  前海蓝筹精选    1.072  1.078  -0.55%  1.233        21.3    前海开源基金
001838  国投国安            0.659  0.670  -1.64%  0.659        16.5    国投瑞银基金
001839  九泰久兴            0.943  0.955  -1.25%  0.993          1.5    九泰基金        
001849  前海强势共识101.002  1.001    0.09%  1.002          0.2    前海开源基金
001850  国泰安益A          1.121  1.120    0.09%  1.121          1.4    国泰基金        
001852  融通中国风1号  1.318  1.315    0.22%  1.348          0.3    融通基金        
001856  易方达环保        1.166  1.172  -0.51%  1.166          2.3    易方达基金    
001857  易方达现代服务1.045  1.045    0.00%  1.045        15.1    易方达基金    
001858  建信鑫利            0.884  0.885  -0.18%  0.884          3.5    建信基金管理
001861  富安达健康人生1.087  1.090  -0.32%  1.087          0.3    富安达基金    
001862  东方红收益A      1.031  1.035  -0.38%  1.111        19.2    上海东方证券
001864  中海长三角        1.047  1.048  -0.09%  1.047          0.7    中海基金        
001866  北信新成长        0.955  0.955    0.00%  0.995          0.9    北信瑞丰基金
001869  招商制造业A      1.048  1.052  -0.38%  1.168          7.1    招商基金        
001874  前海价值精选    1.322  1.342  -1.49%  1.492          0.7    前海开源基金
001875  前海沪港深        1.289  1.298  -0.69%  1.689          6.1    前海开源基金
001877  宝盈沪港深        0.786  0.788  -0.25%  0.786          0.8    宝盈基金        
001878  嘉实沪港深精选1.292  1.296  -0.30%  1.360        40.6    嘉实基金        
001879  长城创业板增强1.025  1.040  -1.40%  1.025          0.8    长城基金        
001880  长城中国智造    1.047  1.050  -0.33%  1.047          0.6    长城基金        
001892  长盛新兴成长    1.036  1.039  -0.28%  1.036          5.5    长盛基金        
001897  九泰久盛A          0.897  0.906  -0.99%  1.078          2.4    九泰基金        
001898  易方达大健康    1.118  1.117    0.08%  1.118          6.0    易方达基金    
001899  东海社会安全    0.620  0.621  -0.16%  0.620          0.7    东海基金管理
001900  诺安精选价值    0.986  0.985    0.11%  0.986          3.9    诺安基金        
001901  前海沪港深隆鑫0.958  0.956    0.20%  0.998          4.0    前海开源基金
001903  光大欣鑫A          1.388  1.387    0.07%  1.732          0.9    光大保德信基
001905  华安安益混合    0.997  1.002  -0.49%  0.997          1.8    华安基金        
001907  国投境煊混合A  1.230  1.239  -0.69%  1.230          0.7    国投瑞银基金
001910  泰康新机遇        1.100  1.099    0.05%  1.224        22.1    泰康资产管理
001911  博时裕恒纯债    1.063  1.063    0.02%  1.157        24.8    博时基金        
001914  中信建投聚利A  0.873  0.875  -0.25%  0.917          0.5    中信建投基金
001915  宝盈医疗            0.869  0.878  -1.02%  0.869          1.9    宝盈基金        
001917  招商量化精选    0.923  0.933  -1.14%  0.993          0.5    招商基金        
001918  圆信兴利A          1.078  1.077    0.09%  1.111          1.9    圆信永丰基金
001920  景顺景颐宏利A  1.121  1.123  -0.17%  1.121          1.7    景顺长城基金
001922  国泰多策略        1.050  1.048    0.14%  1.050          1.0    国泰基金        
001924  华夏国企改革    0.776  0.776    0.00%  0.776          8.5    华夏基金        
001927  华夏消费升级A  1.555  1.559  -0.25%  1.555          9.5    华夏基金        
001932  国寿灵活优选    1.008  1.008    0.02%  1.056                    国寿安保基金
001933  华商新兴            0.827  0.830  -0.36%  0.827          0.6    华商基金        
001938  中欧时代A          1.239  1.245  -0.46%  1.705        42.7    中欧基金        
001939  光大睿鑫A          1.175  1.177  -0.16%  1.398          2.0    光大保德信基
001940  农银现代农业    1.101  1.117  -1.41%  1.101          0.7    农银汇理基金
001942  前海沪港深汇鑫1.313  1.304    0.69%  1.313          0.2    前海开源基金
001945  东方红信用债A  1.116  1.118  -0.17%  1.166          3.0    上海东方证券
001947  上投安鑫A          1.044  1.044    0.00%  1.098          0.5    上投摩根基金
001948  建信稳定丰利A  1.146  1.146    0.00%  1.146          0.8    建信基金管理
001951  金鹰改革红利    0.994  0.995  -0.10%  0.994          1.0    金鹰基金        
001954  银华生态环保    1.029  1.029    0.00%  1.029          0.2    银华基金管理
001955  中欧养老混合    1.288  1.296  -0.61%  1.288          1.0    中欧基金        
001956  国联安科技        0.818  0.813    0.61%  0.818          1.1    国联安基金    
001957  嘉合磐通A          1.056  1.055    0.10%  1.056          1.4    嘉合基金        
001959  华商乐享互联    0.671  0.677  -0.88%  0.671          2.0    华商基金        
001961  博时裕荣纯债    1.115  1.115    0.03%  1.149          5.6    博时基金        
001963  中欧天禧            1.109  1.110  -0.09%  1.109          0.1    中欧基金        
001965  圆信永丰兴源A  0.979  0.988  -0.91%  0.979          3.1    圆信永丰基金
001967  华宝转型升级    0.914  0.917  -0.32%  0.914          0.6    华宝基金        
001970  泰信鑫选A          0.846  0.856  -1.16%  0.846          0.6    泰信基金        
001972  前海智慧生活    1.191  1.191    0.00%  1.191          0.7    前海开源基金
001974  景顺新动力        1.355  1.362  -0.51%  1.355          5.0    景顺长城基金
001975  景顺环保            1.476  1.477  -0.06%  1.476          7.0    景顺长城基金
001978  泰信互联网        0.968  0.981  -1.32%  0.968          0.5    泰信基金        
001979  南方沪港深价值0.861  0.863  -0.23%  0.861          1.0    南方基金管理
001980  中欧量化驱动    0.969  0.982  -1.37%  0.969          0.3    中欧基金        
001983  中邮低碳            0.619  0.624  -0.80%  0.619          2.0    中邮创业基金
001985  富国低碳新经济1.349  1.366  -1.24%  1.349          5.4    富国基金        
001986  前海人工智能    0.987  0.989  -0.20%  0.987          9.1    前海开源基金
001988  南方纯元A          1.042  1.041    0.06%  1.104        25.2    南方基金管理
001990  中欧数据挖掘A  0.967  0.976  -0.92%  1.055          1.2    中欧基金        
001993  博时裕泰            1.059  1.059    0.06%  1.176        10.0    博时基金        
002000  工银新生利        1.085  1.085    0.00%  1.085          2.0    工银瑞信基金
002001  华夏回报A          1.416  1.418  -0.14%  4.400        92.7    华夏基金        
002003  工银新机遇A      0.868  0.869  -0.11%  0.868          0.7    工银瑞信基金
002005  工银新得利混合1.113  1.113    0.00%  1.113          1.1    工银瑞信基金
002006  工银新得益        1.188  1.190  -0.16%  1.188          1.1    工银瑞信基金
002009  中欧瑾通A          1.106  1.106    0.00%  1.174          6.9    中欧基金        
002011  华夏红利            2.121  2.123  -0.09%  4.594        37.1    华夏基金        
002015  南方荣光A          1.152  1.153  -0.08%  1.152          6.7    南方基金管理
002018  鹏华弘安A          1.096  1.095    0.05%  1.117          8.1    鹏华基金        
002020  国都创新驱动    1.010  1.027  -1.65%  1.050          0.3    国都证券股份
002021  华回报二            1.190  1.192  -0.16%  3.295        48.2    华夏基金        
002023  红塔稳健回报A  1.166  1.163    0.19%  1.166          0.1    红塔红土基金
002025  广发聚盛A          1.227  1.227    0.00%  1.257          2.7    广发基金        
002027  中加心享A          1.057  1.056    0.05%  1.127        13.9    中加基金        
002031  华夏策略            3.329  3.327    0.06%  3.929          2.3    华夏基金        
002049  融通新机遇        1.081  1.082  -0.09%  1.122        10.1    融通基金        
002054  中银新财富A      1.007  1.007    0.00%  1.196          1.2    中银基金        
002057  中银新机遇A类  1.019  1.019    0.00%  1.185          4.9    中银基金        
002064  华富产业            0.959  0.965  -0.62%  0.959          0.5    华富基金        
002065  景顺双息收益A  1.103  1.103    0.00%  1.103          0.3    景顺长城基金
002067  诺安精选回报    0.912  0.912    0.00%  1.072          1.4    诺安基金        
002073  圆信兴融A          1.007  1.007    0.00%  1.136        24.6    圆信永丰基金
002076  浙商中证500增  0.857  0.866  -1.02%  0.857                    浙商基金        
002083  新华鑫动力A      0.847  0.853  -0.70%  0.847          0.2    新华基金管理
002085  长盛互联网+      1.009  1.011  -0.19%  1.009          0.6    长盛基金        
002087  国富新机遇混合1.107  1.106    0.09%  1.145          2.4    国海富兰克林
002095  博时新收益A      1.034  1.039  -0.50%  1.151          2.3    博时基金        
002101  创金转债精选A  1.047  1.057  -0.97%  1.115          0.0    创金合信基金
002103  招商康泰            1.001  1.001    0.00%  1.083          0.4    招商基金        
002111  华宝新起点        1.045  1.046  -0.06%  1.091          0.5    华宝基金        
002116  广发安享混合A  1.064  1.064    0.00%  1.172          3.4    广发基金        
002118  广发安盈A          1.046  1.046    0.00%  1.046          2.0    广发基金        
002120  广发安悦回报    1.059  1.059    0.00%  1.142          7.0    广发基金        
002121  广发新起点        1.185  1.187  -0.16%  1.270        20.5    广发基金        
002123  北信瑞丰外延增0.968  0.962    0.62%  0.968          0.1    北信瑞丰基金
002124  广发新兴产业    1.287  1.291  -0.30%  1.287          1.1    广发基金        
002125  广发新兴成长    0.773  0.774  -0.12%  0.773          2.7    广发基金        
002128  广发鑫惠定开债1.045  1.045    0.00%  1.116        15.1    广发基金        
002132  广发鑫享            0.876  0.879  -0.34%  0.876          0.9    广发基金        
002133  广发鑫益            1.010  1.013  -0.29%  1.010          9.7    广发基金        
002134  广发鑫裕混合    1.241  1.240    0.08%  1.241          4.1    广发基金        
002135  广发鑫源A          1.095  1.093    0.18%  1.095          1.9    广发基金        
002137  诺安利鑫混合    1.165  1.178  -1.03%  1.165          1.1    诺安基金        
002138  泓德裕泰A          1.064  1.063    0.09%  1.156        30.3    泓德基金        
002140  博时裕诚            1.014  1.013    0.09%  1.109          9.9    博时基金        
002142  博时外延            1.050  1.054  -0.37%  1.473          1.7    博时基金        
002145  诺安景鑫混合    0.858  0.859  -0.02%  0.858          1.4    诺安基金        
002146  长安鑫益A          1.177  1.177    0.03%  1.177        31.9    长安基金        
002148  国寿稳惠灵活    1.076  1.080  -0.40%  1.196          1.3    国寿安保基金
002149  嘉实新优选        1.076  1.077  -0.09%  1.126          0.1    嘉实基金        
002152  华宝核心优势    1.065  1.082  -1.57%  1.065          0.5    华宝基金        
002155  国金鑫瑞            1.050  1.045    0.45%  1.050          0.1    国金基金        
002156  长盛盛世A          0.966  0.967  -0.10%  1.113          2.5    长盛基金        
002159  东吴国企改革    0.863  0.864  -0.11%  0.863          0.6    东吴基金        
002160  南方驱动混合    1.247  1.248  -0.08%  1.247          1.2    南方基金管理
002161  银华万物互联    0.977  0.976    0.10%  0.977          0.1    银华基金管理
002165  汇添富达欣C      1.071  1.072  -0.09%  1.071                    汇添富基金管
002167  南方顺康混合    1.016  1.015    0.08%  1.016          1.4    南方基金管理
002168  嘉实智能汽车    1.443  1.479  -2.43%  1.443          3.1    嘉实基金        
002169  永赢稳益            1.049  1.048    0.05%  1.115        10.1    永赢基金        
002173  东方大健康        0.949  0.951  -0.25%  0.949          0.1    东方基金管理
002174  东方互联网嘉    0.575  0.572    0.50%  0.575          0.4    东方基金管理
002175  博时裕乾A          1.044  1.044    0.04%  1.133        16.8    博时基金        
002179  华安事件            0.808  0.810  -0.24%  0.808          0.6    华安基金        
002180  中银移动互联    0.817  0.818  -0.12%  0.817          1.3    中银基金        
002181  华安大安全        0.923  0.926  -0.32%  0.923          2.2    华安基金        
002182  东兴蓝海财富    0.623  0.622    0.16%  0.623          0.9    东兴证券股份
002188  鹏华丰华            1.118  1.117    0.05%  1.147          0.5    鹏华基金        
002189  农银国企改革    1.275  1.296  -1.63%  1.275          0.9    农银汇理基金
002190  农银新能源        0.821  0.826  -0.58%  0.821          0.7    农银汇理基金
002191  农银物联网        1.009  1.017  -0.84%  1.009          0.4    农银汇理基金
002194  北信稳定偏债    0.983  0.981    0.20%  0.983          0.4    北信瑞丰基金
002197  国泰鑫策略        1.031  1.031  -0.01%  1.031          0.5    国泰基金        
002198  博时裕达纯债    1.041  1.041    0.02%  1.140        15.0    博时基金        
002206  博时裕康            1.022  1.022    0.04%  1.097        10.1    博时基金        
002210  创金量化A          1.065  1.077  -1.08%  1.065          6.7    创金合信基金
002211  嘉实新财富        1.115  1.117  -0.17%  1.165          0.5    嘉实基金        
002212  嘉实新起航        1.089  1.089    0.00%  1.139          0.1    嘉实基金        
002213  中海顺鑫混合    0.850  0.856  -0.67%  0.883          0.6    中海基金        
002214  中海沪港深价值1.255  1.258  -0.23%  1.375          5.7    中海基金        
002216  易基策略精选A  0.859  0.862  -0.34%  0.859          1.7    易方达基金    
002218  南方弘利A          1.114  1.113    0.08%  1.114        18.3    南方基金管理
002220  南方瑞利混合    1.052  1.055  -0.21%  1.052          1.1    南方基金管理
002222  嘉实新趋势        1.157  1.158  -0.08%  1.157          0.7    嘉实基金        
002227  长城新优选A      1.037  1.037    0.03%  1.196          8.0    长城基金        
002229  华夏经济转型    1.130  1.134  -0.35%  1.294        15.0    华夏基金        
002231  华夏新趋势A      1.123  1.121    0.17%  1.140          1.9    华夏基金        
002236  大成中证100A    0.961  0.976  -1.53%  0.961          1.4    大成基金        
002244  景顺低碳主题    0.914  0.926  -1.29%  0.964          1.4    景顺长城基金
002245  泰康稳健增利A  1.151  1.151  -0.05%  1.151          2.7    泰康资产管理
002249  招商境远混合    0.942  0.947  -0.50%  0.942          2.2    招商基金        
002251  华夏军工安全    0.857  0.871  -1.60%  0.857          4.7    华夏基金        
002252  融通成长30        0.998  1.005  -0.69%  0.998          0.9    融通基金        
002256  金信行业优选    0.817  0.818  -0.12%  0.817          0.8    金信基金        
002258  大成国企改革    0.958  0.956    0.20%  0.958          1.8    大成基金        
002259  鹏华健康环保    1.177  1.185  -0.67%  1.177          0.7    鹏华基金        
002261  中银宝利A          1.035  1.035    0.00%  1.194          5.1    中银基金        
002263  泰达大数据A      1.151  1.160  -0.76%  1.151          0.5    泰达宏利基金
002264  华夏乐享            1.074  1.084  -0.92%  1.074          1.8    华夏基金        
002265  鑫元兴利            1.050  1.051  -0.03%  1.117        11.8    鑫元基金        
002268  兴业丰利债券    1.069  1.069    0.00%  1.069        49.8    兴业基金        
002270  东吴安盈量化    0.873  0.876  -0.34%  0.873          3.6    东吴基金        
002271  招商安弘混合    1.150  1.157  -0.60%  1.150          1.0    招商基金        
002272  新华科技创新    0.851  0.851    0.00%  0.851          0.4    新华基金管理
002274  中邮纯债聚利A  1.109  1.108    0.09%  1.164          7.6    中邮创业基金
002276  中邮纯债恒利A  1.092  1.091    0.09%  1.112          2.2    中邮创业基金
002278  中邮稳健合赢    1.048  1.053  -0.47%  1.068          1.0    中邮创业基金
002279  浙商惠盈纯债    1.115  1.114    0.08%  1.128          0.9    浙商基金        
002280  华富安享            1.109  1.110  -0.16%  1.109          0.4    华富基金        
002281  建信裕利混合    1.040  1.040    0.00%  1.040          2.7    建信基金管理
002282  平安安享混合    1.031  1.035  -0.41%  1.031          0.6    平安基金        
002288  中银稳进策略    1.070  1.066    0.34%  1.070          2.7    中银基金        
002289  华商改革创新    1.025  1.031  -0.56%  1.025          2.7    华商基金        
002291  诺安安鑫混合    1.065  1.072  -0.60%  1.065          2.1    诺安基金        
002292  诺安益鑫混合    1.086  1.087  -0.06%  1.086          1.5    诺安基金        
002293  南方益和混合    1.052  1.055  -0.33%  1.052          1.8    南方基金管理
002295  广发稳安混合    1.096  1.097  -0.09%  1.096          2.7    广发基金        
002296  长城行业轮动    1.096  1.109  -1.22%  1.096          1.6    长城基金        
002300  长盛医疗行业    1.052  1.056  -0.37%  1.052          0.4    长盛基金        
002301  兴业短债A          1.113  1.112    0.08%  1.113                    兴业基金        
002303  金鹰智慧生活    0.904  0.907  -0.33%  0.904          0.3    金鹰基金        
002304  平安安心混合A  1.031  1.031  -0.03%  1.031          1.0    平安基金        
002305  光大风格轮动    0.714  0.718  -0.55%  0.714          1.3    光大保德信基
002307  银华多元视野    1.235  1.235    0.00%  1.235          0.9    银华基金管理
002310  创金沪深300A    0.986  0.984    0.15%  1.124          2.2    创金合信基金
002311  创金中证500A    0.898  0.907  -0.99%  0.898          4.9    创金合信基金
002317  招商睿逸            0.972  0.974  -0.20%  0.972          1.1    招商基金        
002319  大成一带一路    1.007  1.008  -0.09%  1.087          1.5    大成基金        
002330  兴业聚宝            1.133  1.140  -0.61%  1.133          0.5    兴业基金        
002331  泰康安泰回报    1.077  1.080  -0.29%  1.077          1.3    泰康资产管理
002332  汇丰沪港深A      1.055  1.054    0.10%  1.110          9.7    汇丰晋信基金
002334  汇丰大盘波动A  1.243  1.242    0.08%  1.243          0.7    汇丰晋信基金
002336  创金合信尊享    1.097  1.096    0.09%  1.123        28.4    创金合信基金
002337  创金合信尊盈    0.951  0.953  -0.20%  1.066          0.0    创金合信基金
002338  兴业奕祥            1.060  1.060    0.01%  1.090          0.6    兴业基金        
002340  富国价值优势    1.272  1.277  -0.39%  1.272          0.9    富国基金        
002341  招商招瑞A          1.138  1.138    0.00%  1.162        28.1    招商基金        
002345  华夏高端制造    0.685  0.688  -0.43%  0.685          1.6    华夏基金        
002350  华安安华混合    1.070  1.074  -0.37%  1.070        11.8    华安基金        
002351  易方达裕祥        1.221  1.223  -0.16%  1.221          3.8    易方达基金    
002354  博时裕腾            1.014  1.013    0.02%  1.136          4.0    博时基金        
002355  国投岁赢利        1.092  1.094  -0.18%  1.105          0.5    国投瑞银基金
002358  国投瑞祥混合    1.111  1.111  -0.01%  1.111          0.8    国投瑞银基金
002361  国富恒瑞债券A  1.145  1.148  -0.26%  1.181          8.3    国海富兰克林
002363  华安安康混合A  1.199  1.205  -0.46%  1.199          2.2    华安基金        
002367  国联安安稳混合0.910  0.917  -0.78%  0.910          1.3    国联安基金    
002376  国寿安保核心产0.958  0.958    0.00%  1.058          0.6    国寿安保基金
002377  建信睿怡            1.089  1.088    0.03%  1.112        53.9    建信基金管理
002378  建信弘利混合    1.074  1.073    0.16%  1.074          1.7    建信基金管理
002381  东海祥瑞A          1.048  1.048    0.00%  1.048          0.1    东海基金管理
002383  大成趋势            0.937  0.940  -0.31%  0.937          0.9    大成基金        
002384  九泰鸿祥服务    1.060  1.058    0.18%  1.060          2.0    九泰基金        
002387  工银沪港深股票1.026  1.029  -0.34%  1.094          2.0    工银瑞信基金
002388  天弘裕利A          1.144  1.144    0.01%  1.153          2.7    天弘基金        
002389  招商安德混合A  1.062  1.062  -0.03%  1.062          0.8    招商基金        
002397  中邮增力            0.952  0.954  -0.20%  0.952          0.0    中邮创业基金
002398  华安安禧灵活A  1.067  1.068  -0.07%  1.107          1.5    华安基金        
002405  光大中高等级A  0.977  0.979  -0.20%  0.977          3.3    光大保德信基
002407  前海恒远混合    1.377  1.380  -0.23%  1.450          4.1    前海开源基金
002408  中信建投医改    0.982  0.989  -0.70%  0.982          0.2    中信建投基金
002409  华夏新活力A      1.096  1.097  -0.09%  1.096          4.8    华夏基金        
002411  华夏新机遇        1.136  1.136    0.00%  1.202          0.5    华夏基金        
002412  华富安福债券    1.002  1.003  -0.12%  1.002                    华富基金        
002413  中银瑞利A          1.033  1.032    0.09%  1.148          5.2    中银基金        
002415  融通通盈混合    1.106  1.106    0.06%  1.106          0.9    融通基金        
002417  招商丰盛稳定C  1.113  1.117  -0.35%  1.113                    招商基金        
002419  汇添富盈安        1.084  1.086  -0.18%  1.105                    汇添富基金管
002420  添富盈鑫混合    1.136  1.134    0.17%  1.136          4.1    汇添富基金管
002421  新华增强A          1.124  1.124  -0.03%  1.124          0.4    新华基金管理
002424  博时文体娱乐    1.069  1.076  -0.65%  1.069          0.2    博时基金        
002430  中银丰利A          1.022  1.021    0.09%  1.144          5.1    中银基金        
002434  中银宏利A          1.037  1.037    0.00%  1.185          5.1    中银基金        
002436  上投红利C          0.946  0.947  -0.10%  1.014                    上投摩根基金
002438  创金尊盛纯债    1.021  1.021    0.00%  1.138          9.8    创金合信基金
002440  中加瑞盈债券    1.113  1.112    0.08%  1.113          0.3    中加基金        
002442  鑫元汇利            1.045  1.044    0.02%  1.130        30.7    鑫元基金        
002443  前海沪港深龙头1.055  1.062  -0.65%  1.237          0.3    前海开源基金
002445  兴业丰泰            1.074  1.073    0.09%  1.074        49.9    兴业基金        
002446  广发利鑫            1.078  1.087  -0.82%  1.078          2.2    广发基金        
002447  博时裕安            1.048  1.047    0.04%  1.127          8.1    博时基金        
002449  民生量化中国    0.855  0.864  -1.04%  0.855          0.2    民生加银基金
002450  平安睿享A          1.369  1.377  -0.58%  1.369          0.3    平安基金        
002453  九泰久稳灵活A  0.953  0.950    0.31%  0.953          0.5    九泰基金        
002455  民生鑫喜            1.057  1.057    0.00%  1.162          7.0    民生加银基金
002456  招商安元混合A  1.011  1.012  -0.05%  1.064          1.7    招商基金        
002458  国泰民利保本    1.049  1.049    0.00%  1.049        14.8    国泰基金        
002459  华夏鼎利A          1.041  1.050  -0.85%  1.141          1.0    华夏基金        
002461  中银珍利A          1.017  1.017    0.00%  1.159          4.9    中银基金        
002463  创金价值红利A  0.937  0.939  -0.18%  0.937          0.1    创金合信基金
002465  东兴众智优选    0.770  0.772  -0.25%  0.770          0.1    东兴证券股份
002466  博时裕新            1.122  1.122  -0.04%  1.126        39.4    博时基金        
002472  光大先进服务    0.797  0.795    0.17%  0.797          1.8    光大保德信基
002474  中邮睿信            1.083  1.088  -0.45%  1.083          1.3    中邮创业基金
002475  中邮睿利            0.966  0.966    0.00%  0.966          0.1    中邮创业基金
002482  宝盈互联网        1.082  1.080    0.18%  1.082          0.8    宝盈基金        
002483  富国泰利定开    1.158  1.158    0.00%  1.158          5.3    富国基金        
002486  上银慧添利        1.014  1.014    0.00%  1.153        79.2    上银基金        
002487  添富稳健添利A  1.053  1.053    0.00%  1.053          0.5    汇添富基金管
002489  国泰民福混合    1.051  1.050    0.14%  1.051          3.0    国泰基金        
002490  金鹰元祺信用债1.133  1.136  -0.25%  1.133          1.8    金鹰基金        
002494  兴业聚盈            1.096  1.095    0.09%  1.096          1.0    兴业基金        
002495  前海量化优选A  1.029  1.040  -1.05%  1.029          0.5    前海开源基金
002497  东方盛世            1.128  1.128    0.05%  1.128          0.9    东方基金管理
002498  兴业聚鑫            1.105  1.105    0.00%  1.135          1.2    兴业基金        
002501  银华远景            1.092  1.093  -0.09%  1.092          2.2    银华基金管理
002502  中银腾利A          1.004  1.005  -0.09%  1.103          5.1    中银基金        
002504  鹏华金鼎混合A  0.999  0.986    1.31%  0.999          1.2    鹏华基金        
002510  申万中证500      0.933  0.937  -0.48%  0.933          0.8    申万菱信基金
002512  长城久润混合    1.018  1.022  -0.42%  1.018                    长城基金        
002514  招商丰益A          1.161  1.160    0.08%  1.161          0.8    招商基金        
002518  民生鑫福A          1.098  1.098    0.00%  1.098          0.8    民生加银基金
002519  博时裕景            1.018  1.017    0.09%  1.112        53.9    博时基金        
002521  永赢双利债券A  1.083  1.083    0.04%  2.933          1.9    永赢基金        
002523  光大恒利纯债    1.046  1.045    0.09%  1.091        36.4    光大保德信基
002524  兴业福益            1.072  1.071    0.09%  1.077          2.0    兴业基金        
002527  南方安享绝对收0.935  0.935  -0.05%  0.935          2.7    南方基金管理
002528  泰康安益纯债A  1.051  1.050    0.04%  1.101        25.4    泰康资产管理
002535  中银鑫利A          1.104  1.103    0.09%  1.219          0.6    中银基金        
002537  平安安盈混合    1.050  1.050    0.00%  1.050                    平安基金        
002542  长城久鼎            1.064  1.064    0.01%  1.064        15.8    长城基金        
002543  长城久益灵活A  1.073  1.073  -0.03%  1.073          0.9    长城基金        
002545  东方岳                1.066  1.065    0.10%  1.066          2.1    东方基金管理
002547  民生养老服务    1.279  1.282  -0.23%  1.279          0.5    民生加银基金
002548  嘉实稳瑞            1.060  1.059    0.09%  1.142        14.0    嘉实基金        
002549  嘉实稳祥A          1.167  1.167    0.04%  1.167        10.7    嘉实基金        
002550  嘉实稳荣            1.040  1.041  -0.09%  1.112        10.0    嘉实基金        
002554  信达澳银纯债    0.693  0.692    0.14%  0.693          0.1    信达澳银基金
002558  博时鑫瑞A          1.386  1.389  -0.21%  1.386          0.3    博时基金        
002560  诺安和鑫混合    0.685  0.685    0.00%  0.685          1.3    诺安基金        
002561  东吴安鑫量化    0.976  0.976    0.00%  1.095          0.0    东吴基金        
002562  泓德泓益            1.187  1.193  -0.50%  1.187          3.8    泓德基金        
002563  泓德泓汇            1.098  1.105  -0.63%  1.098          1.8    泓德基金        
002564  新沃通盈            1.017  1.026  -0.87%  1.367          0.1    新沃基金        
002567  大成国家安全    0.766  0.769  -0.39%  0.766          0.3    大成基金        
002568  博时裕发纯债    1.033  1.033    0.00%  1.094          9.9    博时基金        
002569  博时裕弘            1.069  1.069    0.00%  1.074          1.4    博时基金        
002573  建信汇利            1.149  1.148    0.05%  1.149          1.5    建信基金管理
002574  招商瑞庆A          1.041  1.040    0.07%  1.190          2.2    招商基金        
002577  南方新兴混合    0.723  0.726  -0.41%  0.723          2.4    南方基金管理
002578  博时裕泉纯债    1.010  1.009    0.09%  1.088        47.3    博时基金        
002579  融通增利            1.010  1.009    0.09%  1.110          9.9    融通基金        
002581  招商丰凯A          1.161  1.159    0.17%  1.161          0.8    招商基金        
002584  富安达长盈混合0.972  0.974  -0.20%  0.992          0.1    富安达基金    
002585  建信兴利混合    1.097  1.097    0.00%  1.097          1.0    建信基金管理
002586  金鹰添利A          1.083  1.083    0.00%  1.083          0.1    金鹰基金        
002588  博时银智100A    1.209  1.211  -0.20%  1.209          0.4    博时基金        
002593  富国美丽中国    1.284  1.279    0.39%  1.384          4.3    富国基金        
002594  工银现代服务业1.079  1.080  -0.09%  1.079          2.1    工银瑞信基金
002595  博时工业            1.146  1.153  -0.60%  1.146          0.5    博时基金        
002596  华商回报1号      0.885  0.885    0.03%  0.885          1.0    华商基金        
002597  兴业成长动力    1.023  1.025  -0.19%  1.023          0.5    兴业基金        
002598  平安智能生活A  0.735  0.739  -0.54%  0.735          0.3    平安基金        
002600  易基裕景添利    1.181  1.182  -0.08%  1.181          5.7    易方达基金    
002601  中银证券价值    1.037  1.037    0.04%  1.037                    中银国际证券
002602  易方达丰惠        0.980  0.985  -0.50%  0.980          1.0    易方达基金    
002604  华夏新起点        1.090  1.091  -0.09%  1.090          1.3    华夏基金        
002605  融通新消费        1.215  1.220  -0.40%  1.215          0.7    融通基金        
002610  博时黄金ETF联  1.035  1.023    1.20%  1.035        23.2    博时基金        
002612  融通通慧混合A/1.163  1.163    0.00%  1.163          2.7    融通基金        
002614  中银颐利A          1.021  1.020    0.09%  1.126          1.2    中银基金        
002616  中银益利混合A  1.114  1.111    0.27%  1.167          0.6    中银基金        
002618  中银裕利A          1.098  1.097    0.09%  1.153          0.5    中银基金        
002620  中邮未来新蓝筹1.243  1.262  -1.50%  1.243          2.1    中邮创业基金
002621  中欧消费A          1.571  1.577  -0.38%  1.571          0.7    中欧基金        
002622  广发稳裕保本    1.122  1.122    0.00%  1.133        17.7    广发基金        
002624  广发优企精选    1.313  1.316  -0.22%  1.364          8.6    广发基金        
002628  招商安博混合A  1.094  1.101  -0.58%  1.094          0.3    招商基金        
002630  江信瑞福A          0.895  0.898  -0.24%  0.895          0.7    江信基金        
002632  鑫元双债A          1.031  1.031  -0.03%  1.070        10.0    鑫元基金        
002634  华宝未来主导混0.715  0.724  -1.24%  0.715          1.2    华宝基金        
002635  融通增鑫            1.013  1.013    0.00%  1.094        15.5    融通基金        
002636  广发集裕A          1.115  1.120  -0.44%  1.115          0.5    广发基金        
002638  兴业天融债券    1.071  1.070    0.09%  1.132        32.8    兴业基金        
002639  天弘价值精选    1.041  1.040    0.05%  1.041          0.2    天弘基金        
002640  中信睿溢混合A  1.073  1.077  -0.33%  1.073          0.3    中信建投基金
002643  鹏华兴利            1.104  1.103    0.09%  1.104          6.0    鹏华基金        
002644  大成景荣债券A  0.974  0.974    0.00%  0.974          0.6    大成基金        
002649  民生智造2025    1.023  1.020    0.26%  1.023          0.0    民生加银基金
002650  东方红稳添利    1.089  1.089    0.04%  1.122          7.0    上海东方证券
002651  东方红汇利A      1.071  1.071    0.00%  1.161        16.3    上海东方证券
002653  泰康沪港深        1.073  1.071    0.11%  1.198          8.3    泰康资产管理
002654  上投策略精选    0.814  0.818  -0.48%  0.814          0.7    上投摩根基金
002655  南方卓享收益    1.026  1.027  -0.12%  1.026          3.3    南方基金管理
002656  南方创业板ETF  0.725  0.732  -0.94%  0.725        15.9    南方基金管理
002656  南方创业板ETF  0.725  0.740  -2.08%  0.725        15.9    南方基金管理
002657  招商安裕A          1.137  1.137    0.00%  1.137          0.8    招商基金        
002659  兴业中债1-3年A1.131  1.131    0.03%  1.131                    兴业基金        
002660  兴业聚源            1.136  1.136    0.00%  1.136          1.0    兴业基金        
002661  兴业天禧            1.028  1.027    0.09%  1.079          4.0    兴业基金        
002662  前海大消费A      1.035  1.037  -0.19%  1.035          0.5    前海开源基金
002664  万家瑞和A          1.090  1.090    0.04%  1.200        18.4    万家基金        
002666  前海创新成长A  1.149  1.133    1.41%  1.199          1.5    前海开源基金
002668  兴业聚丰            1.180  1.179    0.08%  1.180          5.9    兴业基金        
002669  华商万众创新    0.818  0.826  -0.96%  0.818          0.9    华商基金        
002670  万家沪深300A    0.953  0.954  -0.10%  0.953          1.2    万家基金        
002681  金鹰元和混合A  0.837  0.836    0.09%  0.862          6.7    金鹰基金        
002683  民生前沿科技    0.992  0.991    0.10%  0.992          0.3    民生加银基金
002684  民生鑫安A          1.003  1.002    0.09%  1.102          6.1    民生加银基金
002685  中欧丰泓A          0.974  0.976  -0.20%  1.131          6.0    中欧基金        
002690  前海恒泽保本A  1.073  1.073    0.00%  1.073          2.6    前海开源基金
002692  富国创新科技    1.053  1.055  -0.18%  1.053          4.3    富国基金        
002694  中银新蓝筹        0.907  0.911  -0.43%  0.907          0.6    中银基金        
002698  博时裕利纯债    1.010  1.010    0.00%  1.126        59.9    博时基金        
002701  东方红汇阳A      1.080  1.082  -0.14%  1.170        36.0    上海东方证券
002703  长城久源            1.056  1.056    0.00%  1.056        10.0    长城基金        
002707  大摩科技领先    0.745  0.745  -0.02%  0.745          1.5    摩根士丹利华
002708  大摩健康            1.248  1.257  -0.71%  1.248          1.0    摩根士丹利华
002711  广发集丰A          1.035  1.039  -0.38%  1.069          1.1    广发基金        
002713  广发转型升级    0.669  0.669    0.01%  0.669          0.0    广发基金        
002714  鹏华金城保本    1.069  1.069    0.00%  1.069        27.1    鹏华基金        
002717  红塔盛隆混合A  1.023  1.024    0.00%  1.073          0.5    红塔红土基金
002719  融通增祥            1.090  1.089    0.09%  1.140          2.3    融通基金        
002720  国寿尊利A          1.034  1.034    0.00%  1.034          1.0    国寿安保基金
002723  江信祺福A          1.058  1.062  -0.40%  1.058          1.5    江信基金        
002728  华富益鑫A          1.193  1.193    0.00%  1.284          0.5    华富基金        
002730  华富华鑫A          0.909  0.919  -1.08%  0.929          1.2    华富基金        
002732  长盛优势            0.992  0.992    0.00%  0.992          0.2    长盛基金        
002734  泓德裕荣A          1.145  1.145    0.00%  1.456        22.9    泓德基金        
002736  泓德裕和纯债A  1.144  1.144    0.00%  1.144        12.3    泓德基金        
002738  泓德裕康A          1.126  1.128  -0.17%  1.126          1.0    泓德基金        
002740  泓德裕泽纯债A  1.037  1.146  -9.51%  1.147          4.2    泓德基金        
002742  泓德裕祥A          1.132  1.134  -0.17%  1.132          3.4    泓德基金        
002745  北信丰利混合    1.041  1.041    0.00%  1.041          0.2    北信瑞丰基金
002746  汇添富多策略    1.221  1.226  -0.40%  1.221        17.0    汇添富基金管
002749  嘉实稳盛            1.014  1.015  -0.09%  1.064          2.1    嘉实基金        
002754  博时裕创            1.022  1.022    0.00%  1.125          9.9    博时基金        
002755  博时裕盛            1.059  1.058    0.09%  1.137          2.1    博时基金        
002765  新华双利A          1.066  1.070  -0.37%  1.066          0.0    新华基金管理
002767  泰康宏泰回报    1.236  1.238  -0.11%  1.236          1.9    泰康资产管理
002768  华安安进混合    1.057  1.057  -0.01%  1.057          0.1    华安基金        
002770  安信新回报A      1.428  1.424    0.29%  1.478          1.5    安信基金管理
002772  光大新动力        0.999  0.997    0.20%  0.999          0.7    光大保德信基
002773  光大铭鑫A          0.955  0.957  -0.24%  0.955          1.6    光大保德信基
002775  博时景兴纯债债1.018  1.018    0.04%  1.104          7.3    博时基金        
002776  招商安荣混合A  1.059  1.059  -0.02%  1.059          0.7    招商基金        
002778  前海联合新思路0.940  0.941  -0.10%  0.940          0.5    新疆前海联合
002780  前海联合泓鑫A  1.050  1.054  -0.38%  1.050          2.2    新疆前海联合
002782  富国祥利定开    1.007  1.007    0.00%  1.007          3.1    富国基金        
002783  东方红价值A      1.096  1.098  -0.20%  1.116          6.3    上海东方证券
002785  中融融裕双利A  0.961  0.961    0.00%  0.961          0.9    中融基金        
002789  长盛同享灵活A  1.155  1.167  -1.02%  1.155          1.4    长盛基金        
002792  景顺顺益A          1.136  1.139  -0.22%  1.136          0.4    景顺长城基金
002795  平安惠盈纯债    1.060  1.059    0.09%  1.100          9.7    平安基金        
002796  景顺双利A          1.104  1.104    0.00%  1.109          2.0    景顺长城基金
002801  泓德泓信            1.014  1.015  -0.09%  1.014          5.0    泓德基金        
002802  广发东财            0.880  0.889  -1.04%  0.880          1.2    广发基金        
002803  东方红沪港深    1.589  1.587    0.12%  1.589        36.0    上海东方证券
002804  华泰量化对冲    1.080  1.081  -0.13%  1.080          0.9    华泰柏瑞基金
002807  融通通安            1.028  1.027    0.09%  1.117        10.0    融通基金        
002808  泓德优势领航    1.058  1.065  -0.65%  1.058          6.8    泓德基金        
002810  金信创新成长    0.825  0.826  -0.12%  0.825          0.3    金信基金        
002811  博时裕顺            1.073  1.072    0.09%  1.116          5.0    博时基金        
002813  博时颐泰混合A  1.132  1.131    0.05%  1.132          0.8    博时基金        
002817  招商招恒A          1.050  1.049    0.09%  1.060          1.0    招商基金        
002819  招商丰美A          1.062  1.061    0.09%  1.160          3.0    招商基金        
002823  招商盛达A          0.988  0.994  -0.60%  0.988          0.4    招商基金        
002825  融通通和            1.043  1.043    0.00%  1.096          1.9    融通基金        
002831  国投瑞宁            1.022  1.022    0.00%  1.022          0.2    国投瑞银基金
002832  工银恒享            1.051  1.051    0.01%  1.095          0.5    工银瑞信基金
002833  华夏新锦绣A      0.994  0.993    0.03%  0.994          1.8    华夏基金        
002837  华夏网购精选    0.834  0.834    0.00%  0.834          0.5    华夏基金        
002838  华夏新锦程A      1.062  1.062  -0.03%  1.153          5.0    华夏基金        
002844  金鹰多元策略    1.132  1.136  -0.34%  1.132          0.4    金鹰基金        
002846  泓德泓华            1.070  1.079  -0.83%  1.070          1.1    泓德基金        
002849  金信智能            1.089  1.084    0.46%  1.089          0.7    金信基金        
002850  南方甑智混合    0.947  0.948  -0.10%  0.947          1.8    南方基金管理
002851  南方品质混合    1.470  1.474  -0.27%  1.470        34.2    南方基金管理
002860  前海新机遇        0.939  0.940  -0.10%  1.039          2.5    前海开源基金
002861  工银智能制造    0.757  0.761  -0.52%  0.757          0.3    工银瑞信基金
002862  金信量化            0.713  0.717  -0.55%  0.713          0.1    金信基金        
002863  金信深圳成长    1.060  1.067  -0.65%  1.060          1.2    金信基金        
002864  广发安泽短债A  1.061  1.060    0.02%  1.113      128.3    广发基金        
002866  新华丰盈            1.115  1.119  -0.35%  1.115          0.4    新华基金管理
002867  新华恒稳添利C  1.078  1.078    0.00%  1.078          0.6    新华基金管理
002868  鹏华丰茂            1.041  1.041    0.08%  1.088          9.9    鹏华基金        
002869  融通通裕            1.084  1.084    0.04%  1.143        19.4    融通基金        
002871  华夏智胜A          0.849  0.855  -0.70%  0.849          0.1    华夏基金        
002881  中加丰润A          1.973  1.971    0.13%  1.973          2.3    中加基金        
002885  大摩万众创新    0.796  0.799  -0.28%  0.796          0.6    摩根士丹利华
002898  富国两年期理财1.016  1.016    0.00%  1.086        27.7    富国基金        
002900  500信息联接A    0.823  0.829  -0.72%  0.823          3.6    南方基金管理
002901  财通资管积极A  1.055  1.055    0.00%  1.145        20.8    财通证券资产
002906  南方中证500增  0.841  0.851  -1.17%  0.841          4.5    南方基金管理
002908  富国睿利定开    1.067  1.068  -0.09%  1.067          2.0    富国基金        
002909  浙商惠享            1.026  1.026    0.01%  1.115        36.6    浙商基金        
002910  易方达供给        0.796  0.803  -0.80%  0.796          0.6    易方达基金    
002915  鑫元裕利            1.035  1.036  -0.02%  1.110        10.0    鑫元基金        
002919  东吴智慧医疗    0.780  0.782  -0.25%  0.780          1.9    东吴基金        
002920  中欧短债A          1.054  1.053    0.03%  1.107        62.0    中欧基金        
002925  广发集源A          1.071  1.071    0.00%  1.114          1.0    广发基金        
002927  长盛盛和A          1.020  1.020    0.02%  1.069        14.9    长盛基金        
002929  博时聚盈            1.065  1.064    0.01%  1.108        10.3    博时基金        
002930  博时聚润            1.017  1.017    0.02%  1.089        10.0    博时基金        
002932  圆信强化收益A  1.131  1.132  -0.11%  1.131          3.0    圆信永丰基金
002934  泰康恒泰回报A  1.049  1.049    0.01%  1.138          1.4    泰康资产管理
002938  中银健康产业    0.916  0.922  -0.63%  0.916          1.1    中银国际证券
002939  广发创新升级    1.165  1.171  -0.51%  1.210        14.6    广发基金        
002943  广发多因子混合1.169  1.182  -1.09%  1.169          0.9    广发基金        
002945  大成盛世精选混0.850  0.858  -0.93%  0.850          8.5    大成基金        
002946  大成景盛A          0.981  0.983  -0.21%  0.981          0.5    大成基金        
002952  建信多因子        0.901  0.903  -0.29%  0.901          0.4    建信基金管理
002955  融通新趋势        0.867  0.866    0.11%  0.867          1.4    融通基金        
002959  汇添富盈稳        1.109  1.108    0.09%  1.109        11.7    汇添富基金管
002961  中欧双利债券A  1.099  1.098    0.08%  1.099          8.1    中欧基金        
002965  中海合嘉A          0.954  0.957  -0.37%  0.954          0.4    中海基金        
002967  浙商大数据        1.160  1.164  -0.34%  1.160          1.4    浙商基金        
002968  新华高端制造    0.998  1.004  -0.59%  0.998          0.4    新华基金管理
002969  易方达丰和        1.167  1.167    0.00%  1.167        55.2    易方达基金    
002970  博时裕昂            1.001  1.004  -0.29%  1.108        10.4    博时基金        
002971  前海鼎安A          1.041  1.036    0.48%  1.041          0.2    前海开源基金
002980  华夏创新            0.991  0.996  -0.50%  0.991          2.6    华夏基金        
002983  长信国防军工    0.721  0.731  -1.38%  0.721          4.5    长信基金管理
002986  泰康丰盈            1.133  1.134  -0.14%  1.133          1.7    泰康资产管理
002988  平安鼎信            1.042  1.042    0.00%  1.141          5.3    平安基金        
002989  融通通乾            1.037  1.041  -0.44%  4.285          7.7    融通基金        
002991  嘉实稳鑫            1.021  1.021    0.03%  1.069        15.1    嘉实基金        
002994  招商招裕A          1.100  1.100    0.02%  1.105          1.0    招商基金        
002996  长信稳健纯债A  1.012  1.011    0.03%  1.103        28.0    长信基金管理
002997  工银瑞享            1.027  1.027    0.03%  1.105        26.9    工银瑞信基金
003000  招商丰德A          0.974  0.978  -0.43%  0.974          0.9    招商基金        
003009  中融盈泽A          1.143  1.142    0.03%  1.240          2.3    中融基金        
003013  中融恒泰A          1.054  1.054  -0.06%  1.107        11.6    中融基金        
003015  中金沪深300A    1.164  1.164  -0.02%  1.164          0.2    中金基金        
003016  中金中证500A    0.959  0.966  -0.76%  0.959          0.5    中金基金        
003017  军工基金联接A  0.720  0.730  -1.31%  0.720          2.6    广发基金        
003023  博时景发            1.040  1.040    0.04%  1.040        19.3    博时基金        
003024  平安惠金A          1.114  1.113    0.07%  1.114        13.1    平安基金        
003025  新华红利回报    1.127  1.128  -0.14%  1.127          0.4    新华基金管理
003026  安信新价值A      1.246  1.243    0.27%  1.296          0.3    安信基金管理
003028  安信新优选A      1.076  1.075    0.10%  1.166          2.9    安信基金管理
003030  安信新目标A      1.082  1.081    0.02%  1.139          6.2    安信基金管理
003032  平安医疗健康    0.963  0.966  -0.39%  0.963          0.7    平安基金        
003033  南方荣冠            1.051  1.051    0.00%  1.051          1.3    南方基金管理
003037  广发集瑞债券A  1.048  1.048    0.02%  1.114          5.5    广发基金        
003039  广发集富纯债A  1.054  1.054    0.00%  1.240        18.3    广发基金        
003041  鑫元得利            1.090  1.090    0.00%  1.090          0.5    鑫元基金        
003044  东方红战略A      1.086  1.088  -0.15%  1.136          5.2    上海东方证券
003050  农银金丰            1.072  1.072    0.01%  1.081        10.0    农银汇理基金
003051  农银汇理金利    1.082  1.082    0.00%  1.082          5.1    农银汇理基金
003053  嘉实文体A          0.985  0.986  -0.10%  0.985          2.3    嘉实基金        
003056  嘉实稳泽            1.024  1.024    0.01%  1.113          8.0    嘉实基金        
003062  银华通利A          1.073  1.072    0.04%  1.073          1.5    银华基金管理
003064  南方荣欢            1.088  1.087    0.09%  1.088          0.1    南方基金管理
003069  光大创业板量化0.846  0.859  -1.45%  0.846          6.3    光大保德信基
003071  中融睿祥一年A  1.061  1.060    0.04%  1.099          2.0    中融基金        
003073  泰达汇利A          1.069  1.069    0.03%  1.075          4.7    泰达宏利基金
003078  泰康安惠A          1.047  1.047    0.03%  1.115        11.6    泰康资产管理
003079  中融3-5年信用  1.064  1.063    0.01%  1.064          0.1    中融基金        
003081  中融银行间1-3  1.057  1.056    0.05%  1.057        11.5    中融基金        
003083  中融1-3年信用  1.057  1.057    0.00%  1.057          0.1    中融基金        
003085  中融银行间0-1  1.051  1.051    0.00%  1.051          0.1    中融基金        
003095  中欧医疗健康A  1.315  1.324  -0.67%  1.390        14.3    中欧基金        
003099  长盛盛景A          1.018  1.017    0.01%  1.069        15.1    长盛基金        
003102  长盛盛裕A          1.016  1.015    0.01%  1.070        15.0    长盛基金        
003104  泰达宏利定宏    1.075  1.075    0.00%  1.075          0.4    泰达宏利基金
003105  光大永鑫A          3.277  3.276    0.03%  3.528          1.4    光大保德信基
003107  光大安祺A          1.049  1.049    0.05%  1.049          2.0    光大保德信基
003109  光大安和A          1.020  1.020  -0.01%  1.167        10.4    光大保德信基
003115  光大诚鑫A          0.981  0.981    0.05%  0.981          1.2    光大保德信基
003117  光大吉鑫A          1.031  1.030    0.09%  1.080          0.4    光大保德信基
003119  博时鑫源A          1.348  1.347    0.07%  1.348          0.6    博时基金        
003121  信诚稳利A          1.044  1.043    0.03%  1.077        15.0    中信保诚基金
003123  天治鑫利A          1.029  1.031  -0.21%  1.029          0.1    天治基金        
003125  中科沃鑫成长    0.825  0.824    0.04%  0.825          0.3    中科沃土基金
003131  国寿安保强国智0.926  0.927  -0.10%  0.926          0.6    国寿安保基金
003132  德邦新回报        1.014  1.015  -0.10%  1.152          1.5    德邦基金        
003133  易方达裕鑫A      1.064  1.067  -0.26%  1.104          1.0    易方达基金    
003135  金元顺安沣楹    1.088  1.091  -0.21%  1.088        15.1    金元顺安基金
003142  鹏华弘达A          2.259  2.259    0.01%  2.259          0.6    鹏华基金        
003145  中融竞争优势    0.747  0.751  -0.51%  0.747          1.1    中融基金        
003146  融通通优债券    1.049  1.048    0.03%  1.097        19.8    融通基金        
003147  大成动态量化    0.845  0.843    0.26%  0.845          0.5    大成基金        
003152  华富天鑫A          0.776  0.780  -0.52%  0.776          1.1    华富基金        
003154  华宝新活力        1.221  1.221  -0.01%  1.221          0.5    华宝基金        
003155  中加丰尚            1.035  1.034    0.02%  1.113        34.1    中加基金        
003156  招商招悦A          1.020  1.019    0.05%  1.120        30.6    招商基金        
003159  万家恒瑞A          1.060  1.060    0.00%  1.060          5.0    万家基金        
003161  南方安泰混合    1.108  1.108    0.05%  1.108          4.3    南方基金管理
003162  博时富宁            1.073  1.073    0.03%  1.104        29.9    博时基金        
003163  金鹰添益纯债    1.031  1.032  -0.06%  1.122        25.9    金鹰基金        
003165  鹏华弘嘉A          1.037  1.049  -1.10%  1.037          1.0    鹏华基金        
003167  前海鼎瑞A          1.067  1.067    0.08%  1.067        17.5    前海开源基金
003169  长盛盛辉A          1.007  1.015  -0.79%  1.007          0.9    长盛基金        
003174  前海联合添惠A  1.057  1.057    0.00%  1.057        33.2    新疆前海联合
003175  华泰多策略        1.176  1.182  -0.46%  1.176          0.5    华泰柏瑞基金
003176  德邦景颐债券A  1.072  1.072    0.02%  1.072          1.7    德邦基金        
003180  前海联合添利A  1.005  1.007  -0.13%  1.005          5.1    新疆前海联合
003182  华富弘鑫A          1.044  1.044    0.00%  1.044          0.0    华富基金        
003187  嘉实安益            1.148  1.147    0.08%  1.148          2.9    嘉实基金        
003188  博时聚源            1.094  1.093    0.06%  1.215        45.0    博时基金        
003189  汇添富保鑫        1.139  1.140  -0.08%  1.139          4.5    汇添富基金管
003190  创金消费主题A  1.417  1.425  -0.51%  1.349          0.0    创金合信基金
003192  创金尊丰            1.038  1.038  -0.06%  1.118          8.0    创金合信基金
003193  创金合信尊智    1.047  1.047    0.01%  1.086          3.0    创金合信基金
003194  上海国企ETF联  0.919  0.920  -0.10%  0.919          8.6    汇添富基金管
003195  光大永利纯债A  1.017  1.017    0.04%  1.110        19.7    光大保德信基
003197  光大安诚A          1.048  1.048    0.01%  1.125          4.8    光大保德信基
003207  博时富发            1.034  1.034    0.02%  1.125          3.0    博时基金        
003208  东兴多策略        0.613  0.616  -0.50%  0.613          0.2    东兴证券股份
003209  鹏华丰达            1.025  1.024    0.03%  1.040        15.0    鹏华基金        
003210  博时智臻            1.037  1.038  -0.05%  1.111        10.0    博时基金        
003213  中银悦享            1.024  1.024    0.02%  1.065      196.1    中银基金        
003214  易方达富惠        1.035  1.034    0.03%  1.115        43.3    易方达基金    
003218  前海祥和A          1.171  1.170    0.08%  1.171          2.6    前海开源基金
003220  浙商惠利            1.032  1.031    0.03%  1.102          2.2    浙商基金        
003221  新华丰利A          1.079  1.079    0.01%  1.079          0.4    新华基金管理
003223  广发景丰纯债    1.028  1.027    0.04%  1.099        39.8    广发基金        
003226  信诚稳健A          1.040  1.040  -0.01%  1.100        10.0    中信保诚基金
003230  创金医疗保健A  1.218  1.222  -0.35%  1.179          0.1    创金合信基金
003232  创金地产A          0.899  0.900  -0.14%  0.975          0.1    创金合信基金
003234  信诚至利A          1.076  1.077  -0.08%  1.076          0.0    中信保诚基金
003236  信诚惠盈A          1.067  1.066    0.06%  1.067          3.8    中信保诚基金
003238  新华外延            1.088  1.087    0.00%  1.088          0.6    新华基金管理
003241  创金量化发现A  0.831  0.837  -0.71%  0.831          4.3    创金合信基金
003254  前海鼎裕债券A  1.840  1.831    0.49%  1.840          0.4    前海开源基金
003258  博时富祥            1.046  1.045    0.04%  1.079          0.5    博时基金        
003259  博时聚利            1.100  1.100    0.03%  1.107        91.1    博时基金        
003260  博时利发            1.052  1.051    0.05%  1.084        39.1    博时基金        
003261  安信沪深300A    1.123  1.127  -0.36%  1.123          0.2    安信基金管理
003265  招商招坤A          1.101  1.101    0.02%  1.101          0.5    招商基金        
003268  博时悦楚            1.039  1.040  -0.02%  1.064        14.6    博时基金        
003269  招商招乾3个月A1.195  1.194    0.05%  1.304        34.7    招商基金        
003275  国联安添利增长1.142  1.142    0.02%  1.142                    国联安基金    
003277  信诚稳瑞A          1.040  1.040    0.03%  1.100        20.0    中信保诚基金
003279  融通智慧生活    0.968  0.966    0.22%  0.968          0.3    融通基金        
003280  鹏华丰恒            1.092  1.092    0.03%  1.092          8.4    鹏华基金        
003282  信诚至裕A          1.091  1.090    0.07%  1.091          2.2    中信保诚基金
003284  中邮医药健康    1.078  1.088  -0.98%  1.078          0.4    中邮创业基金
003285  国寿安康纯债    1.037  1.036    0.02%  1.118      198.1    国寿安保基金
003286  平安惠享纯债    1.053  1.053    0.02%  1.100          3.2    平安基金        
003287  信诚稳益A          1.045  1.044    0.04%  1.079        15.0    中信保诚基金
003289  创金合信尊泰    0.952  0.954  -0.12%  0.986          0.0    创金合信基金
003290  长城久稳            1.035  1.035    0.03%  1.096        12.7    长城基金        
003291  信达健康中国    0.977  0.980  -0.30%  0.977          1.8    信达澳银基金
003292  嘉实优势成长    0.718  0.720  -0.27%  0.718          0.7    嘉实基金        
003293  易基科瑞灵活    1.008  1.012  -0.31%  4.515          8.4    易方达基金    
003295  南方安裕混合    1.105  1.105    0.00%  1.105          3.7    南方基金管理
003298  嘉实物流产业A  1.261  1.269  -0.63%  1.261          0.8    嘉实基金        
003300  华夏圆和混合    1.136  1.137  -0.04%  1.136          5.0    华夏基金        
003301  华夏鼎融债券A  1.054  1.054    0.00%  1.054          2.0    华夏基金        
003304  前海核心资源A  1.127  1.122    0.44%  1.127          0.4    前海开源基金
003308  中信建投睿利A  0.973  0.973    0.03%  1.155          0.2    中信建投基金
003312  大摩睿成中小盘0.768  0.776  -1.03%  0.768          0.8    摩根士丹利华
003314  浙商惠南            1.066  1.066    0.01%  1.107        19.9    浙商基金        
003315  景顺金融债        1.092  1.091    0.10%  1.092          0.1    景顺长城基金
003318  景顺长城中证500.915  0.925  -1.09%  0.915        13.1    景顺长城基金
003319  建信瑞丰添利A  1.063  1.063    0.00%  1.063          0.2    建信基金管理
003327  万家鑫璟A          1.075  1.074    0.02%  1.137          1.9    万家基金        
003329  万家鑫安A          1.030  1.030    0.04%  1.117      151.7    万家基金        
003332  南方荣发            1.102  1.102    0.00%  1.102          5.1    南方基金管理
003333  泰信智选            0.657  0.660  -0.46%  0.657          0.8    泰信基金        
003334  中融融信双盈A  0.937  0.938  -0.03%  0.937          1.0    中融基金        
003336  长江收益            1.058  1.059  -0.09%  1.058          2.0    长江证券(上  
003337  南方颐元A          1.023  1.023    0.04%  1.089        20.1    南方基金管理
003342  工银国债纯债A  1.055  1.054    0.02%  1.055          0.9    工银瑞信基金
003343  鹏华弘惠A          1.015  1.015    0.00%  1.015          0.6    鹏华基金        
003345  安信新成长A      1.040  1.039    0.06%  1.130          4.5    安信基金管理
003349  长信稳益纯债    1.109  1.109    0.02%  1.282        73.2    长信基金管理
003351  招商稳荣混合A  0.935  0.941  -0.62%  0.935          1.9    招商基金        
003358  易基国开债        1.038  1.037    0.12%  1.038        16.1    易方达基金    
003360  前海瑞和A          1.059  1.058    0.09%  1.064          9.9    前海开源基金
003366  浙商成长指数    0.802  0.811  -1.10%  0.802          0.5    浙江浙商证券
003371  招商招轩A          1.122  1.123  -0.08%  1.178          4.6    招商基金        
003373  大成景禄A          0.861  0.861  -0.01%  0.861          0.0    大成基金        
003376  广发国开债指数1.057  1.056    0.10%  1.057        12.2    广发基金        
003378  泰康策略            1.072  1.073  -0.11%  1.113          7.1    泰康资产管理
003379  信诚至选A          1.046  1.045    0.08%  1.124          5.8    中信保诚基金
003382  民生鑫享A          1.135  1.134    0.02%  1.143        96.3    民生加银基金
003384  金鹰添盈            1.021  1.021    0.02%  1.128        10.1    金鹰基金        
003394  建信恒安            1.065  1.064    0.02%  1.112      155.4    建信基金管理
003395  安信尊享            1.043  1.043    0.03%  1.111        38.0    安信基金管理
003396  东方红优享红利1.265  1.265    0.00%  1.265        21.4    上海东方证券
003397  银华体育文化    0.947  0.955  -0.83%  0.947          0.2    银华基金管理
003400  建信恒瑞            1.065  1.064    0.03%  1.112      160.0    建信基金管理
003401  工银可转债债券1.022  1.034  -1.09%  1.022          1.4    工银瑞信基金
003403  华商瑞丰短债A  1.000  1.000    0.00%  1.019                    华商基金        
003406  南方多元            1.235  1.235    0.02%  1.235        16.4    南方基金管理
003407  景顺景泰丰利A  1.174  1.173    0.05%  1.229        83.1    景顺长城基金
003411  鹏华弘康A          1.234  1.234    0.03%  1.234          0.6    鹏华基金        
003413  华泰新经济        1.201  1.207  -0.43%  1.201          0.2    华泰柏瑞基金
003414  泰达创金A          1.179  1.176    0.20%  1.227          1.2    泰达宏利基金
003416  招商财经大数据0.749  0.752  -0.35%  0.749          0.3    招商基金        
003417  中加丰泽            1.039  1.038    0.09%  1.143          8.3    中加基金        
003418  华润元大润鑫A  1.099  1.098    0.06%  1.099          2.0    华润元大基金
003424  江信洪福            1.026  1.025    0.07%  1.113          5.1    江信基金        
003425  江信添福A          1.109  1.108    0.04%  1.119          1.1    江信基金        
003427  建信恒远            1.059  1.059    0.03%  1.105      160.0    建信基金管理
003428  中加丰盈            1.063  1.063    0.03%  1.113          0.5    中加基金        
003429  兴业中高等信用1.033  1.032    0.09%  1.120        75.6    兴业基金        
003432  信诚至瑞A          1.140  1.139    0.04%  1.140          0.5    中信保诚基金
003434  博时鑫泽A          1.187  1.193  -0.50%  1.187          4.0    博时基金        
003438  招商招怡纯债A  1.018  1.018    0.01%  1.082        20.0    招商基金        
003440  招商招享纯债A  1.021  1.021    0.00%  1.098      100.0    招商基金        
003442  招商招惠A          1.103  1.102    0.05%  1.111        62.0    招商基金        
003445  中加丰享            1.038  1.038    0.00%  1.113        60.7    中加基金        
003446  英大睿鑫A          1.126  1.126    0.00%  1.176          0.1    英大基金        
003448  招商招华A          1.037  1.037    0.05%  1.110        15.0    招商基金        
003452  招商招盛A          1.105  1.104    0.04%  1.402        93.7    招商基金        
003454  招商招通纯债A  1.052  1.052    0.04%  1.102        28.2    招商基金        
003456  信达新目标        0.956  0.953    0.31%  1.151          1.5    信达澳银基金
003457  国泰润泰纯债    1.030  1.030    0.00%  1.091        42.1    国泰基金        
003458  嘉实稳宏A          0.985  0.992  -0.77%  0.985          0.5    嘉实基金        
003461  嘉实稳元纯债    1.036  1.035    0.01%  1.115          5.0    嘉实基金        
003471  前海联合添鑫A  1.047  1.017    2.98%  1.065          5.0    新疆前海联合
003475  前海联合沪深301.075  1.074    0.08%  1.075          0.5    新疆前海联合
003476  南方安颐混合    1.053  1.053    0.01%  1.053          0.8    南方基金管理
003477  南方睿见混合    1.071  1.072  -0.09%  1.071          1.0    南方基金管理
003484  金鹰鑫益A          1.079  1.079    0.01%  1.079          0.1    金鹰基金        
003486  平安惠隆纯债    1.019  1.018    0.05%  1.049          3.0    平安基金        
003487  平安惠融纯债    1.060  1.061  -0.09%  1.092        14.3    平安基金        
003488  平安惠裕A          1.044  1.050  -0.58%  1.064          0.0    平安基金        
003492  前海外向企业    0.977  0.977    0.06%  0.977          0.3    前海开源基金
003493  申万安鑫优选A  1.073  1.073    0.00%  1.073          3.1    申万菱信基金
003495  鹏华弘尚A          1.029  1.029    0.01%  1.089          7.8    鹏华基金        
003498  前海联合添和A  1.084  1.084    0.00%  1.094        23.9    新疆前海联合
003500  鑫元聚利            1.075  1.074    0.04%  1.108        20.0    鑫元基金        
003501  泰达睿智            0.900  0.904  -0.39%  0.900          1.3    泰达宏利基金
003502  金鹰鑫瑞A          1.127  1.127    0.02%  1.127        14.4    金鹰基金        
003504  景顺景颐丰利A  1.033  1.033    0.01%  1.087          1.7    景顺长城基金
003510  长盛可转A          1.048  1.051  -0.30%  1.058          0.3    长盛基金        
003513  中邮消费升级    1.053  1.061  -0.75%  1.053          0.5    中邮创业基金
003514  国寿安享纯债    1.005  1.005    0.01%  1.089        18.1    国寿安保基金
003516  国泰融安多策略1.282  1.299  -1.30%  1.282          8.1    国泰基金        
003517  国泰润利纯债    1.032  1.031    0.03%  1.110          7.0    国泰基金        
003518  万家鑫瑞A          1.102  1.102    0.01%  1.105        19.8    万家基金        
003520  万家1-3年政金  1.005  1.004    0.04%  1.092        22.0    万家基金        
003521  万家1-3年政金  1.004  1.003    0.06%  1.095                    万家基金        
003524  易基深成指ETF  0.947  0.952  -0.56%  0.947          0.3    易方达基金    
003524  易基深成指ETF  0.947  0.953  -0.62%  0.947          0.3    易方达基金    
003527  鹏华丰腾            1.025  1.024    0.02%  1.083        20.0    鹏华基金        
003528  汇添富长添利A  1.010  1.009    0.09%  1.088      150.0    汇添富基金管
003532  汇添富鑫利A      1.028  1.028    0.02%  1.088        11.4    汇添富基金管
003545  东兴兴利            1.035  1.035  -0.01%  1.035          0.0    东兴证券股份
003546  长城久信            1.090  1.090    0.00%  1.090          2.1    长城基金        
003547  鹏华丰禄            1.032  1.031    0.10%  1.140        10.0    鹏华基金        
003548  泰达300增强C    1.419  1.416    0.23%  1.419                    泰达宏利基金
003549  浙商惠裕            1.028  1.028    0.04%  1.073        15.3    浙商基金        
003561  诺德成长精选A  1.045  1.046  -0.03%  1.045          3.9    诺德基金        
003566  博时臻选            1.044  1.044    0.00%  1.088          5.0    博时基金        
003567  华夏行业景气    1.145  1.149  -0.34%  1.145          0.5    华夏基金        
003568  平安惠利纯债    1.123  1.122    0.06%  1.123          5.0    平安基金        
003569  招商招丰A          1.035  1.034    0.03%  1.121        15.0    招商基金        
003571  招商招琪A          1.101  1.101    0.03%  1.110        75.5    招商基金        
003574  大成惠利纯债    1.028  1.027    0.03%  1.107        15.0    大成基金        
003575  大成惠益纯债    1.018  1.018    0.02%  1.085        59.9    大成基金        
003580  泰康价值优选    1.066  1.067  -0.13%  1.066          1.1    泰康资产管理
003581  前海联合国民健0.909  0.913  -0.43%  0.909          0.5    新疆前海联合
003581  前海联合国民健0.909  0.915  -0.65%  0.909          0.5    新疆前海联合
003582  中金量化多策略0.974  0.986  -1.21%  0.974          1.6    中金基金        
003583  建信稳定鑫利债1.099  1.088    1.02%  1.114        47.2    建信基金管理
003583  建信稳定鑫利债1.099  1.099    0.03%  1.114        47.2    建信基金管理
003586  先锋精一A          0.770  0.765    0.58%  0.770          0.2    先锋基金        
003590  建信睿富            1.077  1.076    0.04%  1.098        70.2    建信基金管理
003591  华泰享利A          1.143  1.145  -0.21%  1.143          2.0    华泰柏瑞基金
003593  国泰景气行业    1.159  1.164  -0.36%  1.226          9.3    国泰基金        
003594  长盛盛崇A          1.076  1.076    0.01%  1.186          2.6    长盛基金        
003598  华商润丰            0.998  0.999  -0.10%  0.998          0.2    华商基金        
003601  申万安鑫精选A  1.019  1.022  -0.29%  1.129          6.0    申万菱信基金
003603  景顺泰安A          1.023  1.024  -0.08%  1.135          1.2    景顺长城基金
003605  景顺景泰汇利    1.130  1.130    0.00%  1.130          6.3    景顺长城基金
003607  博时富益纯债    1.044  1.044    0.05%  1.101        20.1    博时基金        
003610  南方荣安A          1.123  1.120    0.22%  1.123          0.6    南方基金管理
003612  南方卓元A          1.125  1.125    0.02%  1.125          4.6    南方基金管理
003614  信诚景瑞A          1.060  1.060    0.00%  1.116          3.5    中信保诚基金
003618  招商招旺A          1.064  1.064    0.04%  1.108          5.0    招商基金        
003622  创金优价成长A  1.020  1.011    0.92%  1.020          0.2    创金合信基金
003624  创金资源主题A  0.871  0.882  -1.25%  0.871          1.6    创金合信基金
003626  平安鑫利混合A  1.070  1.069    0.02%  1.099        11.4    平安基金        
003628  兴银收益增强    1.037  1.040  -0.25%  1.037          0.4    兴银基金管理
003634  嘉实农业            1.246  1.277  -2.42%  1.246          1.7    嘉实基金        
003637  安信永鑫A          1.057  1.057    0.00%  1.130          0.3    安信基金管理
003640  兴业裕丰            1.016  1.015    0.04%  1.101        12.7    兴业基金        
003641  长盛盛丰A          1.008  1.008    0.00%  1.079          2.4    长盛基金        
003646  创金中证1000A  0.921  0.932  -1.16%  0.921          1.0    创金合信基金
003648  融通通祺            1.037  1.037    0.04%  1.118          2.1    融通基金        
003650  融通通润            1.040  1.039    0.03%  1.109          8.0    融通基金        
003655  信达新财富        0.943  0.939    0.42%  1.140          1.5    信达澳银基金
003656  民生鑫元A          1.090  1.089    0.09%  1.090          1.0    民生加银基金
003658  长盛量化多策略0.919  0.925  -0.64%  0.919          0.7    长盛基金        
003659  山西策略精选    0.826  0.830  -0.50%  0.826          0.6    山西证券股份
003662  鹏华永盛            1.145  1.145    0.04%  1.145          3.0    鹏华基金        
003664  新沃通利A          1.057  1.057    0.00%  1.057          0.3    新沃基金        
003668  东方红益鑫A      1.071  1.070    0.02%  1.121        17.1    上海东方证券
003670  中融物联网        0.763  0.766  -0.48%  0.763          0.5    中融基金        
003671  兴业裕恒            1.048  1.047    0.08%  1.080        16.2    兴业基金        
003672  兴业裕华债券    1.040  1.039    0.04%  1.124          4.4    兴业基金        
003673  中加丰裕            1.023  1.022    0.04%  1.136        14.9    中加基金        
003674  融通通玺            1.051  1.050    0.04%  1.105        10.0    融通基金        
003680  华润润泰双鑫A  0.948  0.948    0.02%  0.948          0.2    华润元大基金
003681  建信睿享            1.079  1.079    0.02%  1.116        56.0    建信基金管理
003682  博时安弘一年定1.103  1.102    0.06%  1.103          5.2    博时基金        
003682  博时安弘一年定1.103  1.091    1.08%  1.103          5.2    博时基金        
003684  汇安丰融A          1.087  1.087    0.02%  1.087          1.1    汇安基金管理
003692  大成景尚A          1.041  1.040    0.05%  1.121          8.0    大成基金        
003702  平安中证沪港深0.925  0.931  -0.66%  0.925          0.2    平安基金        
003703  博时富鑫            1.046  1.046    0.05%  1.073        85.7    博时基金        
003704  光大事件驱动    0.979  0.979  -0.02%  0.979          0.6    光大保德信基
003708  博时民丰纯债A  1.038  1.038    0.03%  1.106        17.8    博时基金        
003713  英大睿盛A          0.983  0.980    0.30%  1.063          1.5    英大基金        
003715  宝盈消费主题    1.023  1.028  -0.48%  1.023          2.5    宝盈基金        
003717  中银量化            0.768  0.770  -0.25%  0.768          2.6    中银基金        
003728  融通通宸            1.034  1.034    0.03%  1.100        14.6    融通基金        
003730  博时富华            1.060  1.059    0.06%  1.124        10.0    博时基金        
003731  长安泓泽纯债A  1.064  1.063    0.05%  1.117          3.9    长安基金        
003733  金鹰添裕纯债    1.040  1.040  -0.02%  1.109          9.8    金鹰基金        
003734  万家瑞盈A          1.126  1.125    0.05%  1.126        12.7    万家基金        
003739  新华鑫弘            1.111  1.110    0.08%  1.111          1.5    新华基金管理
003741  鹏华丰盈债券    1.010  1.009    0.00%  1.097        19.8    鹏华基金        
003742  汇安嘉汇纯债    1.101  1.101    0.05%  1.129          8.0    汇安基金管理
003745  广发多元新兴    0.944  0.949  -0.57%  0.944          1.3    广发基金        
003747  万家鑫享纯债A  1.058  1.058    0.06%  1.084          9.8    万家基金        
003749  创金合信鑫收益1.072  1.072    0.00%  1.072          1.3    创金合信基金
003751  万家瑞隆            1.028  1.039  -1.00%  1.028          0.1    万家基金        
003754  国泰普益A          1.093  1.092    0.06%  1.093          0.9    国泰基金        
003760  国泰中证500增  0.999  0.999  -0.01%  0.999                    国泰基金        
003762  国开开泰A          1.072  1.072    0.00%  1.121          2.1    国开泰富基金
003765  广发创业板ETF  0.836  0.844  -0.90%  0.836        10.0    广发基金        
003765  广发创业板ETF  0.836  0.845  -1.08%  0.836        10.0    广发基金        
003767  泰达宏利纯利A  1.007  1.007    0.00%  1.093          1.0    泰达宏利基金
003769  中银品质生活    1.023  1.028  -0.50%  1.023          0.6    中银基金        
003776  南方宣利A          1.106  1.106    0.02%  1.106          5.1    南方基金管理
003780  鹏华兴悦            1.004  1.007  -0.28%  1.004          3.8    鹏华基金        
003787  方正惠利纯债A  1.034  1.033    0.06%  1.080          8.5    方正富邦基金
003788  方正惠利纯债C  1.051  1.050    0.05%  1.310        13.2    方正富邦基金
003793  泰达溢利A          1.004  1.004    0.04%  1.097          1.0    泰达宏利基金
003795  方正睿利A          1.045  1.044    0.04%  1.122        10.9    方正富邦基金
003797  华安新瑞利A      1.128  1.128  -0.02%  1.128          6.1    华安基金        
003799  华安新泰利A      1.032  1.033  -0.04%  1.032          0.1    华安基金        
003803  华安新丰利A      3.021  3.019    0.04%  3.021          2.0    华安基金        
003805  华安新恒利A      1.143  1.144  -0.08%  1.143          2.0    华安基金        
003809  招商招顺纯债A  1.038  1.038    0.04%  1.094        15.0    招商基金        
003811  中金金利A          1.087  1.087    0.03%  1.108          7.2    中金基金        
003814  银华上证10年国1.065  1.063    0.20%  1.065          0.5    银华基金管理
003814  银华上证10年国1.065  1.060    0.48%  1.065          0.5    银华基金管理
003817  银华上证5年期  1.067  1.067    0.06%  1.067          0.6    银华基金管理
003817  银华上证5年期  1.067  1.162  -8.12%  1.067          0.6    银华基金管理
003819  广发景华纯债    1.034  1.034    0.00%  1.132          6.9    广发基金        
003822  中信建投轮换A  1.013  1.026  -1.19%  1.013          0.7    中信建投基金
003824  天弘信利A          1.035  1.034    0.03%  1.101        15.0    天弘基金        
003826  华夏鼎汇债券A  1.076  1.076  -0.03%  1.076          1.0    华夏基金        
003831  建信鑫瑞            1.071  1.074  -0.27%  1.121          5.0    建信基金管理
003833  金鹰添富纯债    1.080  1.080    0.03%  1.085          2.0    金鹰基金        
003834  华夏能源革新    0.920  0.924  -0.43%  0.920          3.4    华夏基金        
003835  鹏华新兴成长    1.350  1.353  -0.22%  1.350          0.3    鹏华基金        
003837  东方臻享A          1.092  1.091    0.06%  1.125        13.0    东方基金管理
003839  易方达瑞通A      1.234  1.236  -0.16%  1.234          6.0    易方达基金    
003841  大成惠裕            1.047  1.047    0.00%  1.107          5.0    大成基金        
003842  中邮景泰A          1.058  1.058    0.01%  1.058          0.0    中邮创业基金
003845  汇安丰恒A          0.878  0.878  -0.01%  0.878          0.1    汇安基金管理
003847  华安鼎丰            1.151  1.150    0.06%  1.151          3.9    华安基金        
003848  中银广利A          1.007  1.007    0.06%  1.101          6.0    中银基金        
003850  中银锦利A          1.027  1.025    0.22%  1.143          2.4    中银基金        
003852  金鹰添享纯债    0.955  0.956  -0.12%  0.981          0.0    金鹰基金        
003853  金鹰信息产业A  1.284  1.274    0.76%  1.302          5.3    金鹰基金        
003854  汇安丰华A          1.234  1.233    0.01%  1.665        11.7    汇安基金管理
003857  前海周期优选A  0.935  0.936  -0.11%  0.935          0.5    前海开源基金
003859  招商招旭纯债A  1.096  1.095    0.06%  1.096          3.4    招商基金        
003861  招商兴福A          1.012  1.012    0.02%  1.012          0.0    招商基金        
003863  招商招祥纯债A  1.031  1.031    0.03%  1.093        15.0    招商基金        
003866  博时富诚            1.019  1.019    0.00%  1.102          5.0    博时基金        
003867  招商招景A          1.011  1.011    0.01%  1.095        40.0    招商基金        
003869  长信稳势            1.135  1.134    0.05%  1.369          5.7    长信基金管理
003876  华宝沪深300增  1.188  1.187    0.02%  1.188          1.7    华宝基金        
003877  富国久利稳健A  1.075  1.073    0.13%  1.075          0.7    富国基金        
003882  易基瑞弘A          1.195  1.197  -0.15%  1.195          5.5    易方达基金    
003884  汇安沪深300增  1.066  1.068  -0.21%  1.066          0.1    汇安基金管理
003886  汇安丰利A          0.901  0.902  -0.03%  1.026          0.7    汇安基金管理
003888  汇安嘉源            1.024  1.024    0.02%  1.105          6.9    汇安基金管理
003889  汇安丰泽A          1.851  1.853  -0.12%  1.851          0.9    汇安基金管理
003891  汇安嘉裕            1.020  1.020    0.02%  1.100        16.9    汇安基金管理
003898  永赢丰益            1.016  1.016    0.00%  1.108        76.5    永赢基金        
003912  泰达宏利启富A  1.094  1.094    0.01%  1.094          1.8    泰达宏利基金
003922  长盛盛康纯债A  1.079  1.078    0.08%  1.079          7.5    长盛基金        
003923  长盛盛康纯债C  1.056  1.055    0.08%  1.056                    长盛基金        
003926  中融恒信纯债A  1.053  1.054  -0.11%  1.104        20.7    中融基金        
003928  前海联合永兴A  1.213  1.211    0.17%  1.248        16.7    新疆前海联合
003929  中银安进债券A  1.035  1.035    0.04%  1.095      320.6    中银国际证券
003932  银华5年期地方  1.086  1.085    0.05%  1.086          0.5    银华基金管理
003934  银华10年期地方1.092  1.093  -0.09%  1.092          0.7    银华基金管理
003934  银华10年期地方1.092  1.111  -1.68%  1.092          0.7    银华基金管理
003938  南方荣尊A          1.069  1.069    0.06%  1.069          1.2    南方基金管理
003940  银华盛世            1.262  1.267  -0.35%  1.453        29.9    银华基金管理
003949  兴全稳泰            1.017  1.016    0.04%  1.111        54.2    兴全基金
003950  博时鑫润A          1.094  1.093    0.09%  1.144          0.6    博时基金        
003952  兴业18个月定开1.019  1.018    0.03%  1.120        10.0    兴业基金        
003954  华泰柏瑞30        1.024  1.029  -0.47%  1.069          0.5    华泰柏瑞基金
003956  南方现代教育    0.912  0.919  -0.75%  0.912          1.1    南方基金管理
003957  安信量化沪深301.053  1.051    0.13%  1.053                    安信基金管理
003961  易方达瑞程A      1.117  1.125  -0.68%  1.117          1.5    易方达基金    
003966  中银润利A          1.036  1.037  -0.03%  1.156          5.2    中银基金        
003978  中信建投稳祥A  1.038  1.038    0.05%  1.113          5.5    中信建投基金
003983  鹏华丰惠            1.047  1.047    0.03%  1.107        15.0    鹏华基金        
003984  嘉实新能源新材1.036  1.063  -2.52%  1.036          3.7    嘉实基金        
003984  嘉实新能源新材1.036  1.058  -2.07%  1.036          3.7    嘉实基金        
003986  申万优选            1.099  1.102  -0.32%  1.137          2.6    申万菱信基金
003987  银华中债-10年  1.093  1.091    0.16%  1.093          0.6    银华基金管理
003989  银华中债-5年期1.095  1.094    0.10%  1.095          0.9    银华基金管理
003993  前海核心驱动    1.133  1.135  -0.20%  1.181          2.3    前海开源基金
003995  银华中债AAA信  1.099  1.336  -17.7%  1.099          0.6    银华基金管理
003995  银华中债AAA信  1.099  1.099    0.00%  1.099          0.6    银华基金管理
003999  富荣富祥纯债    1.107  1.106    0.06%  1.130          1.2    富荣基金        
004000  泰达睿选            0.967  0.968  -0.11%  0.967          0.5    泰达宏利基金
004001  泰达恒利A          1.040  1.040    0.03%  1.114          7.8    泰达宏利基金
004005  东方民丰回报A  1.000  1.000    0.00%  1.015          0.1    东方基金管理
004008  中融鑫思路A      1.302  1.302    0.00%  1.685          0.1    中融基金        
004010  华泰鼎利A          1.015  1.015    0.03%  1.115          4.0    华泰柏瑞基金
004020  广发景祥纯债    1.016  1.015    0.01%  1.098        42.0    广发基金        
004025  融通收益增强A  1.138  1.139  -0.08%  1.138          0.6    融通基金        
004027  广发景源A          1.025  1.024    0.04%  1.121        29.9    广发基金        
004030  嘉实丰安6个月  1.043  1.043    0.01%  1.110        15.0    嘉实基金        
004031  鑫元添利            1.029  1.030  -0.04%  1.029          0.1    鑫元基金        
004033  金鹰添荣纯债    1.063  1.063    0.02%  1.120          2.0    金鹰基金        
004040  金鹰医疗A          1.014  1.028  -1.39%  1.014          0.1    金鹰基金        
004042  华夏鼎茂A          1.110  1.109    0.06%  1.132        29.3    华夏基金        
004044  金鹰转型动力    0.872  0.876  -0.46%  0.872          4.2    金鹰基金        
004045  金鹰添润定开债1.033  1.032    0.04%  1.107        15.1    金鹰基金        
004046  华夏新锦顺A      1.274  1.275  -0.03%  1.274          4.6    华夏基金        
004048  华夏新锦汇A      1.091  1.092  -0.02%  1.091          4.0    华夏基金        
004050  华夏新锦升A      1.014  1.015  -0.10%  1.064          1.0    华夏基金        
004052  华夏鼎智A          1.050  1.049    0.01%  1.098        42.0    华夏基金        
004059  鑫元招利            1.031  1.031    0.06%  1.102          8.9    鑫元基金        
004061  华夏鼎隆债券A  1.003  1.002    0.05%  1.037        13.3    华夏基金        
004065  中融量化多因子0.804  0.813  -1.11%  0.804          0.4    中融基金        
004066  嘉实稳熙纯债    1.023  1.022    0.00%  1.116        24.7    嘉实基金        
004069  南方全指证券联0.899  0.899    0.03%  0.899        12.4    南方基金管理
004069  南方全指证券联0.899  0.891    0.95%  0.899        12.4    南方基金管理
004075  交银医药创新    1.306  1.312  -0.47%  1.306          3.5    交银施罗德基
004076  国联安锐意        1.175  1.177  -0.11%  1.175          1.9    国联安基金    
004079  万家鑫丰纯债A  1.037  1.037    0.03%  1.119          5.0    万家基金        
004081  国联安鑫乾A      1.131  1.131    0.00%  1.155          0.2    国联安基金    
004083  国联安鑫隆A      1.097  1.095    0.22%  1.122          1.9    国联安基金    
004085  工银国债(7-10  1.055  1.053    0.19%  1.055          0.6    工银瑞信基金
004089  添富鑫瑞A          1.030  1.029    0.06%  1.105        50.9    汇添富基金管
004091  博时沪港深价值1.087  1.084    0.32%  1.087          0.5    博时基金        
004093  金元桉盛A          1.099  1.098    0.03%  1.099          1.3    金元顺安基金
004098  前海港股通股    0.905  0.907  -0.19%  0.905          1.1    前海开源基金
004099  前海沪港深景气1.173  1.175  -0.11%  1.173          0.5    前海开源基金
004100  鹏华安益增强    1.129  1.129    0.00%  1.129          0.5    鹏华基金        
004101  国泰民安增益纯1.011  1.011    0.06%  1.039          4.1    国泰基金        
004101  国泰民安增益纯1.011  1.007    0.46%  1.039          4.1    国泰基金        
004102  信诚稳悦A          1.027  1.026    0.02%  1.116          5.0    中信保诚基金
004104  信诚稳鑫A          1.056  1.056    0.00%  1.115        22.0    中信保诚基金
004106  信诚稳丰A          1.047  1.047    0.03%  1.110        15.0    中信保诚基金
004108  信诚稳泰A          1.011  1.011    0.04%  1.093        12.4    中信保诚基金
004112  创金国企活力    0.978  0.988  -1.01%  0.978          0.7    创金合信基金
004117  大成惠祥定开纯1.036  1.036    0.02%  1.097        20.0    大成基金        
004118  博时裕鹏            1.084  1.084    0.03%  1.172        59.5    博时基金        
004119  广发创新驱动    1.038  1.039  -0.09%  1.038          2.3    广发基金        
004124  民生加银鑫升    1.011  1.032  -2.06%  1.117        23.7    民生加银基金
004127  鹏华丰康债券    1.035  1.035    0.04%  1.135        16.2    鹏华基金        
004128  前海联合泳隆A  1.083  1.083    0.01%  1.261          6.3    新疆前海联合
004129  国联安鑫汇A      1.064  1.064  -0.07%  1.090          1.9    国联安基金    
004131  国联安鑫发A      1.047  1.047    0.00%  1.070          0.2    国联安基金    
004135  申万成长            0.818  0.823  -0.64%  0.818          2.9    申万菱信基金
004136  博时民泽纯债债1.020  1.019    0.03%  1.090        67.8    博时基金        
004138  上银鑫达            1.124  1.120    0.33%  1.124          1.4    上银基金        
004139  中邮军民融合    0.833  0.847  -1.64%  0.833          0.8    中邮创业基金
004140  兴业福鑫            1.043  1.043    0.03%  1.108        21.0    兴业基金        
004142  招商盛合A          0.924  0.926  -0.22%  0.924          0.3    招商基金        
004144  上投安丰回报A  1.225  1.225    0.00%  1.225          0.0    上投摩根基金
004148  圆信多策略        1.045  1.051  -0.55%  1.045          9.6    圆信永丰基金
004149  博时鑫惠A          1.083  1.083    0.04%  1.083          0.0    博时基金        
004153  信诚新悦A          1.160  1.158    0.17%  1.160          1.9    中信保诚基金
004155  信诚至泰A          1.055  1.054    0.03%  1.055          1.5    中信保诚基金
004157  信诚至诚A          1.081  1.081    0.00%  1.081          0.0    中信保诚基金
004166  东方价值挖掘    0.918  0.918    0.03%  0.973          0.0    东方基金管理
004168  博时富嘉            1.098  1.098    0.03%  1.098          5.0    博时基金        
004171  信诚永益一年定1.028  1.028    0.07%  1.131        30.0    中信保诚基金
004171  信诚永益一年定1.028  1.028    0.01%  1.131        30.0    中信保诚基金
004175  博时鑫泰A          1.105  1.102    0.25%  1.248          1.6    博时基金        
004180  南方宏元A          1.131  1.130    0.01%  1.131        17.8    南方基金管理
004182  建信瑞福添利A  0.950  0.950    0.01%  0.950          0.6    建信基金管理
004183  富国产业升级    1.059  1.057    0.20%  1.059          1.0    富国基金        
004189  华商民营活力    0.706  0.706    0.00%  0.706          0.3    华商基金        
004190  招商沪深300A    1.120  1.122  -0.15%  1.120          1.1    招商基金        
004192  招商中证500指  0.884  0.892  -0.90%  0.884          0.4    招商基金        
004194  招商中证1000A  0.777  0.786  -1.13%  0.777          0.5    招商基金        
004200  博时富瑞纯债    1.085  1.084    0.08%  1.116          2.1    博时基金        
004202  华夏睿磐泰兴    1.043  1.043    0.01%  1.043          0.3    华夏基金        
004205  东方支柱            0.758  0.760  -0.28%  0.758          0.2    东方基金管理
004206  华商元亨混合    0.852  0.851    0.03%  0.852          1.5    华商基金        
004209  大成智惠            1.047  1.059  -1.15%  1.047          0.2    大成基金        
004211  金鹰周期优选    0.939  0.943  -0.43%  0.939          2.0    金鹰基金        
004212  中融量化智选A  1.037  1.041  -0.39%  1.037          0.4    中融基金        
004218  前海裕和定开混0.978  0.979  -0.17%  0.978          0.3    前海开源基金
004219  中海添顺            1.036  1.036    0.00%  1.084          0.2    中海基金        
004222  金信民旺债券A  0.933  0.942  -0.98%  0.933          0.2    金信基金        
004223  金信多策略精选1.040  1.039    0.01%  1.566          7.9    金信基金        
004224  南方军工            0.686  0.693  -1.12%  0.686          7.3    南方基金管理
004225  国寿稳诚A          1.007  1.007    0.00%  1.104          2.2    国寿安保基金
004227  泰信鑫利A          1.059  1.059  -0.04%  1.059          0.3    泰信基金        
004230  永赢添益            1.042  1.042    0.05%  1.116        39.9    永赢基金        
004238  永赢瑞益            1.031  1.031    0.05%  1.167        27.8    永赢基金        
004244  东方周期优选    1.025  1.029  -0.38%  1.025          0.2    东方基金管理
004246  德邦锐乾A          1.030  1.029    0.04%  1.106        10.0    德邦基金        
004249  安信中国制造    1.111  1.112  -0.08%  1.111          0.7    安信基金管理
004250  银河量化优选    1.015  1.022  -0.71%  1.015          0.5    银河基金        
004253  国泰黄金ETF联  1.110  1.097    1.26%  1.110          4.1    国泰基金        
004254  民生汇鑫一年定1.114  1.113    0.03%  1.144          2.3    民生加银基金
004254  民生汇鑫一年定1.114  1.138  -2.14%  1.144          2.3    民生加银基金
004258  国寿安保稳嘉A  1.046  1.046    0.00%  1.116          1.9    国寿安保基金
004260  德邦稳盈增长    0.832  0.832    0.02%  0.832          0.7    德邦基金        
004263  华安沪港深机会1.343  1.349  -0.44%  1.416          2.8    华安基金        
004264  海富通瑞合        1.027  1.026    0.00%  1.107          2.0    海富通基金    
004266  招商科技创新    0.870  0.873  -0.27%  0.959          0.2    招商基金        
004270  汇添富民丰A      1.096  1.098  -0.15%  1.096          0.7    汇添富基金管
004272  中融量化小盘A  0.850  0.859  -1.02%  0.850          0.2    中融基金        
004279  国寿稳荣A          1.041  1.041    0.00%  1.091          1.9    国寿安保基金
004284  华宝新优选混合1.088  1.089  -0.06%  1.088          0.7    华宝基金        
004290  前海顺和债券A  1.082  1.081    0.12%  1.082          1.0    前海开源基金
004292  鹏华沪深港互联1.017  1.021  -0.40%  1.017          0.8    鹏华基金        
004301  国寿稳信A          1.059  1.059    0.01%  1.099          1.9    国寿安保基金
004307  博时富元            1.016  1.015    0.04%  1.108        44.6    博时基金        
004314  前海新硬件A      0.970  0.965    0.57%  0.970          0.5    前海开源基金
004316  前海沪港深裕鑫1.159  1.161  -0.18%  1.159          0.2    前海开源基金
004318  国寿尊裕A          1.035  1.035    0.00%  1.050          0.5    国寿安保基金
004320  前海乐享生活    1.040  1.042  -0.17%  1.040          1.6    前海开源基金
004321  前海强国产业    1.002  1.001    0.07%  1.002          1.5    前海开源基金
004322  创金尊隆            1.059  1.059    0.01%  1.092          1.9    创金合信基金
004332  恒生前海新兴产0.905  0.901    0.46%  0.905          0.7    恒生前海基金
004334  博时广利纯债    1.024  1.024    0.01%  1.122        30.1    博时基金        
004335  华宝新飞跃        1.094  1.093    0.04%  1.094          1.1    华宝基金        
004340  泰康兴泰回报    1.125  1.127  -0.17%  1.125          1.7    泰康资产管理
004341  农银尖端科技    0.943  0.950  -0.72%  0.943          1.3    农银汇理基金
004345  南方深成C          0.743  0.748  -0.69%  0.743                    南方基金管理
004350  汇丰价值先锋    1.134  1.139  -0.47%  1.134          1.1    汇丰晋信基金
004351  汇丰珠三角        0.938  0.938    0.02%  0.938          2.1    汇丰晋信基金
004352  北信研究精选    0.900  0.904  -0.44%  0.900          0.4    北信瑞丰基金
004353  嘉实新添华定期1.126  1.126    0.00%  1.126          1.5    嘉实基金        
004354  益民中证智能消0.815  0.817  -0.23%  0.815          0.1    益民基金        
004355  嘉实丰和            0.954  0.952    0.15%  4.139          6.5    嘉实基金        
004357  南方智慧            1.187  1.192  -0.46%  1.187          3.7    南方基金管理
004359  创金量化核心A  1.063  1.063    0.06%  1.113          0.9    创金合信基金
004361  上投安通A          1.030  1.031  -0.13%  1.061          0.3    上投摩根基金
004366  博时汇享纯债A  1.032  1.031    0.06%  1.056        23.6    博时基金        
004374  华泰保兴吉年丰0.938  0.946  -0.84%  1.033          2.3    华泰保兴基金
004385  中金新安            1.136  1.135    0.08%  1.136          0.5    中金基金        
004388  鹏华丰享            1.081  1.080    0.06%  1.132          2.9    鹏华基金        
004389  大成惠明纯债    1.105  1.106  -0.09%  1.105          7.4    大成基金        
004390  平安创新A          0.995  1.006  -1.12%  1.085          0.5    平安基金        
004393  安信合作创新    1.194  1.196  -0.12%  1.194          1.2    安信基金管理
004394  华泰量化创优    0.910  0.916  -0.67%  0.910          3.5    华泰柏瑞基金
004397  长盛信息量化    0.671  0.671    0.00%  0.671          0.2    长盛基金        
004400  金信民兴A          1.533  1.602  -4.30%  1.998          8.1    金信基金        
004403  平安股息A          1.015  1.012    0.29%  1.015          0.1    平安基金        
004405  国寿稳寿A          1.036  1.036    0.02%  1.061          4.0    国寿安保基金
004413  建信民丰回报    1.062  1.063  -0.01%  1.062          1.7    建信基金管理
004423  华商研究精选    1.258  1.263  -0.39%  1.258          0.2    华商基金        
004424  添富文体娱乐    1.139  1.140  -0.10%  1.139          3.8    汇添富基金管
004427  交银增利增强A  1.106  1.111  -0.45%  1.106          0.3    交银施罗德基
004429  南方文旅            1.089  1.099  -0.88%  1.089          0.4    南方基金管理
004432  南方有色金属联0.654  0.657  -0.57%  0.654          1.1    南方基金管理
004432  南方有色金属联0.654  0.662  -1.25%  0.654          1.1    南方基金管理
004434  博时逆向投资A  0.859  0.865  -0.69%  0.859          3.8    博时基金        
004436  添富年年泰定开1.148  1.149  -0.02%  1.148          1.4    汇添富基金管
004438  鹏华永安18个月1.132  1.131    0.05%  1.132          3.0    鹏华基金        
004441  富荣富兴纯债    1.104  1.104    0.04%  1.127          1.9    富荣基金        
004442  中欧康裕A          1.108  1.107    0.06%  1.130          7.5    中欧基金        
004443  南方荣知A          1.100  1.102  -0.13%  1.100          0.5    南方基金管理
004446  南方荣年定开A  1.112  1.111    0.04%  1.112          0.5    南方基金管理
004448  博时汇智回报    1.455  1.463  -0.56%  1.455          0.5    博时基金        
004450  嘉实前沿科技    1.079  1.084  -0.47%  1.079        27.4    嘉实基金        
004451  添富年年丰A      1.102  1.101    0.07%  1.102          0.5    汇添富基金管
004453  前海开源盈鑫A  1.090  1.090    0.00%  1.144          0.1    前海开源基金
004456  兴银新趋势        0.921  0.921  -0.06%  0.921        17.1    兴银基金管理
004458  博时华盈            1.039  1.038    0.06%  1.106        17.0    博时基金        
004463  鹏华丰玉            1.020  1.019    0.06%  1.116        47.7    鹏华基金        
004466  长盛盛杰            1.077  1.076    0.11%  1.077          0.8    长盛基金        
004469  添富鑫益定开债1.021  1.021    0.01%  1.087        15.0    汇添富基金管
004475  华泰柏瑞富利    0.859  0.862  -0.38%  0.859          4.7    华泰柏瑞基金
004476  景顺领先科技    1.022  1.027  -0.48%  1.022          2.8    景顺长城基金
004477  嘉实沪港深回报1.057  1.056    0.17%  1.107        29.7    嘉实基金        
004479  博时富和纯债    1.037  1.037    0.01%  1.088        20.8    博时基金        
004480  华宝智慧产业    0.959  0.959  -0.01%  0.959          0.0    华宝基金        
004481  华宝第三产业    0.870  0.871  -0.14%  0.870          0.5    华宝基金        
004482  泰达港股通A      1.094  1.099  -0.41%  1.094          0.3    泰达宏利基金
004484  泰达宏利业绩A  0.993  0.990    0.24%  0.993          0.8    泰达宏利基金
004486  嘉实稳怡            1.079  1.079    0.00%  1.079          0.8    嘉实基金        
004488  富时A50ETF联接1.079  1.074    0.45%  1.079          0.4    嘉实基金        
004495  博时量化            1.097  1.105  -0.71%  1.097          0.4    博时基金        
004496  前海多元策略A  1.185  1.174    0.93%  1.185          3.1    前海开源基金
004498  鹏华丰源            1.061  1.060    0.05%  1.106        14.5    鹏华基金        
004499  鹏华丰瑞            1.015  1.014    0.07%  1.119        10.0    鹏华基金        
004503  鹏华永泰            1.122  1.123  -0.02%  1.122          2.1    鹏华基金        
004505  博时新兴消费主1.354  1.374  -1.45%  1.354          3.1    博时基金        
004513  海富通富睿A      1.048  1.047    0.09%  1.078          0.1    海富通基金    
004514  鹏华新科技传媒0.925  0.925    0.04%  0.925          0.3    鹏华基金        
004517  南方安康            1.074  1.074    0.01%  1.074          0.9    南方基金管理
004521  安信工业4.0A    0.866  0.865    0.11%  0.866          0.3    安信基金管理
004532  民生高股息A      0.881  0.882  -0.06%  0.881          0.3    民生加银基金
004534  添富年年益A      1.092  1.092  -0.01%  1.092          0.8    汇添富基金管
004536  嘉实中小企业    0.864  0.873  -1.03%  0.864          1.2    嘉实基金        
004544  嘉实稳华纯债    1.087  1.087    0.00%  1.117        15.1    嘉实基金        
004546  建信量化优享    1.022  1.026  -0.46%  1.022          2.1    建信基金管理
004549  富安达消费        1.034  1.037  -0.32%  1.034          1.6    富安达基金    
004550  中科沃土沃祥    0.875  0.881  -0.69%  0.875          0.6    中科沃土基金
004555  南方和元A          1.025  1.025    0.00%  1.111          9.7    南方基金管理
004558  汇安丰裕A          0.861  0.865  -0.47%  0.861          1.0    汇安基金管理
004560  汇安丰益A          1.027  1.020    0.70%  1.027          0.0    汇安基金管理
004564  北信鼎利A          1.035  1.036  -0.14%  1.035          0.1    北信瑞丰基金
004571  万家家瑞A          1.056  1.056    0.00%  1.056          0.4    万家基金        
004573  新华鑫泰            0.868  0.867    0.12%  0.868          0.6    新华基金管理
004576  新华恒益            0.810  0.810  -0.06%  0.810          0.9    新华基金管理
004585  鹏扬汇利A          1.067  1.067  -0.01%  1.112        30.8    鹏扬基金        
004593  广发全指ETF联  0.764  0.770  -0.85%  0.764          0.1    广发基金        
004596  中科沃安中短利1.080  1.080    0.01%  1.080          6.2    中科沃土基金
004596  中科沃安中短利1.080  1.079    0.15%  1.080          6.2    中科沃土基金
004597  南方银行联接A  1.042  1.038    0.42%  1.042          0.8    南方基金管理
004601  博时富腾纯债    1.041  1.040    0.04%  1.100          4.0    博时基金        
004602  前海润和债券A  1.099  1.098    0.05%  1.099          4.6    前海开源基金
004604  富国新活力A      1.231  1.231  -0.04%  1.231          0.1    富国基金        
004606  上投优选多因子0.990  0.997  -0.64%  0.990          1.1    上投摩根基金
004608  长信乐信A          1.073  1.072    0.06%  1.091          1.0    长信基金管理
004612  银河鑫月享A      1.009  1.009    0.00%  1.041          3.8    银河基金        
004614  鹏扬利泽A          1.030  1.029    0.02%  1.083      143.1    鹏扬基金        
004616  中欧电子信息产1.132  1.121    0.97%  1.132          4.6    中欧基金        
004616  中欧电子信息产1.132  1.184  -4.42%  1.132          4.6    中欧基金        
004617  建信鑫稳回报A  0.962  0.963  -0.02%  0.962          1.8    建信基金管理
004625  南方高元A          1.118  1.117    0.06%  1.118          0.5    南方基金管理
004629  国寿安瑞纯债    1.009  1.009    0.01%  1.078        20.7    国寿安保基金
004632  平安合意            1.006  1.006    0.01%  1.006          2.1    平安基金        
004634  前海联合泳涛A  1.046  1.047  -0.12%  1.046          1.1    新疆前海联合
004637  华夏鼎兴A          1.020  1.020    0.01%  1.061          2.0    华夏基金        
004640  华夏节能环保    0.708  0.707    0.08%  0.708          2.8    华夏基金        
004641  万家量化睿选    0.965  0.976  -1.12%  0.965          1.1    万家基金        
004642  南方房地产联接0.873  0.880  -0.81%  0.873          0.4    南方基金管理
004648  南方安睿            1.064  1.064    0.06%  1.064          0.7    南方基金管理
004649  国开开航            0.893  0.894  -0.10%  0.893          0.2    国开泰富基金
004652  建信鑫利回报A  0.859  0.861  -0.20%  0.859          1.1    建信基金管理
004655  添富鑫汇A          1.038  1.040  -0.15%  1.088          8.2    汇添富基金管
004661  银河如意            1.016  1.015    0.01%  1.016          1.3    银河基金        
004666  长城创新成长    0.846  0.850  -0.49%  0.846          7.8    长城基金        
004668  建信鑫泽回报A  0.947  0.947  -0.02%  0.947          1.3    建信基金管理
004671  中融核心成长    0.720  0.725  -0.79%  0.720          5.1    中融基金        
004672  华夏短债A          1.060  1.060    0.01%  1.060          0.5    华夏基金        
004674  富国新机遇A      1.086  1.086  -0.02%  1.086          0.1    富国基金        
004677  博时战略            1.157  1.166  -0.77%  1.157          0.3    博时基金        
004680  前海开源裕瑞A  1.024  1.027  -0.20%  1.024          0.7    前海开源基金
004683  建信高端医疗    0.937  0.942  -0.52%  0.937          1.0    建信基金管理
004685  金元元启            1.114  1.121  -0.66%  1.114          0.9    金元顺安基金
004686  华夏研究精选    0.936  0.937  -0.10%  0.936          7.3    华夏基金        
004687  添富熙和A          1.046  1.046    0.00%  1.046          1.3    汇添富基金管
004689  博时丰庆            1.102  1.101    0.04%  1.102          1.0    博时基金        
004693  前海联合泳隽A  0.831  0.832  -0.15%  0.831          4.9    新疆前海联合
004694  天弘策略精选A  0.903  0.910  -0.83%  0.903          0.3    天弘基金        
004696  东兴量化优享    0.926  0.920    0.63%  0.926          0.3    东兴证券股份
004698  博时军工主题    0.853  0.865  -1.38%  0.853          1.0    博时基金        
004702  南方金融主题    0.951  0.955  -0.41%  0.951          0.4    南方基金管理
004703  南方兴盛先锋    1.041  1.042  -0.09%  1.041          2.8    南方基金管理
004705  南方祥元A          1.108  1.108    0.00%  1.108        15.4    南方基金管理
004707  景顺睿成A          0.946  0.945    0.07%  0.946          0.6    景顺长城基金
004710  民生鹏程            1.047  1.047    0.02%  1.097          1.8    民生加银基金
004716  信诚量化阿尔法1.015  1.013    0.14%  1.015          0.5    中信保诚基金
004720  华夏睿磐泰茂A  1.008  1.009  -0.12%  1.008          1.6    华夏基金        
004723  中银丰实            1.007  1.007    0.01%  1.115        23.1    中银基金        
004724  先锋聚元A          1.055  1.064  -0.78%  1.055          1.4    先锋基金        
004726  先锋聚优A          0.707  0.708  -0.16%  0.707          0.0    先锋基金        
004728  中欧瑾泰债A      1.056  1.055    0.05%  1.076        42.6    中欧基金        
004730  建信量化事件    0.862  0.863  -0.09%  0.862          1.1    建信基金管理
004731  万家瑞尧A          0.920  0.922  -0.21%  0.920          0.9    万家基金        
004734  中欧瑾灵A          1.027  1.034  -0.60%  1.027          0.5    中欧基金        
004736  富国鼎利纯债    1.118  1.117    0.03%  1.137          2.0    富国基金        
004737  富国新优享A      1.053  1.054  -0.03%  1.053          0.6    富国基金        
004738  上投安隆回报A  1.039  1.042  -0.22%  1.039          1.1    上投摩根基金
004741  农银区间策略    0.940  0.944  -0.40%  0.940          0.8    农银汇理基金
004745  长盛创新驱动    0.756  0.755    0.11%  0.756          0.8    长盛基金        
004750  广发鑫和A          1.069  1.069  -0.03%  1.069          0.0    广发基金        
004751  广发鑫和C          1.057  1.058  -0.03%  1.057          4.0    广发基金        
004752  广发传媒ETF联  0.714  0.725  -1.48%  0.714          6.2    广发基金        
004756  国寿稳吉A          1.027  1.027    0.01%  1.047          4.0    国寿安保基金
004760  国寿稳瑞A          1.018  1.018  -0.05%  1.033          3.0    国寿安保基金
004763  中科沃嘉A          0.855  0.855    0.01%  0.855          0.1    中科沃土基金
004767  中银智享            1.093  1.093    0.09%  1.093        20.5    中银基金        
004769  申万价值优先    0.940  0.942  -0.19%  0.940          1.7    申万菱信基金
004774  汇添富添福吉祥1.064  1.065  -0.12%  1.064          2.1    汇添富基金管
004775  嘉实新添泽        1.048  1.049  -0.06%  1.048          1.6    嘉实基金        
004777  国都消费升级    0.670  0.671  -0.23%  0.670          0.2    国都证券股份
004784  招商稳健            0.930  0.942  -1.24%  0.930          0.7    招商基金        
004788  富荣300增强A    0.805  0.806  -0.08%  0.805          0.2    富荣基金        
004790  富荣中证500指  0.903  0.913  -1.01%  0.903          0.1    富荣基金        
004792  富荣富乾债券A  0.984  0.984  -0.03%  1.033        30.4    富荣基金        
004794  富荣福鑫A          0.984  0.984    0.00%  0.984          0.5    富荣基金        
004798  建信智享添鑫    0.991  0.991    0.06%  0.991          0.6    建信基金管理
004805  长信消费            1.106  1.107  -0.03%  1.106          0.4    长信基金管理
004807  中银安弘债券A  1.077  1.077  -0.06%  1.077          0.9    中银国际证券
004809  前海联合润丰A  1.015  1.015    0.03%  1.015          1.0    新疆前海联合
004812  中欧先进制造A  0.921  0.932  -1.15%  0.921          0.2    中欧基金        
004814  中欧红利优享A  0.958  0.958  -0.06%  0.958          0.9    中欧基金        
004818  国寿目标策略A  0.752  0.759  -0.87%  0.752          0.1    国寿安保基金
004823  上投安裕回报A  1.012  1.015  -0.31%  1.012          0.7    上投摩根基金
004825  平安惠泽纯债    1.124  1.125  -0.07%  1.147          5.4    平安基金        
004826  平安惠悦纯债    1.075  1.075    0.02%  1.095        33.8    平安基金        
004827  平安中短债A      1.011  1.011    0.01%  0.995        31.1    平安基金        
004829  北信瑞丰兴瑞    1.056  1.055    0.10%  1.056          2.0    北信瑞丰基金
004831  添富鑫泽定开A  1.037  1.036    0.00%  1.050        11.8    汇添富基金管
004833  先锋聚利A          0.922  0.935  -1.42%  0.922          0.3    先锋基金        
004836  中融鑫价值A      0.869  0.867    0.25%  0.869          1.2    中融基金        
004838  信达安益            1.013  1.012    0.04%  1.051        18.5    信达澳银基金
004840  东兴品牌精选A  1.016  1.014    0.26%  1.016          0.0    东兴证券股份
004845  南华瑞盈A          0.664  0.663    0.07%  0.664          0.2    南华基金        
004851  广发医疗保健    1.253  1.261  -0.62%  1.253          3.7    广发基金        
004852  广发价值回报A  1.079  1.079  -0.02%  1.079          0.6    广发基金        
004854  广发全指汽车A  0.750  0.753  -0.39%  0.750          0.4    广发基金        
004856  广发全指建筑材0.930  0.931  -0.08%  0.930          0.5    广发基金        
004856  广发全指建筑材0.930  0.937  -0.71%  0.930          0.5    广发基金        
004868  交银股息优化    1.132  1.135  -0.25%  1.132          1.2    交银施罗德基
004871  中银金融地产    1.014  1.014  -0.05%  1.014          0.7    中银基金        
004881  中银量化价值    0.820  0.818    0.20%  0.820          2.0    中银基金        
004885  长信先优            1.101  1.102  -0.12%  1.101          0.6    长信基金管理
004888  财通资管鑫逸A  1.024  1.023    0.05%  1.024          1.7    财通证券资产
004890  中邮健康文娱    0.924  0.929  -0.57%  0.924          0.7    中邮创业基金
004893  华润润泽A          1.036  1.035    0.04%  1.036          0.4    华润元大基金
004895  华商鑫安            0.797  0.799  -0.25%  0.797          1.2    华商基金        
004897  长安泓源纯债A  1.046  1.046    0.05%  1.046                    长安基金        
004899  中银信享            1.025  1.024    0.02%  1.093        59.9    中银基金        
004900  财通资管鑫锐A  1.021  1.021    0.06%  1.021          1.0    财通证券资产
004902  富国丰利债券    1.055  1.057  -0.19%  1.055          1.6    富国基金        
004905  华泰生物医药    1.200  1.211  -0.91%  1.200          1.3    华泰柏瑞基金
004907  长安泓沣中短债1.099  1.099    0.01%  1.099                    长安基金        
004910  中加颐享            1.036  1.036    0.03%  1.093        12.2    中加基金        
004913  中银证券聚瑞A  0.998  0.999  -0.13%  0.998          0.5    中银国际证券
004914  中银证券聚瑞C  0.995  0.997  -0.13%  0.995                    中银国际证券
004916  嘉实新添丰        1.075  1.075  -0.01%  1.075          1.0    嘉实基金        
004917  中银证券祥瑞A  0.921  0.928  -0.85%  0.921          0.5    中银国际证券
004919  兴全兴泰            1.011  1.010    0.05%  1.098      100.1    兴全基金
004920  富国泓利纯债A  1.044  1.044    0.05%  1.113        22.8    富国基金        
004925  长信低碳环保    0.821  0.827  -0.66%  0.821          2.2    长信基金管理
004926  中航融合精选A  0.935  0.937  -0.25%  0.935          0.3    中航基金        
004932  招商丰拓A          1.129  1.129  -0.03%  1.129          1.0    招商基金        
004934  圆信消费升级    1.004  1.008  -0.42%  1.004        15.3    圆信永丰基金
004935  国都智能制造    0.672  0.672    0.02%  0.672          0.1    国都证券股份
004936  中航混改精选A  0.944  0.940    0.41%  0.944          0.1    中航基金        
004942  格林伯元A          0.901  0.902  -0.07%  0.901          0.1    格林基金        
004944  鑫元鑫趋势A      0.909  0.909  -0.07%  0.909          0.5    鑫元基金        
004945  长信中证500      0.874  0.883  -0.94%  0.874          0.2    长信基金管理
004946  汇添富盈润A      1.119  1.120  -0.04%  1.119          0.7    汇添富基金管
004948  鑫元鑫趋势C      0.899  0.900  -0.08%  0.899                    鑫元基金        
004951  申万价值优利    1.005  1.005    0.00%  1.005          0.6    申万菱信基金
004952  兴全恒益A          1.047  1.052  -0.41%  1.047          9.8    兴全基金
004954  中银证券中高等1.010  1.010    0.03%  1.010          8.7    中银国际证券
004954  中银证券中高等1.010  1.008    0.17%  1.010          8.7    中银国际证券
004956  中银证券安誉A  1.005  1.005    0.00%  1.040        20.6    中银国际证券
004958  圆信优享生活    0.929  0.932  -0.27%  0.929          4.9    圆信永丰基金
004959  圆信优悦生活    0.917  0.920  -0.32%  0.917        17.3    圆信永丰基金
004965  泓德致远混合A  1.123  1.129  -0.51%  1.123          1.7    泓德基金        
004975  交银恒益混合    1.018  1.023  -0.42%  1.018          1.1    交银施罗德基
004978  富国聚利纯债    1.090  1.090    0.05%  1.106          9.4    富国基金        
004981  新华鑫日享A      1.020  1.019    0.01%  1.020        11.3    新华基金管理
004986  鹏华策略回报    0.977  0.978  -0.12%  1.197        16.4    鹏华基金        
004987  诺德新享            1.040  1.041  -0.13%  1.040          0.0    诺德基金        
004988  人保双利优选A  1.012  1.013  -0.10%  1.012          0.5    中国人保资产
004993  中欧可转债A      1.057  1.067  -0.90%  1.057          3.8    中欧基金        
004995  广发品牌消费    0.975  0.981  -0.62%  0.975          0.4    广发基金        
004997  广发高端制造    0.819  0.826  -0.87%  0.819          0.6    广发基金        
005000  泰康泉林A          0.812  0.814  -0.25%  0.812          3.4    泰康资产管理
005001  交银持续成长    1.123  1.140  -1.49%  1.123        17.2    交银施罗德基
005004  交银品质升级    0.942  0.946  -0.44%  0.942        15.8    交银施罗德基
005005  中金金泽A          0.950  0.950  -0.05%  0.950          0.2    中金基金        
005007  景顺景瑞睿利    1.035  1.036  -0.11%  1.035          2.1    景顺长城基金
005009  申万行业轮动    0.763  0.767  -0.46%  0.763          3.7    申万菱信基金
005010  金鹰添瑞A          1.025  1.025    0.01%  1.083        52.4    金鹰基金        
005014  泰康景泰A          1.081  1.080    0.12%  1.081          2.1    泰康资产管理
005021  渤海汇金汇盈    1.043  1.046  -0.37%  1.043          0.2    渤海汇金证券
005024  南方兴利            1.025  1.024    0.03%  1.101        30.1    南方基金管理
005028  鹏华研究精选    0.965  0.969  -0.37%  0.965          5.1    鹏华基金        
005033  银华智能汽车A  0.707  0.712  -0.63%  0.707          0.2    银华基金管理
005035  银华信息科技A  0.729  0.732  -0.39%  0.729          0.3    银华基金管理
005037  银华新能源A      0.730  0.742  -1.60%  0.730          0.7    银华基金管理
005039  鹏扬景兴A          1.095  1.096  -0.16%  1.095          2.9    鹏扬基金        
005041  人保研究精选A  0.953  0.959  -0.60%  0.953          1.6    中国人保资产
005043  国寿健康科学A  0.932  0.932  -0.04%  0.932          0.7    国寿安保基金
005047  南华瑞扬纯债A  0.874  0.874    0.03%  0.874          0.1    南华基金        
005049  长安鑫旺价值A  1.118  1.123  -0.40%  1.118          0.5    长安基金        
005051  港股低波红利A  0.954  0.954  -0.02%  0.954          4.0    上投摩根基金
005053  银河量化价值    0.909  0.912  -0.32%  0.909          2.3    银河基金        
005054  泰康瑞坤纯债    1.055  1.054    0.04%  1.104          7.9    泰康资产管理
005055  华泰量化阿尔法0.923  0.930  -0.83%  0.923        26.1    华泰柏瑞基金
005059  南方安福混合    1.051  1.051    0.01%  1.051          0.7    南方基金管理
005062  博时中证500A    0.852  0.860  -0.95%  0.852          2.0    博时基金        
005063  广发全指电器A  0.942  0.945  -0.33%  0.942          0.9    广发基金        
005067  融通逆向策略    0.928  0.932  -0.46%  0.968          2.2    融通基金        
005072  中银丰进            1.096  1.096    0.02%  1.130        18.4    中银基金        
005073  永赢永益A          1.014  1.013    0.04%  1.086        30.1    永赢基金        
005075  富国研究量化    0.878  0.880  -0.23%  0.878          2.0    富国基金        
005076  创金优选回报    0.956  0.962  -0.58%  0.956          3.0    创金合信基金
005077  平安合韵            1.049  1.049    0.01%  1.049        19.6    平安基金        
005078  富国宝利增强    1.071  1.071  -0.06%  1.071          0.4    富国基金        
005081  海富通多因子A  0.993  0.994  -0.09%  0.993          0.2    海富通基金    
005082  诺德量化蓝筹A  0.865  0.865    0.01%  0.865          0.0    诺德基金        
005084  平安量化先锋A  0.919  0.929  -1.14%  0.919          0.2    平安基金        
005088  嘉实新添辉A      1.076  1.077  -0.07%  1.076          2.0    嘉实基金        
005090  嘉合睿金A          0.966  0.967  -0.09%  0.966          0.1    嘉合基金        
005093  中银7-10年国开1.082  1.081    0.12%  1.082          9.9    中银基金        
005094  万家臻选            0.788  0.798  -1.17%  0.788          3.0    万家基金        
005095  国泰量化成长A  0.853  0.860  -0.82%  0.853          0.4    国泰基金        
005104  富荣福康A          0.787  0.791  -0.49%  0.787          0.6    富荣基金        
005106  银华农业            1.228  1.246  -1.43%  1.228          2.1    银华基金管理
005109  汇安多策略A      0.994  0.992    0.14%  0.994          3.5    汇安基金管理
005112  银华中证医药    1.068  1.081  -1.22%  1.068          2.6    银华基金管理
005113  平安沪深300A    0.883  0.884  -0.03%  0.883          0.5    平安基金        
005115  国泰量化价值A  1.018  1.018    0.00%  1.018          0.4    国泰基金        
005117  金信价值精选A  0.661  0.672  -1.51%  0.661          0.2    金信基金        
005119  银华智荟            0.852  0.854  -0.24%  0.852          0.4    银华基金管理
005120  上投量化多因子0.916  0.922  -0.69%  0.916          3.4    上投摩根基金
005121  富国兴利增强    1.043  1.045  -0.15%  1.043          0.4    富国基金        
005123  南方优享分红A  0.966  0.968  -0.19%  0.966        36.9    南方基金管理
005124  易方达恒益定开1.019  1.019    0.03%  1.088        59.7    易方达基金    
005126  银河量化稳进    0.938  0.945  -0.67%  0.938          1.3    银河基金        
005127  平安合正定开    1.070  1.069    0.03%  1.090        29.3    平安基金        
005128  华夏永康添福    0.985  0.984    0.02%  0.985          1.5    华夏基金        
005133  兴业量化精选    0.909  0.910  -0.08%  0.909          0.7    兴业基金        
005136  华安幸福生活    0.946  0.946  -0.03%  0.946        19.6    华安基金        
005137  长信沪深300增  0.923  0.924  -0.06%  0.923                    长信基金管理
005138  前海润鑫A          1.209  1.219  -0.83%  1.209          0.4    前海开源基金
005140  华夏睿磐泰荣A  1.055  1.055    0.01%  1.055          0.5    华夏基金        
005142  中融大消费A      0.772  0.773  -0.07%  0.772          1.6    中融基金        
005144  东吴优益债券A  1.006  1.006    0.00%  1.006          0.1    东吴基金        
005146  兴银丰润            0.865  0.866  -0.01%  0.865          1.1    兴银基金管理
005159  华泰保兴尊合A  1.143  1.143  -0.03%  1.143          5.3    华泰保兴基金
005161  华商上游产业    0.896  0.905  -0.98%  0.896          1.4    华商基金        
005164  富荣福锦A          0.874  0.875  -0.13%  0.874          0.2    富荣基金        
005166  嘉实润和            0.998  0.999  -0.15%  0.998          3.4    嘉实基金        
005167  嘉实润泽            1.000  1.001  -0.15%  1.000          4.0    嘉实基金        
005169  华泰保兴策略A  1.062  1.067  -0.47%  1.062          0.3    华泰保兴基金
005171  富国景利            1.027  1.026    0.05%  1.088        14.7    富国基金        
005173  富荣富安债券A  0.993  0.995  -0.18%  1.042          0.8    富荣基金        
005175  国寿消费新蓝海0.912  0.913  -0.16%  0.912          2.3    国寿安保基金
005176  富国精准医疗    1.308  1.317  -0.69%  1.308        13.4    富国基金        
005177  华夏睿磐泰利A  1.003  1.002    0.04%  1.003          0.4    华夏基金        
005183  博时富时            0.788  0.789  -0.17%  0.788          0.0    博时基金        
005186  长安鑫兴A          1.014  1.015  -0.18%  1.014          1.8    长安基金        
005189  海富通量化前锋0.934  0.941  -0.79%  0.934          0.8    海富通基金    
005197  工银沪港深精选0.886  0.887  -0.15%  0.886          8.7    工银瑞信基金
005200  浦银安盛普瑞A  1.011  1.011    0.02%  1.011          0.7    浦银安盛基金
005209  东吴双三角A      0.828  0.836  -1.02%  0.828          2.7    东吴基金        
005211  银河智慧主题    0.908  0.913  -0.55%  0.908          2.9    银河基金        
005212  汇安稳裕            1.014  1.017  -0.20%  1.014          4.3    汇安基金管理
005213  华夏鼎旺A          1.079  1.078    0.04%  1.079        10.1    华夏基金        
005223  广发基建工程A  0.762  0.764  -0.35%  0.762          4.0    广发基金        
005225  广发量化多因子1.019  1.018    0.06%  1.019          0.5    广发基金        
005226  山西改革精选    0.855  0.859  -0.48%  0.855          1.3    山西证券股份
005228  添富港股通专注0.731  0.733  -0.25%  0.731        14.3    汇添富基金管
005231  红塔盛通A          0.870  0.872  -0.19%  0.870          0.6    红塔红土基金
005233  广发睿毅领先    1.056  1.056  -0.03%  1.056          1.7    广发基金        
005234  广发汇吉3个月  1.031  1.030    0.05%  1.066          4.0    广发基金        
005235  银华食品饮料A  1.125  1.127  -0.09%  1.125          0.4    银华基金管理
005237  银华医疗健康A  0.963  0.970  -0.78%  0.963          0.3    银华基金管理
005239  银华文体娱乐A  0.702  0.713  -1.52%  0.702          0.2    银华基金管理
005241  中欧时代智慧A  0.966  0.973  -0.68%  0.966        17.3    中欧基金        
005244  国泰聚优价值A  0.876  0.888  -1.34%  0.876        23.6    国泰基金        
005246  国泰可转债        0.974  0.981  -0.74%  0.974          1.1    国泰基金        
005247  国都量化精选    0.825  0.831  -0.69%  0.825          0.6    国都证券股份
005250  银华估值优势    0.927  0.930  -0.29%  0.927        20.2    银华基金管理
005251  银华多元动力    0.985  0.984    0.08%  0.985          1.6    银华基金管理
005252  中海添瑞定开    1.063  1.063  -0.07%  1.063          0.3    中海基金        
005255  浦银港股通量化0.907  0.906    0.16%  0.907          2.4    浦银安盛基金
005256  富国新优选A      0.997  0.997  -0.05%  0.997          0.6    富国基金        
005258  景顺量化平衡    0.919  0.925  -0.66%  0.919          9.4    景顺长城基金
005259  建信龙头企业    0.949  0.946    0.33%  0.949          4.1    建信基金管理
005260  银华稳健增利A  0.794  0.793    0.10%  0.794          0.1    银华基金管理
005262  鑫元欣享A          0.936  0.937  -0.07%  0.936          0.7    鑫元基金        
005264  国都多策略        1.237  1.242  -0.36%  1.237          0.1    国都证券股份
005265  博时厚泽A          0.955  0.969  -1.48%  0.955          2.2    博时基金        
005267  嘉实价值精选    0.970  0.972  -0.13%  0.970        38.0    嘉实基金        
005268  鹏华优势企业    0.952  0.949    0.33%  0.952          5.4    鹏华基金        
005269  华泰港股通        0.877  0.878  -0.07%  0.877          1.2    华泰柏瑞基金
005270  太平改革红利    0.808  0.813  -0.59%  0.808          1.8    太平基金        
005271  安信恒利增强A  1.027  1.027  -0.04%  1.027          0.4    安信基金管理
005273  华商可转债A      0.910  0.920  -1.04%  0.910          2.6    华商基金        
005274  中银景福回报    1.041  1.040    0.09%  1.041          3.2    中银基金        
005275  中欧创新成长A  0.958  0.959  -0.10%  0.958        18.8    中欧基金        
005277  海富通融丰        1.058  1.058  -0.02%  1.092        10.0    海富通基金    
005279  华泰紫金红利    0.929  0.930  -0.04%  0.929          1.1    华泰证券(上  
005281  中科转型升级    0.836  0.838  -0.26%  0.836          0.9    中科沃土基金
005288  海富通创业板增0.902  0.913  -1.24%  0.902          0.3    海富通基金    
005288  海富通创业板增0.902  0.910  -0.89%  0.902          0.3    海富通基金    
005289  融通通昊            1.012  1.012    0.04%  1.088        10.1    融通基金        
005290  诺德新盛            0.823  0.830  -0.85%  0.823          0.4    诺德基金        
005293  诺德新旺            0.913  0.914  -0.14%  0.913          0.0    诺德基金        
005294  诺德新宜            0.892  0.889    0.29%  0.892          0.0    诺德基金        
005295  诺德天富灵活    0.938  0.939  -0.05%  0.938          0.4    诺德基金        
005296  南华丰淳A          0.852  0.853  -0.10%  0.852          0.1    南华基金        
005298  国开睿富            1.010  1.011  -0.03%  1.010          1.3    国开泰富基金
005299  万家成长优选A  1.010  1.026  -1.59%  1.010          1.7    万家基金        
005301  前海景鑫A          1.368  1.351    1.26%  1.368          0.7    前海开源基金
005303  嘉实医药A          0.974  0.976  -0.25%  0.974        17.0    嘉实基金        
005307  财通资管鸿达A  1.038  1.038    0.01%  1.056          1.2    财通证券资产
005310  广发电子信息    0.769  0.770  -0.18%  0.769          0.6    广发基金        
005311  万家经济新动能1.147  1.165  -1.54%  1.147          0.1    万家基金        
005313  万家中证1000增1.127  1.129  -0.24%  1.127          0.1    万家基金        
005313  万家中证1000增1.127  1.141  -1.29%  1.127          0.1    万家基金        
005315  泰达交利3个月A1.043  1.043    0.01%  1.073        48.3    泰达宏利基金
005317  万家瑞舜A          1.034  1.033    0.08%  1.034          0.1    万家基金        
005323  前海泽鑫A          1.331  1.342  -0.87%  1.331          0.1    前海开源基金
005325  景顺泰恒A          0.951  0.959  -0.89%  0.951          1.6    景顺长城基金
005327  景顺景泰稳利A  1.044  1.042    0.10%  1.065          0.6    景顺长城基金
005328  前海价值策略    0.775  0.779  -0.53%  0.775          2.4    前海开源基金
005329  汇添富民安增益1.040  1.039    0.04%  1.040          5.4    汇添富基金管
005331  益民优势安享    1.023  1.025  -0.20%  1.023          0.3    益民基金        
005335  浙商全景消费    1.002  1.007  -0.45%  1.002          3.3    浙商基金        
005339  兴业中证改革    1.055  1.054    0.05%  1.055          0.6    兴业基金        
005341  长安裕泰A          1.007  1.010  -0.35%  1.007          0.6    长安基金        
005343  长安裕盛A          0.903  0.899    0.43%  0.903          0.1    长安基金        
005345  长安泓润纯债A  1.056  1.055    0.06%  1.056          2.1    长安基金        
005350  诺德短债            1.007  1.007    0.00%  1.007          1.6    诺德基金        
005351  汇添富行业整合0.918  0.925  -0.79%  0.918          5.6    汇添富基金管
005352  鹏扬景泰A          0.963  0.968  -0.53%  0.963          7.7    鹏扬基金        
005354  富国沪港深行业0.972  0.973  -0.08%  0.972          6.4    富国基金        
005357  富国国企改革    0.910  0.915  -0.55%  0.910        15.0    富国基金        
005358  东方阿尔法精选0.968  0.973  -0.48%  0.968        15.5    东方阿尔法基
005360  汇安资产轮动    0.858  0.858  -0.01%  0.858          1.2    汇安基金管理
005361  中融聚商            1.029  1.030  -0.08%  1.073        53.3    中融基金        
005362  中银证券安源A  1.009  1.008    0.04%  1.009          7.9    中银国际证券
005366  上投丰瑞A          1.053  1.053    0.05%  1.074        21.3    上投摩根基金
005369  富国臻利纯债    1.039  1.039    0.02%  1.082        20.1    富国基金        
005371  中加心悦A          1.040  1.039    0.00%  1.040          1.1    中加基金        
005373  中加紫金A          0.897  0.909  -1.30%  0.897          0.9    中加基金        
005375  建信睿和纯债    1.026  1.025    0.04%  1.091        49.3    建信基金管理
005376  北信瑞丰华丰    1.143  1.145  -0.18%  1.143          1.0    北信瑞丰基金
005377  华安鼎瑞定开    1.055  1.055  -0.02%  1.072        50.1    华安基金        
005379  汇添富价值创造1.086  1.083    0.32%  1.086        21.0    汇添富基金管
005381  泰康睿利量化A  0.791  0.797  -0.81%  0.791          2.3    泰康资产管理
005383  富国绿色纯债    1.061  1.060    0.06%  1.101          1.3    富国基金        
005384  银河铭忆            1.012  1.012  -0.03%  1.073        30.5    银河基金        
005386  银河睿达A          1.254  1.253    0.05%  1.254          1.2    银河基金        
005390  工银创业板ETF  0.822  0.830  -0.90%  0.822          2.4    工银瑞信基金
005390  工银创业板ETF  0.822  0.822  -0.02%  0.822          2.4    工银瑞信基金
005393  南方卓利A          1.072  1.072    0.03%  1.072        78.3    南方基金管理
005395  泓德臻远            1.041  1.043  -0.19%  1.041          4.3    泓德基金        
005396  中金丰硕            0.898  0.901  -0.36%  0.898          1.5    中金基金        
005397  南方安养            1.057  1.057    0.00%  1.057          1.0    南方基金管理
005399  长信价值驱动    1.120  1.138  -1.58%  1.120          0.0    长信基金管理
005400  万家潜力价值A  1.031  1.033  -0.14%  1.031          3.0    万家基金        
005402  广发资源优选    0.876  0.872    0.43%  0.876          0.8    广发基金        
005403  南方融尚再融资1.047  1.049  -0.17%  1.047          1.8    南方基金管理
005405  中金金序蓝筹A  0.986  0.989  -0.24%  0.986          0.3    中金基金        
005409  华泰新兴产业    0.933  0.938  -0.58%  0.933        11.1    华泰柏瑞基金
005410  添富鑫盛定开A  1.020  1.020    0.03%  1.071        30.1    汇添富基金管
005414  创金国证A股A    0.888  0.892  -0.44%  0.888          0.1    创金合信基金
005418  申万量化驱动    0.873  0.888  -1.64%  0.873          1.7    申万菱信基金
005419  中欧聚瑞债券A  0.995  0.995    0.02%  0.995          0.0    中欧基金        
005421  中欧嘉泽            1.023  1.035  -1.15%  1.023          3.0    中欧基金        
005427  渤海汇增利        1.006  1.006    0.01%  1.015          0.1    渤海汇金证券
005428  渤海汇添益        1.006  1.005    0.01%  1.015          0.1    渤海汇金证券
005429  渤海睿选A          1.034  1.034    0.00%  1.034          0.2    渤海汇金证券
005431  上银聚增定开    1.021  1.021    0.01%  1.061        48.7    上银基金        
005434  鹏华睿投            0.967  0.976  -0.93%  0.967          1.6    鹏华基金        
005437  易基易百智能A  0.846  0.851  -0.52%  0.846          4.8    易方达基金    
005439  易方达恒安        1.035  1.034    0.04%  1.065        10.1    易方达基金    
005443  国金量化多策略0.789  0.795  -0.70%  0.789          3.3    国金基金        
005445  华宝价值发现    0.923  0.925  -0.19%  0.923          9.3    华宝基金        
005447  银华智荟分红收0.797  0.801  -0.48%  0.797          0.3    银华基金管理
005448  诺安联创顺鑫A  1.012  1.012    0.00%  1.043      124.0    诺安基金        
005449  华夏行业龙头    0.947  0.947    0.00%  0.947        47.8    华夏基金        
005450  华夏稳盛            1.006  1.008  -0.16%  1.006        54.0    华夏基金        
005453  前海医疗健康A  1.088  1.094  -0.53%  1.088          0.9    前海开源基金
005455  建信睿丰            1.030  1.029    0.03%  1.030          9.9    建信基金管理
005457  景顺量化小盘    0.919  0.935  -1.72%  0.919          5.0    景顺长城基金
005459  银河嘉谊A          0.886  0.892  -0.62%  0.886          1.0    银河基金        
005461  南方希元可转债0.941  0.951  -0.96%  0.941          0.5    南方基金管理
005467  华泰紫金智盈A  1.106  1.106    0.02%  1.106        22.5    华泰证券(上  
005469  南方浙利            1.029  1.029  -0.01%  1.072        43.1    南方基金管理
005470  南方乾利            1.029  1.029  -0.02%  1.072        35.1    南方基金管理
005472  富国价值驱动A  0.868  0.870  -0.18%  0.868          2.4    富国基金        
005474  泰康均衡优选A  0.965  0.967  -0.21%  0.965          6.3    泰康资产管理
005476  南方涪利            1.075  1.075  -0.06%  1.075          6.0    南方基金管理
005477  长安鑫禧A          0.918  0.918    0.01%  0.918          2.6    长安基金        
005481  银华瑞泰            1.012  1.021  -0.81%  1.012        21.5    银华基金管理
005482  博时创新驱动A  0.923  0.931  -0.81%  0.923          0.8    博时基金        
005485  海富通恒丰        1.021  1.020    0.02%  1.071        15.0    海富通基金    
005486  平安量化精选A  0.931  0.933  -0.21%  0.931          1.4    平安基金        
005489  中金衡优A          1.107  1.106    0.10%  1.107          0.7    中金基金        
005492  农银汇理驱动    0.979  0.987  -0.82%  0.979          6.8    农银汇理基金
005493  鑫元价值精选A  0.823  0.821    0.23%  0.823          0.6    鑫元基金        
005495  创金科技成长A  0.856  0.857  -0.07%  0.856          0.3    创金合信基金
005498  银华积极成长    0.940  0.939    0.07%  0.940          6.1    银华基金管理
005499  国投瑞银兴颐    1.032  1.031    0.03%  1.032          0.9    国投瑞银基金
005501  华安安逸            1.023  1.023    0.03%  1.059        24.0    华安基金        
005502  华泰紫金智能    0.858  0.856    0.23%  0.858          1.2    华泰证券(上  
005504  汇添富大盘价值0.862  0.857    0.51%  0.862        30.0    汇添富基金管
005505  前海丰鑫A          1.202  1.208  -0.48%  1.202          0.4    前海开源基金
005507  永赢丰利A          1.022  1.023  -0.07%  1.066        14.0    永赢基金        
005513  南华瑞恒中短债1.011  1.010    0.03%  1.011          2.8    南华基金        
005515  银华中小市值A  0.865  0.877  -1.37%  0.865          0.1    银华基金管理
005516  银华中小市值C  0.882  0.894  -1.37%  0.882                    银华基金管理
005517  富国新趋势A      0.975  0.974    0.05%  0.975          0.9    富国基金        
005519  银华混改红利    0.987  0.986    0.17%  0.987          1.6    银华基金管理
005520  国投创新医疗    0.920  0.935  -1.54%  0.920          3.7    国投瑞银基金
005521  华安红利精选    0.899  0.904  -0.54%  0.899        49.2    华安基金        
005522  华泰保兴吉年福1.033  1.036  -0.24%  1.033          2.3    华泰保兴基金
005523  泰康颐年A          1.060  1.061  -0.04%  1.060          2.8    泰康资产管理
005526  工银新生代        1.055  1.061  -0.56%  1.055          5.9    工银瑞信基金
005529  银华华茂            1.057  1.056    0.03%  1.057          3.0    银华基金管理
005530  添富价值多因子0.979  0.981  -0.22%  0.979          1.7    汇添富基金管
005531  华安安悦A          1.016  1.015    0.03%  1.062        17.9    华安基金        
005533  银华国企改革    1.145  1.152  -0.61%  1.145          0.1    银华基金管理
005535  泰信竞争优选    1.242  1.260  -1.42%  1.242          0.6    泰信基金        
005537  中航新起航A      1.014  1.016  -0.19%  1.014          0.0    中航基金        
005541  前海盛鑫A          1.380  1.381  -0.08%  1.380          0.3    前海开源基金
005543  银华心诚            0.945  0.950  -0.45%  0.945        21.4    银华基金管理
005544  银华瑞和            1.102  1.109  -0.67%  1.102          1.7    银华基金管理
005545  中银改革红利    1.047  1.053  -0.52%  1.047          1.5    中银基金        
005550  汇安成长优选A  0.842  0.847  -0.57%  0.842          0.4    汇安基金管理
005552  国富新趋势A      1.043  1.043    0.01%  1.043          3.6    国海富兰克林
005554  南方H股联接A    0.938  0.934    0.41%  0.938          0.5    南方基金管理
005559  广发集泰A          1.034  1.034    0.03%  1.034          1.7    广发基金        
005561  创金中证红利A  0.954  0.954  -0.05%  0.954          0.1    创金合信基金
005563  创金国证1000A  0.916  0.917  -0.17%  0.916          0.1    创金合信基金
005565  创金国证2000A  0.926  0.938  -1.35%  0.926          0.1    创金合信基金
005567  创金MSCI中国A  0.950  0.950  -0.07%  0.950          0.8    创金合信基金
005569  中融智选红利A  0.953  0.963  -1.03%  0.953          2.4    中融基金        
005571  中银证券新能源1.019  1.030  -0.98%  1.019          0.2    中银国际证券
005573  东吴悦秀纯债A  1.027  1.026    0.09%  1.057        28.4    东吴基金        
005576  华泰新金融地产0.990  0.994  -0.36%  0.990          2.1    华泰柏瑞基金
005579  光大晟利A          1.028  1.028    0.02%  1.028          6.7    光大保德信基
005581  中期信用联接A  1.068  1.068    0.00%  1.068          0.2    华夏基金        
005583  易基港股通红利0.759  0.759    0.05%  0.759        26.7    易方达基金    
005585  银河文体娱乐    1.313  1.320  -0.53%  1.313          0.3    银河基金        
005587  安信比较优势    0.960  0.962  -0.27%  0.960        16.7    安信基金管理
005588  长安裕腾A          0.954  0.954    0.04%  0.954        13.0    长安基金        
005590  添富鑫永定开A  1.054  1.054    0.01%  1.084        54.3    汇添富基金管
005593  上投创新            0.909  0.916  -0.73%  0.909        12.6    上投摩根基金
005594  招商添润3个月A1.049  1.048    0.03%  1.071      100.1    招商基金        
005596  建信战略A          0.985  0.985    0.04%  0.985          2.1    建信基金管理
005598  广发中小盘        0.851  0.860  -1.01%  0.851          6.3    广发基金        
005599  汇安量化优选A  0.984  0.982    0.17%  0.984          0.2    汇安基金管理
005603  嘉实新添康A      1.023  1.023    0.00%  1.023          2.1    嘉实基金        
005607  华宝中证500A    0.843  0.851  -0.92%  0.843          0.4    华宝基金        
005609  富国军工主题    0.862  0.872  -1.14%  0.862          2.7    富国基金        
005612  嘉实核心优势    0.942  0.940    0.15%  0.942        68.8    嘉实基金        
005616  东方量化成长    0.933  0.942  -0.95%  0.933          4.1    东方基金管理
005617  中信保诚嘉鑫    1.050  1.049    0.05%  1.084        55.1    中信保诚基金
005618  融通红利机会A  0.959  0.962  -0.37%  0.959          0.9    融通基金        
005620  中欧品质消费A  1.252  1.258  -0.46%  1.252          0.5    中欧基金        
005622  博时富安            1.082  1.082    0.00%  1.082        19.5    博时基金        
005623  广发中债指数A  1.029  1.028    0.03%  1.053        82.8    广发基金        
005628  汇安趋势动力A  1.048  1.058  -0.91%  1.048          0.2    汇安基金管理
005630  华安研究精选    1.076  1.081  -0.41%  1.076          2.8    华安基金        
005632  鹏华量化先锋    0.789  0.789    0.06%  1.394          0.2    鹏华基金        
005635  博时量化多策略0.930  0.929    0.09%  0.930          1.3    博时基金        
005637  中融聚业            1.008  1.008  -0.04%  1.017        10.0    中融基金        
005638  农银量化智慧    0.932  0.937  -0.52%  0.932          4.1    农银汇理基金
005639  平安300ETF联接0.960  0.959    0.09%  0.960          7.1    平安基金        
005642  鹏扬景升A          1.003  1.009  -0.56%  1.003          4.0    鹏扬基金        
005644  广发沪港深龙头0.864  0.866  -0.24%  0.864        50.5    广发基金        
005645  华泰保兴尊信    1.076  1.075    0.02%  1.076          7.0    华泰保兴基金
005646  中海沪港深多策0.846  0.849  -0.32%  0.846          1.3    中海基金        
005648  招商添琪A          1.049  1.048    0.04%  1.070        82.1    招商基金        
005650  万家量化同顺A  0.979  0.982  -0.32%  0.979          1.2    万家基金        
005652  国富天颐A          1.038  1.036    0.13%  1.038          0.2    国海富兰克林
005656  光大安泽A          1.010  1.010  -0.02%  1.029          9.8    光大保德信基
005660  嘉实资源精选A  1.033  1.046  -1.24%  1.033          0.2    嘉实基金        
005662  嘉实金融精选A  1.108  1.108  -0.04%  1.108          4.1    嘉实基金        
005664  鹏扬景欣A          1.044  1.044    0.00%  1.044          0.6    鹏扬基金        
005665  鹏扬景欣C          1.034  1.034    0.00%  1.034          0.6    鹏扬基金        
005666  上银慧佳盈        1.009  1.008    0.03%  1.045        19.8    上银基金        
005667  易方达富财        1.017  1.016    0.04%  1.028        64.7    易方达基金    
005668  融通新能源汽车0.890  0.901  -1.28%  0.890          7.2    融通基金        
005669  前海公用事业    0.995  0.993    0.20%  0.995          0.6    前海开源基金
005670  嘉实致兴            1.049  1.048    0.05%  1.105        58.6    嘉实基金        
005671  前海联合研究优0.993  0.995  -0.18%  0.993          2.0    新疆前海联合
005671  前海联合研究优0.993  0.987    0.54%  0.993          2.0    新疆前海联合
005674  诺德消费升级    1.013  1.020  -0.69%  1.013          0.6    诺德基金        
005678  安信尊享添益A  1.085  1.085  -0.05%  1.085        17.6    安信基金管理
005680  财通价值成长    0.998  0.998    0.05%  0.998          4.8    财通证券资产
005682  财通消费精选    0.973  0.974  -0.08%  0.973          3.2    财通证券资产
005683  国寿华兴            0.985  0.988  -0.36%  0.985          1.4    国寿安保基金
005686  财通资管瑞享    1.079  1.074    0.40%  1.079          4.8    财通证券资产
005689  中银医疗保健    1.098  1.101  -0.29%  1.126          2.0    中银基金        
005690  中银安享            1.007  1.006    0.06%  1.015        24.4    中银基金        
005701  上投精选港股通0.925  0.925  -0.07%  0.925          1.4    上投摩根基金
005702  恒生前海港股通0.962  0.962    0.03%  0.962          0.9    恒生前海基金
005703  永赢增益A          1.025  1.025    0.00%  1.065        50.0    永赢基金        
005705  永赢恒益            1.046  1.047  -0.09%  1.058        81.5    永赢基金        
005706  兴业龙腾双益    1.089  1.091  -0.18%  1.089          1.5    兴业基金        
005707  富国港股通        0.936  0.938  -0.24%  0.936          0.8    富国基金        
005708  国联安远见        1.088  1.088    0.04%  1.088          2.6    国联安基金    
005709  华安鼎益A          1.025  1.024    0.00%  1.025          1.5    华安基金        
005711  永赢惠添利        1.279  1.281  -0.16%  1.279          6.3    永赢基金        
005712  兴全祥泰            1.102  1.102    0.03%  1.102        10.1    兴全基金
005713  中融季季红A      1.025  1.026  -0.08%  1.069        38.6    中融基金        
005717  兴业机遇            1.026  1.033  -0.62%  1.026          1.9    兴业基金        
005723  中融聚安            1.009  1.011  -0.15%  1.069        16.0    中融基金        
005725  国投恒泽A          1.021  1.020    0.04%  1.021        14.8    国投瑞银基金
005726  国泰价值精选    1.088  1.094  -0.56%  1.088          1.2    国泰基金        
005728  华宝绿色主题    1.041  1.053  -1.14%  1.041          0.3    华宝基金        
005729  南方人工智能    1.177  1.180  -0.24%  1.177          0.4    南方基金管理
005730  国泰江源优势    0.800  0.800  -0.03%  0.800        14.3    国泰基金        
005732  富国臻选成长    1.061  1.073  -1.14%  1.061          0.8    富国基金        
005736  中欧兴华            1.019  1.019    0.04%  1.039        10.1    中欧基金        
005738  长城智能产业    1.014  1.021  -0.71%  1.014          3.9    长城基金        
005739  富国转型机遇    0.929  0.936  -0.80%  0.929        16.2    富国基金        
005740  易方达恒信        1.047  1.046    0.05%  1.066        55.1    易方达基金    
005741  南方君信            1.056  1.059  -0.31%  1.056          0.8    南方基金管理
005742  南方成安优选    0.977  0.984  -0.72%  0.977          1.7    南方基金管理
005743  长安裕隆A          1.205  1.211  -0.49%  1.205          0.3    长安基金        
005747  华安MSCI联接A  1.098  1.099  -0.10%  1.098          0.2    华安基金        
005748  华安MSCI联接C  1.093  1.094  -0.11%  1.093                    华安基金        
005749  银河庭芳            1.017  1.017    0.00%  1.058        34.6    银河基金        
005750  平安双债添益A  1.079  1.081  -0.20%  1.079          1.0    平安基金        
005753  泰达金利            1.029  1.029    0.01%  1.064        15.1    泰达宏利基金
005754  平安短债A          1.031  1.031    0.02%  1.051      191.7    平安基金        
005757  长江汇聚量化    0.968  0.977  -0.99%  0.968          0.5    长江证券(上  
005760  富国周期优势    1.163  1.163    0.01%  1.163          0.4    富国基金        
005761  招商MSCI中国A  1.019  1.019    0.05%  1.019        25.6    招商基金        
005766  平安合瑞            1.075  1.075    0.00%  1.075          5.1    平安基金        
005769  南方共享经济    1.086  1.087    0.00%  1.086          0.2    南方基金管理
005770  信达中证沪港深0.949  0.956  -0.72%  0.949          0.1    信达澳银基金
005771  银华可转债        1.076  1.086  -0.91%  1.076          1.4    银华基金管理
005774  华夏产业升级    1.035  1.035    0.00%  1.035          0.6    华夏基金        
005775  中加转型动力A  1.138  1.139  -0.08%  1.138          0.1    中加基金        
005777  广发科技动力    1.015  1.020  -0.40%  1.015        12.8    广发基金        
005788  MSCI联接A          1.066  1.065    0.05%  1.066          2.3    南方基金管理
005790  银河景行            1.021  1.021    0.00%  1.057        35.0    银河基金        
005793  华富可转债        1.035  1.041  -0.57%  1.035          0.5    华富基金        
005794  银华心怡            1.316  1.321  -0.34%  1.316          2.2    银华基金管理
005796  嘉实新添荣A      1.024  1.024    0.03%  1.024        11.9    嘉实基金        
005802  汇添富智能制造0.980  0.985  -0.56%  0.980        55.3    汇添富基金管
005803  广发京津冀ETF  0.827  0.825    0.21%  0.827          0.3    广发基金        
005803  广发京津冀ETF  0.827  0.823    0.43%  0.827          0.3    广发基金        
005805  华泰医疗健康    1.119  1.129  -0.87%  1.119          2.4    华泰柏瑞基金
005806  华泰国企整合    1.033  1.039  -0.63%  1.033          0.3    华泰柏瑞基金
005807  安信复兴100A    1.003  1.010  -0.76%  1.003          0.6    安信基金管理
005810  南方瑞祥A          1.065  1.064    0.08%  1.065        19.6    南方基金管理
005812  鹏华产业精选    0.951  0.954  -0.35%  0.951        10.2    鹏华基金        
005813  华安CES精选联  0.953  0.953  -0.06%  0.953          0.6    华安基金        
005815  农银睿选            1.046  1.052  -0.50%  1.046          2.1    农银汇理基金
005819  国泰优势行业    0.926  0.928  -0.28%  0.926          6.1    国泰基金        
005821  万家新机遇        1.042  1.047  -0.42%  1.042          1.0    万家基金        
005822  国富恒裕            1.056  1.056    0.01%  1.056        10.1    国海富兰克林
005823  泰康颐享A          1.075  1.076  -0.13%  1.075          0.6    泰康资产管理
005824  泰康颐享C          1.072  1.074  -0.13%  1.072                    泰康资产管理
005825  申万智能驱动    1.050  1.045    0.42%  1.050          0.4    申万菱信基金
005826  华夏潜龙            1.152  1.149    0.23%  1.152          0.4    华夏基金        
005827  易方达蓝筹        1.199  1.197    0.16%  1.199        18.3    易方达基金    
005829  建信MSCI联接A  1.077  1.076    0.04%  1.077          0.9    建信基金管理
005831  鹏华尊悦            1.048  1.047    0.06%  1.095        29.4    鹏华基金        
005832  景顺MSCI联接    0.981  0.980    0.06%  0.981          3.0    景顺长城基金
005833  工银红利优享A  1.011  1.013  -0.13%  1.011          0.2    工银瑞信基金
005840  富国产业驱动    1.145  1.144    0.13%  1.145          0.2    富国基金        
005841  富国尊利纯债    1.056  1.056    0.03%  1.071        32.8    富国基金        
005842  海富通弘丰        1.014  1.014    0.01%  1.014          3.1    海富通基金    
005844  东方人工智能    0.900  0.900    0.02%  0.900          1.2    东方基金管理
005846  宝盈盈泰纯债A  1.094  1.093    0.05%  1.094          3.6    宝盈基金        
005847  富国业绩驱动    1.034  1.032    0.18%  1.034          1.9    富国基金        
005848  银华裕利            1.315  1.318  -0.26%  1.315          0.2    银华基金管理
005850  财通价值优选    0.965  0.969  -0.39%  0.965          1.7    财通基金        
005851  财通新视野A      0.975  0.976  -0.11%  0.975          2.9    财通基金        
005853  财通聚利纯债    1.018  1.017    0.03%  1.024          5.0    财通基金        
005854  财通汇利            1.044  1.044    0.04%  1.053          5.2    财通基金        
005855  中科沃瑞A          1.008  1.008    0.00%  1.008          0.1    中科沃土基金
005857  添富鑫成定开A  1.022  1.022    0.01%  1.072        10.1    汇添富基金管
005860  中金新丰A          1.015  1.015    0.00%  1.015          0.0    中金基金        
005864  国投瑞银顺达    1.022  1.022    0.06%  1.052        33.9    国投瑞银基金
005865  浦银量化多策略1.082  1.084  -0.19%  1.082          0.3    浦银安盛基金
005868  平安MSCI中国联1.051  1.052  -0.11%  1.051          1.7    平安基金        
005870  鹏华沪深300增  0.935  0.934    0.07%  0.935          0.6    鹏华基金        
005872  太平恒利纯债    1.022  1.021    0.04%  1.039        17.0    太平基金        
005873  建信创业板F联  0.926  0.934  -0.90%  0.926          0.4    建信基金管理
005875  易方达中盘成长1.208  1.214  -0.48%  1.208          2.4    易方达基金    
005876  易方达鑫转增利0.988  0.994  -0.57%  0.988          1.4    易方达基金    
005878  博时新动力C      1.477  1.487  -0.67%  1.477          4.7    博时基金        
005880  建信上证50联接1.084  1.079    0.51%  1.084          0.2    建信基金管理
005883  华宝香港精选    0.994  0.988    0.57%  0.994          1.5    华宝基金        
005884  平安合悦            1.031  1.031    0.01%  1.050          5.7    平安基金        
005886  华夏鼎沛A          1.135  1.142  -0.64%  1.135          2.9    华夏基金        
005888  华夏新兴A          1.189  1.194  -0.46%  1.189          0.7    华夏基金        
005892  先锋汇盈A          1.089  1.088    0.05%  1.089          1.5    先锋基金        
005894  华夏优势精选    1.024  1.020    0.43%  1.024          1.3    华夏基金        
005895  平安合丰            1.046  1.047  -0.07%  1.058        19.3    平安基金        
005896  平安合慧            1.038  1.037    0.02%  1.038        10.1    平安基金        
005897  平安合颖            1.034  1.035  -0.03%  1.034        10.1    平安基金        
005899  国投品牌优势    1.037  1.040  -0.31%  1.037          0.5    国投瑞银基金
005900  国投行业先锋    1.010  1.016  -0.62%  1.079          0.4    国投瑞银基金
005901  诺安汇利A          1.081  1.090  -0.83%  1.081          0.1    诺安基金        
005903  泰达绩优增长    1.080  1.078    0.18%  1.080          1.5    泰达宏利基金
005904  华泰保兴成长A  1.063  1.070  -0.62%  1.063          0.7    华泰保兴基金
005906  招商丰茂A          1.039  1.043  -0.32%  1.039          1.2    招商基金        
005908  华泰保兴尊利A  1.036  1.039  -0.25%  1.036          2.1    华泰保兴基金
005910  广发龙头优选    1.109  1.107    0.17%  1.109          1.3    广发基金        
005911  广发双擎升级    1.331  1.330    0.06%  1.331          0.4    广发基金        
005914  景顺智能生活    0.956  0.961  -0.45%  0.956          5.5    景顺长城基金
005920  富国颐利            1.021  1.020    0.07%  1.041        29.1    富国基金        
005921  农银金鑫            1.030  1.030    0.04%  1.030        85.2    农银汇理基金
005922  圆信中高等级    1.040  1.040    0.07%  1.040          2.4    圆信永丰基金
005927  创金新能源A      0.907  0.911  -0.44%  0.907          0.1    创金合信基金
005931  中融恒裕A          1.002  1.004  -0.10%  1.012        36.7    中融基金        
005933  前海联合先进A  1.004  1.004    0.00%  1.004          2.0    新疆前海联合
005936  申万安泰惠利A  1.048  1.047    0.03%  1.048          2.3    申万菱信基金
005937  工银精选金融地1.137  1.141  -0.40%  1.137          0.1    工银瑞信基金
005937  工银精选金融地1.137  1.125    1.05%  1.137          0.1    工银瑞信基金
005939  工银新能源汽车1.027  1.041  -1.31%  1.027          0.3    工银瑞信基金
005943  工银聚福A          1.006  1.006    0.00%  1.006          0.4    工银瑞信基金
005945  工银可转债优选1.027  1.034  -0.72%  1.027          0.9    工银瑞信基金
005947  德邦民裕进取A  1.007  1.010  -0.34%  1.007          1.1    德邦基金        
005949  鑫元行业轮动A  0.968  0.972  -0.41%  0.968          0.4    鑫元基金        
005951  民生加银恒益A  1.030  1.029    0.07%  1.046      101.5    民生加银基金
005953  人保转型新动力0.964  0.966  -0.16%  0.964          0.7    中国人保资产
005955  易方达鑫转添利1.068  1.077  -0.79%  1.068          4.7    易方达基金    
005960  博时量化价值A  0.985  0.990  -0.48%  0.985          0.4    博时基金        
005962  宝盈人工智能A  1.088  1.089  -0.03%  1.088          0.4    宝盈基金        
005965  安信中证500A    1.118  1.126  -0.72%  1.118          0.6    安信基金管理
005967  鹏华创新驱动    0.925  0.942  -1.82%  0.925        12.7    鹏华基金        
005968  创金工业周期A  0.926  0.939  -1.43%  0.926          0.1    创金合信基金
005970  国泰消费优选    1.041  1.041    0.04%  1.041          0.4    国泰基金        
005971  平安惠锦纯债    1.041  1.041  -0.07%  1.041        14.2    平安基金        
005972  交银裕如纯债A  1.024  1.023    0.05%  1.054        30.7    交银施罗德基
005974  东方红配置精选1.029  1.029  -0.05%  1.029        41.1    上海东方证券
005977  中信保诚至兴A  1.001  1.001    0.00%  1.001          1.5    中信保诚基金
005983  上投核心精选    1.025  1.022    0.31%  1.025          0.8    上投摩根基金
005992  光大超短债A      1.015  1.015    0.02%  1.037        51.7    光大保德信基
005994  国投中证500A    1.114  1.126  -1.04%  1.114          1.2    国投瑞银基金
005996  国投顺昌纯债    1.013  1.013    0.02%  1.030          5.0    国投瑞银基金
006002  工银医药健康A  1.224  1.228  -0.39%  1.224          1.8    工银瑞信基金
006005  诺安鼎利A          0.985  0.990  -0.53%  0.985          3.2    诺安基金        
006007  诺安积极配置A  1.193  1.203  -0.81%  1.193          0.5    诺安基金        
006009  国融融银A          0.991  0.994  -0.30%  1.041          0.5    国融基金        
006011  中信保诚稳鸿A  6.446  6.594  -2.24%  6.596          2.5    中信保诚基金
006013  易基鑫转招利A  0.990  0.992  -0.20%  0.990          5.6    易方达基金    
006016  平安惠安债券    1.009  1.009    0.00%  1.042        15.0    平安基金        
006019  广发景智            1.011  1.011    0.04%  1.019        56.8    广发基金        
006020  广发沪深300A    1.060  1.060    0.07%  1.060          1.0    广发基金        
006022  富国大盘价值    1.199  1.200  -0.05%  1.199          0.2    富国基金        
006025  诺安优化配置    1.154  1.171  -1.43%  1.154          0.1    诺安基金        
006026  东吴鼎泰            1.018  1.017    0.06%  1.018          9.0    东吴基金        
006029  鹏华尊享            1.007  1.007    0.01%  1.031        10.1    鹏华基金        
006030  南方昌元转债A  0.940  0.945  -0.56%  0.940          1.2    南方基金管理
006034  富国MSCI中国A  1.125  1.125    0.00%  1.125          0.2    富国基金        
006035  中融恒惠A          1.003  1.003    0.01%  1.003          2.4    中融基金        
006037  国泰瑞和纯债    1.041  1.040    0.04%  1.053        28.2    国泰基金        
006039  国富估值优势    1.134  1.138  -0.35%  1.134          0.5    国海富兰克林
006043  永赢惠益A          1.042  1.042    0.06%  1.047        55.2    永赢基金        
006048  长城中证500A    0.932  0.941  -0.95%  0.932          0.3    长城基金        
006049  恒越研究精选A  1.025  1.027  -0.20%  1.025          0.5    恒越基金        
006051  鹏扬核心价值A  0.980  0.984  -0.37%  0.980          5.1    鹏扬基金        
006058  民生新兴成长    1.084  1.077    0.62%  1.084          1.9    民生加银基金
006059  鹏扬泓利A          1.041  1.041  -0.01%  1.041          3.9    鹏扬基金        
006061  红土增强收益A  1.068  1.067    0.04%  1.068          2.0    红土创新基金
006063  景顺MSCI中国A  1.013  1.017  -0.34%  1.013          2.8    景顺长城基金
006066  中加颐睿纯债A  1.020  1.019    0.06%  1.036        30.4    中加基金        
006068  中加颐信纯债A  1.012  1.012    0.03%  1.046          7.7    中加基金        
006070  银河沃丰            1.022  1.023  -0.09%  1.030        19.7    银河基金        
006071  银河睿嘉A          1.017  1.016    0.01%  1.032        22.5    银河基金        
006072  民生创新成长    1.021  1.019    0.20%  1.021          1.3    民生加银基金
006073  人保鑫瑞A          1.033  1.033  -0.02%  1.033          1.9    中国人保资产
006076  创金恒利A          1.043  1.043    0.03%  1.043        43.1    创金合信基金
006081  海富通电子传媒1.028  1.029  -0.09%  1.028          0.1    海富通基金    
006082  鑫元全利A          1.008  1.007    0.07%  1.016          2.1    鑫元基金        
006084  融通研究            0.925  0.931  -0.61%  0.965          0.5    融通基金        
006086  银河睿丰            1.009  1.009    0.00%  1.020        20.1    银华基金管理
006088  永赢润益A          1.035  1.036  -0.11%  1.041        35.4    永赢基金        
006089  永赢润益C          1.034  1.035  -0.11%  1.040                    永赢基金        
006090  前海开源鼎康A  1.027  1.027    0.00%  1.027          7.7    前海开源基金
006092  永赢荣益A          1.045  1.044    0.03%  1.048        10.0    永赢基金        
006094  永赢泰益A          1.022  1.021    0.04%  1.039          5.0    永赢基金        
006098  华宝券商ETF联  1.231  1.231    0.04%  1.231          1.0    华宝基金        
006099  泰达宏利泽利    1.020  1.020    0.00%  1.036        10.1    泰达宏利基金
006100  平安优势产业A  1.320  1.327  -0.54%  1.320          0.3    平安基金        
006102  浙商丰利            0.943  0.953  -1.03%  0.943          0.5    浙商基金        
006103  凯石淳行业精选0.868  0.876  -0.89%  0.868          0.5    凯石基金        
006109  富荣价值精选A  1.680  1.695  -0.84%  1.680          0.2    富荣基金        
006112  易方达恒惠        1.049  1.048    0.05%  1.061          7.1    易方达基金    
006113  添富创新医药    1.239  1.242  -0.28%  1.239        17.3    汇添富基金管
006114  人保鑫利A          1.059  1.063  -0.30%  1.059          1.7    中国人保资产
006116  国泰丰祺纯债    1.006  1.005    0.05%  1.014        14.2    国泰基金        
006119  银华中证央企    0.961  0.963  -0.19%  0.961          1.1    银华基金管理
006120  中融聚明            1.022  1.022  -0.02%  1.022        10.0    中融基金        
006121  华安双核驱动    0.980  0.981  -0.13%  0.980          3.4    华安基金        
006122  华安低碳生活    0.923  0.925  -0.29%  0.923          7.4    华安基金        
006128  银河和美生活    0.981  0.985  -0.41%  0.981          0.1    银河基金        
006129  华安中证500联  1.072  1.085  -1.13%  1.072          0.4    华安基金        
006132  万家智造A          1.264  1.284  -1.58%  1.264          0.4    万家基金        
006134  富国金融债        1.020  1.018    0.10%  1.035        23.3    富国基金        
006136  广发估值优势    1.156  1.156    0.06%  1.156          0.4    广发基金        
006138  国联安价值优选1.150  1.153  -0.29%  1.150          0.2    国联安基金    
006140  广发集嘉A          0.976  0.983  -0.78%  0.976          1.0    广发基金        
006145  前海开源鼎欣A  1.474  1.474    0.02%  1.474          4.4    前海开源基金
006149  南方赢元            1.014  1.013    0.05%  1.032        19.8    南方基金管理
006151  南方交元            1.020  1.020    0.02%  1.020          5.3    南方基金管理
006152  国联安增鑫A      1.008  1.009  -0.02%  1.008        16.0    国联安基金    
006154  华安制造先锋    1.261  1.275  -1.11%  1.261          0.5    华安基金        
006155  新华家盈双利A  0.996  0.994    0.22%  0.996          2.9    新华基金管理
006157  财通量化核心    1.174  1.189  -1.27%  1.174          0.6    财通基金        
006160  博道启航A          1.134  1.142  -0.72%  1.134          2.9    博道基金        
006163  融通增辉            1.049  1.048    0.00%  1.067          7.0    融通基金        
006164  融通通捷            1.015  1.015    0.03%  1.028          4.2    融通基金        
006165  建信中证1000A  1.194  1.210  -1.28%  1.194          0.3    建信基金管理
006167  德邦乐享生活A  0.977  0.978  -0.06%  0.977          5.4    德邦基金        
006169  工银瑞福纯债A  1.020  1.020    0.02%  1.020          8.3    工银瑞信基金
006172  万家鑫悦A          1.020  1.020    0.04%  1.030        17.7    万家基金        
006177  中信保诚稳达A  1.007  1.007    0.04%  1.025          3.7    中信保诚基金
006179  富国品质生活    0.978  0.978    0.03%  0.978          9.1    富国基金        
006180  中加颐合纯债    1.009  1.008    0.09%  1.028        60.6    中加基金        
006181  格林伯锐A          0.925  0.926  -0.16%  0.925          0.0    格林基金        
006183  南方泽元            1.037  1.037    0.05%  1.037        42.0    南方基金管理
006184  格林泓鑫纯债A  1.022  1.022    0.06%  1.022          2.0    格林基金        
006186  永赢盈益A          1.025  1.025    0.04%  1.025        51.2    永赢基金        
006188  华泰保兴尊颐    1.048  1.048    0.00%  1.048          4.2    华泰保兴基金
006191  华夏鼎通A          1.012  1.012    0.00%  1.021          9.7    华夏基金        
006193  鑫元核心资产A  0.940  0.938    0.14%  0.940          0.1    鑫元基金        
006195  国金多因子        1.153  1.166  -1.03%  1.153          0.1    国金基金        
006196  华夏中证ETF联  1.015  1.016  -0.11%  1.015          3.5    华夏基金        
006199  长盛同锦            0.998  1.000  -0.22%  0.998          3.3    长盛基金        
006201  景顺量化先锋    1.068  1.073  -0.44%  1.068          0.3    景顺长城基金
006202  交银核心资产    0.988  0.986    0.21%  0.988          5.2    交银施罗德基
006203  前海联合泳祺A  1.028  1.029  -0.08%  1.028        19.7    新疆前海联合
006206  融通增悦            1.012  1.011    0.07%  1.032        32.3    融通基金        
006207  泰康裕泰A          0.999  0.999  -0.01%  0.999        10.8    泰康资产管理
006209  中信保诚新蓝筹1.057  1.058  -0.09%  1.057          1.0    中信保诚基金
006210  东方臻宝A          3.642  3.641    0.01%  3.669          0.0    东方基金管理
006212  东方臻选A          1.021  1.020    0.03%  1.028        10.0    东方基金管理
006214  平安500ETF联接1.026  1.037  -1.08%  1.026          1.7    平安基金        
006216  前海价值成长A  1.415  1.416  -0.06%  1.415          3.2    前海开源基金
006218  富国生物医药    1.004  1.006  -0.26%  1.004        21.1    富国基金        
006219  海富通鼎丰        1.023  1.025  -0.11%  1.033          5.0    海富通基金    
006220  工银上50联接A  1.151  1.145    0.54%  1.151          2.2    工银瑞信基金
006222  平安惠兴            1.012  1.011    0.05%  1.037          9.9    平安基金        
006223  交银创新成长    1.163  1.171  -0.64%  1.163          1.2    交银施罗德基
006224  中银中债3-5年  1.022  1.022    0.03%  1.032        72.2    中银基金        
006225  人保量化A          1.066  1.072  -0.61%  1.066          0.5    中国人保资产
006227  华宝科技先锋    0.916  0.914    0.20%  0.916          2.5    华宝基金        
006228  中欧医疗创新A  1.003  1.004  -0.12%  1.003          4.0    中欧基金        
006230  鹏华研究驱动    1.101  1.111  -0.93%  1.101          0.4    鹏华基金        
006231  国融融君A          1.028  1.031  -0.25%  1.078          0.7    国融基金        
006235  东方城镇消费    1.000  1.000    0.00%  1.000          2.4    东方基金管理
006236  华泰现代服务业1.198  1.204  -0.47%  1.198          0.2    华泰柏瑞基金
006237  永赢嘉益            1.013  1.014  -0.06%  1.018        10.1    永赢基金        
006240  中融医疗健康A  1.139  1.147  -0.70%  1.139          0.0    中融基金        
006243  中银双息回报    1.027  1.027    0.00%  1.027          6.0    中银基金        
006246  华夏中小板ETF  0.992  0.994  -0.23%  0.992          0.6    华夏基金        
006246  华夏中小板ETF  0.992  0.997  -0.48%  0.992          0.6    华夏基金        
006248  华夏创业板ETF  1.014  1.023  -0.89%  1.014          1.0    华夏基金        
006248  华夏创业板ETF  1.014  1.021  -0.67%  1.014          1.0    华夏基金        
006250  上投动力精选    0.931  0.934  -0.22%  0.931          0.8    上投摩根基金
006252  永赢消费主题A  1.224  1.225  -0.08%  1.224          2.2    永赢基金        
006254  长城久悦            1.001  1.001    0.02%  1.001          6.4    长城基金        
006255  中邮中证价值A  1.067  1.084  -1.57%  1.067          0.2    中邮创业基金
006257  信达先进智造    0.930  0.932  -0.18%  0.930          0.6    信达澳银基金
006264  平安惠轩            1.014  1.014    0.00%  1.029      104.1    平安基金        
006265  红土创新新科技1.038  1.040  -0.19%  1.038          0.1    红土创新基金
006267  诺德量化核心A  1.024  1.032  -0.80%  1.074          0.3    诺德基金        
006270  汇安核心成长A  0.990  0.990    0.00%  0.990          0.8    汇安基金管理
006274  圆信永丰医药    1.065  1.073  -0.74%  1.065          0.4    圆信永丰基金
006275  永赢聚益A          1.005  1.005  -0.04%  1.035        35.9    永赢基金        
006277  中金瑞和A          0.998  0.997    0.11%  0.998          0.0    中金基金        
006279  中金瑞祥A          1.084  1.084    0.00%  1.084          0.0    中金基金        
006281  万家人工智能    0.938  0.935    0.29%  0.938          1.0    万家基金        
006286  MSCIETF联接A    1.136  1.136    0.06%  1.136          1.4    华泰柏瑞基金
006287  永赢盛益A          1.007  1.009  -0.13%  1.027        18.4    永赢基金        
006299  恒越核心A          1.000  1.002  -0.13%  1.000          0.4    恒越基金        
006300  华宝宝丰A          1.015  1.014    0.04%  1.030        43.2    华宝基金        
006302  银华行业轮动    1.233  1.230    0.25%  1.233          0.2    银华基金管理
006304  中加颐鑫纯债    1.013  1.013    0.03%  1.027        34.3    中加基金        
006311  中金可转债A      0.998  1.006  -0.79%  0.998          0.1    中金基金        
006316  平安惠诚纯债    1.004  1.004    0.00%  1.004          1.5    平安基金        
006319  易方达安瑞短债1.015  1.015    0.01%  1.020        21.8    易方达基金    
006323  合煦智远嘉选A  0.981  0.988  -0.62%  0.981          1.1    合煦智远基金
006325  招商添荣A          1.019  1.019    0.02%  1.019        10.1    招商基金        
006332  招商金鸿A          1.036  1.036    0.03%  1.036          5.3    招商基金        
006337  华安安浦A          1.011  1.011    0.03%  1.026        48.0    华安基金        
006341  中金MSCI质量A  1.287  1.286    0.10%  1.287          0.2    中金基金        
006343  中金MSCI低波动1.140  1.138    0.10%  1.140          0.1    中金基金        
006345  景顺集英成长    0.972  0.974  -0.21%  0.972        38.3    景顺长城基金
006346  安信量化优选A  1.228  1.247  -1.51%  1.228          0.1    安信基金管理
006348  银华盛利            1.109  1.109    0.06%  1.109          0.1    银华基金管理
006349  中金MSCI价值A  1.137  1.138  -0.08%  1.137          0.1    中金基金        
006351  中金MSCI红利A  1.069  1.068    0.11%  1.069          0.1    中金基金        
006356  国融稳融A          1.000  1.000  -0.02%  1.000          0.1    国融基金        
006358  前海联合泳盛A  1.017  1.017    0.03%  1.017          6.0    新疆前海联合
006360  财通资管鸿益A  1.016  1.016    0.02%  1.034          6.9    财通证券资产
006362  凯石涵行业精选0.982  0.983  -0.10%  1.162          0.7    凯石基金        
006364  招商丰韵A          0.993  0.995  -0.20%  0.993          7.3    招商基金        
006366  兴业安保优选    1.054  1.056  -0.13%  1.054                    兴业基金        
006367  交银裕祥A          1.015  1.015    0.05%  1.027        41.4    交银施罗德基
006369  弘毅国企            1.066  1.072  -0.54%  1.066          3.4    弘毅远方基金
006377  广发趋势动力    1.085  1.089  -0.33%  1.085          0.2    广发基金        
006383  招商添盈A          1.013  1.013    0.00%  1.013        17.7    招商基金        
006385  华泰保兴研究智1.069  1.068    0.08%  1.069          0.8    华泰保兴基金
006385  华泰保兴研究智1.069  1.072  -0.32%  1.069          0.8    华泰保兴基金
006387  宝盈安泰短债A  1.023  1.023    0.03%  1.023          5.0    宝盈基金        
006389  金鹰添祥A          1.021  1.021    0.01%  1.031          7.7    金鹰基金        
006391  信达安和纯债    1.005  1.004    0.01%  1.005          2.0    信达澳银基金
006392  中信保诚创新    0.992  0.995  -0.24%  0.992          1.0    中信保诚基金
006393  招商添德A          1.021  1.021  -0.01%  1.040        13.0    招商基金        
006401  先锋量化优选A  1.000  1.000  -0.05%  1.000          2.0    先锋基金        
006405  华富恒盛纯债A  1.022  1.022    0.04%  1.022          1.1    华富基金        
006408  汇添富消费升级1.106  1.109  -0.21%  1.106          0.9    汇添富基金管
006409  富国中债-1-3年1.010  1.009    0.03%  1.027        28.6    富国基金        
006411  中加颐智纯债    1.011  1.011    0.05%  1.019          6.5    中加基金        
006412  平安合锦            1.009  1.009    0.02%  1.032        25.1    平安基金        
006416  方正丰利债券A  1.009  1.009    0.03%  1.009          1.2    方正富邦基金
006419  人保优势产业A  0.985  0.988  -0.30%  0.985          0.5    中国人保资产
006421  中银弘享            1.010  1.010    0.02%  1.010          1.8    中银基金        
006422  嘉合磐稳A          1.027  1.026    0.06%  1.027          4.5    嘉合基金        
006424  嘉合锦程A          0.982  0.983  -0.02%  0.982          0.6    嘉合基金        
006427  招商添悦纯债A  1.025  1.024    0.10%  1.038          3.9    招商基金        
006429  诺安恒鑫            1.000  1.000    0.00%  1.000        17.2    诺安基金        
006431  汇安鼎利纯债A  1.001  1.001    0.00%  1.001          2.5    汇安基金管理
006436  浦银中短债A      1.023  1.023    0.00%  1.023          2.8    浦银安盛基金
006438  博时央调ETF联  1.013  1.014  -0.12%  1.013          3.9    博时基金        
006443  永赢裕益A          1.009  1.009    0.01%  1.025        11.0    永赢基金        
006449  浙商汇金量化    0.996  0.998  -0.21%  0.996          2.8    浙江浙商证券
006450  嘉实致盈            1.005  1.004    0.05%  1.020        49.8    嘉实基金        
006451  华富中证5年A    1.013  1.012    0.10%  1.013        33.7    华富基金        
006453  中加瑞利A          1.007  1.007    0.02%  1.010          2.1    中加基金        
006457  平安估值优势A  1.192  1.192  -0.05%  1.192          0.2    平安基金        
006459  人保鑫裕增强A  1.041  1.044  -0.23%  1.041          3.4    中国人保资产
006464  浦银普益A          1.008  1.008    0.02%  1.020        46.7    浦银安盛基金
006472  海富通聚丰        1.011  1.011    0.01%  1.011          3.0    海富通基金    
006473  招商中债1-5年A1.004  1.003    0.03%  1.010        45.9    招商基金        
006475  国泰嘉睿纯债    1.011  1.011    0.00%  1.024        45.3    国泰基金        
006477  中邮沪港深精选1.004  1.004    0.00%  1.004          2.6    中邮创业基金
006478  长盛多因子        1.012  1.011    0.04%  1.012          0.6    长盛基金        
006481  海富通上清短融1.005  1.004    0.01%  1.010          5.7    海富通基金    
006481  海富通上清短融1.005  1.004    0.02%  1.010          5.7    海富通基金    
006482  广发可转债A      1.016  1.022  -0.56%  1.016          0.2    广发基金        
006484  广发中债1-3年A1.011  1.011    0.04%  1.016      186.1    广发基金        
006486  广发中证1000A  1.101  1.116  -1.36%  1.101          0.4    广发基金        
006488  富荣富开1-3年  1.010  1.009    0.06%  1.020          4.4    富荣基金        
006489  招商添裕纯债A  1.004  1.003    0.07%  1.004        10.5    招商基金        
006491  南方1-3年A        1.015  1.014    0.04%  1.020      125.8    南方基金管理
006493  南方3-5年A        1.005  1.005    0.04%  1.009        40.8    南方基金管理
006496  银华安盈短债A  1.009  1.009    0.02%  1.015          3.7    银华基金管理
006500  建信润利增强A  0.996  0.997  -0.04%  0.996          5.4    建信基金管理
006502  财通集成电路A  0.932  0.922    1.03%  0.932          0.3    财通基金        
006505  永赢祥益A          1.009  1.010  -0.07%  1.023        10.2    永赢基金        
006509  国联安增盈A      1.002  1.001    0.03%  1.002          2.0    国联安基金    
006511  博道卓远A          1.113  1.122  -0.78%  1.113          2.7    博道基金        
006513  鹏扬淳享A          1.017  1.017    0.06%  1.017        13.9    鹏扬基金        
006516  浙商汇金短债A  1.018  1.018    0.02%  1.023          9.7    浙江浙商证券
006517  南方吉元短债A  1.020  1.020    0.02%  1.020        29.0    南方基金管理
006519  汇安短债A          1.022  1.022    0.02%  1.022          3.0    汇安基金管理
006522  财通新兴蓝筹A  0.954  0.953    0.12%  0.954          4.1    财通基金        
006524  前海MSCIA股A    1.157  1.159  -0.18%  1.157          0.2    前海开源基金
006526  鹏华优选回报    1.002  1.002  -0.04%  1.002          0.4    鹏华基金        
006527  富国优质发展A  0.992  0.997  -0.50%  0.992          0.8    富国基金        
006533  易方达科融        0.985  0.986  -0.05%  0.985        17.5    易方达基金    
006535  恒生前海恒锦A  1.009  1.008    0.13%  1.009          2.2    恒生前海基金
006538  东海核心价值    1.032  1.030    0.20%  1.032          0.1    东海基金管理
006542  财通资管鸿利A  1.019  1.020  -0.10%  1.019        15.8    财通证券资产
006544  平安惠聚纯债    1.004  1.003    0.02%  1.004          0.4    平安基金        
006547  红塔盛弘A          0.995  0.994    0.03%  0.995          0.1    红塔红土基金
006549  国金惠盈A          1.007  1.006    0.07%  1.007          2.1    国金基金        
006550  广发景润纯债    1.010  1.010    0.03%  1.016          0.6    广发基金        
006551  中庚价值领航    1.175  1.189  -1.21%  1.175        16.0    中庚基金        
006557  海富通研究A      0.981  0.987  -0.64%  0.981          0.1    海富通基金    
006558  永赢通益A          1.008  1.007    0.06%  1.019        30.9    永赢基金        
006560  华夏四川国改联0.925  0.932  -0.70%  0.925          0.3    华夏基金        
006560  华夏四川国改联0.925  0.933  -0.82%  0.925          0.3    华夏基金        
006563  安信优享纯债    1.011  1.011    0.02%  1.011          4.5    安信基金管理
006567  中泰星元            1.071  1.078  -0.65%  1.071          4.4    中泰证券(上  
006568  国联安行业领先0.928  0.928    0.03%  0.928          4.7    国联安基金    
006570  中金金元A          1.007  1.006    0.06%  1.007          0.7    中金基金        
006573  人保行业轮动A  0.971  0.978  -0.77%  0.971          3.1    中国人保资产
006576  永赢诚益A          1.008  1.008  -0.04%  1.018        10.3    永赢基金        
006578  泰康中证非银A  1.093  1.099  -0.62%  1.093          0.2    泰康资产管理
006583  中信保诚景泰A  1.009  1.008    0.06%  1.009          2.7    中信保诚基金
006591  广发景明A          1.018  1.018    0.03%  1.021        11.6    广发基金        
006593  博道中证500A    1.072  1.081  -0.84%  1.172          4.4    博道基金        
006596  国泰聚禾纯债    1.004  1.004    0.04%  1.014        49.9    国泰基金        
006597  国泰利享A          1.014  1.014    0.03%  1.014          1.4    国泰基金        
006599  国寿安丰纯债    1.018  1.018    0.03%  1.018        34.1    国寿安保基金
006600  人保沪深300      0.963  0.963    0.06%  0.963          2.1    中国人保资产
006601  国融融泰混合A  0.976  0.980  -0.34%  0.976          1.7    国融基金        
006603  嘉实互融            0.938  0.940  -0.23%  0.938          3.5    嘉实基金        
006604  嘉实消费精选A  0.982  0.986  -0.36%  0.982        13.7    嘉实基金        
006606  泓德裕丰A          1.022  1.021    0.04%  1.022          8.0    泓德基金        
006610  银华远见            0.978  0.980  -0.17%  0.978          0.1    银华基金管理
006611  人保中证500      1.093  1.105  -1.11%  1.093          0.6    中国人保资产
006613  富荣富金            1.002  1.004  -0.09%  1.002          2.9    富荣基金        
006615  工银战略产业A  0.999  1.000  -0.10%  0.999          7.8    工银瑞信基金
006618  长江可转债A      0.994  1.000  -0.62%  0.994          0.8    长江证券(上  
006625  汇安嘉鑫            1.141  1.142  -0.02%  1.141          0.1    汇安基金管理
006626  山西超短债A      1.014  1.014    0.02%  1.014          2.7    山西证券股份
006629  招商鑫悦A          1.027  1.026    0.02%  1.027          5.8    招商基金        
006631  鑫元臻利债券A  1.008  1.008    0.02%  1.008        10.0    鑫元基金        
006633  博时中债1-3年A1.004  1.004    0.02%  1.012        68.1    博时基金        
006635  永赢伟益            1.018  1.018  -0.01%  1.018          8.0    永赢基金        
006636  华富恒欣纯债A  1.001  1.001    0.00%  1.001          2.0    华富基金        
006638  人保鑫盛纯债A  1.017  1.018  -0.09%  1.017          2.4    中国人保资产
006640  中金新元A          1.013  1.013    0.00%  1.013        17.5    中金基金        
006643  华泰核心优势    0.944  0.949  -0.51%  0.944          0.6    华泰柏瑞基金
006644  弘毅消费升级    1.056  1.055    0.05%  1.056          4.0    弘毅远方基金
006645  银华安丰            1.008  1.007    0.05%  1.014        60.7    银华基金管理
006646  添富短债债券A  1.018  1.018    0.02%  1.018        15.7    汇添富基金管
006650  招商安庆            1.003  1.004  -0.03%  1.003          2.7    招商基金        
006652  富国金融地产    1.196  1.202  -0.51%  1.196          0.2    富国基金        
006653  南方畅利            1.014  1.014    0.01%  1.014        20.0    南方基金管理
006656  方正中证500ETF0.912  0.921  -0.96%  0.912          2.2    方正富邦基金
006656  方正中证500ETF0.912  0.920  -0.83%  0.912          2.2    方正富邦基金
006658  财通香港红利A  0.999  1.000  -0.08%  0.999          2.7    财通基金        
006660  永赢昌益A          1.011  1.010    0.03%  1.011        28.8    永赢基金        
006662  易方达安悦A      1.020  1.020    0.02%  1.020        29.0    易方达基金    
006665  华夏鼎康A          1.005  1.005    0.02%  1.005          0.9    华夏基金        
006668  华夏中短债A      1.008  1.008    0.02%  1.012        35.2    华夏基金        
006670  广发景秀纯债    1.004  1.003    0.05%  1.004          2.0    广发基金        
006672  广发招财短债A  1.012  1.011    0.01%  1.012          4.6    广发基金        
006677  中银稳汇A          1.015  1.015    0.01%  1.015        14.0    中银基金        
006681  景顺景泰聚利    1.016  1.016    0.00%  1.016        17.4    景顺长城基金
006682  景顺中证500      0.911  0.922  -1.19%  0.911        15.1    景顺长城基金
006685  农银永安            1.026  1.029  -0.28%  1.026          1.5    农银汇理基金
006687  方正深证100ETF1.016  1.018  -0.19%  1.016          0.3    方正富邦基金
006687  方正深证100ETF1.016  1.010    0.61%  1.016          0.3    方正富邦基金
006690  泰达宏利添利A  1.011  1.011    0.02%  1.011          2.0    泰达宏利基金
006692  金信消费升级A  0.966  0.968  -0.26%  1.066          0.1    金信基金        
006698  红土沪深300A    0.993  0.993    0.07%  0.993          0.1    红土创新基金
006700  红土创新稳健A  1.008  1.008    0.02%  1.008          5.1    红土创新基金
006702  国富恒嘉短债A  1.009  1.009    0.00%  1.009          0.4    国海富兰克林
006704  MSCI易基联接A  0.943  0.942    0.05%  0.943          3.6    易方达基金    
006707  永赢宏益A          1.009  1.009    0.00%  1.017        10.3    永赢基金        
006709  工银聚盈混合A  1.001  1.002    0.00%  1.001          0.9    工银瑞信基金
006712  前海MSCI中国消1.184  1.185  -0.05%  1.184          0.1    前海开源基金
006714  博时富源纯债    1.007  1.007    0.03%  1.009          2.0    博时基金        
006715  东方永泰A          1.012  1.011    0.04%  1.012          6.9    东方基金管理
006720  平安核心优势A  0.948  0.957  -0.93%  0.948          1.2    平安基金        
006725  国泰丰盈            0.999  0.999    0.02%  0.999          0.0    国泰基金        
006726  农银稳进多因子0.957  0.957  -0.03%  0.957          2.4    农银汇理基金
006727  博时中债3-5进  1.007  1.006    0.06%  1.007        54.0    博时基金        
006727  博时中债3-5进  1.007  1.006    0.11%  1.007        54.0    博时基金        
006731  方正富利纯债A  1.010  1.009    0.00%  1.010          7.8    方正富邦基金
006734  国金惠鑫短债A  1.005  1.005    0.00%  1.005          2.0    国金基金        
006736  国投先进制造    0.967  0.968  -0.10%  0.967          0.5    国投瑞银基金
006742  南方臻元            1.011  1.011    0.00%  1.011          2.7    南方基金管理
006743  中融央视50ETF  0.963  0.960    0.23%  0.963          9.1    中融基金        
006743  中融央视50ETF  0.963  0.958    0.50%  0.963          9.1    中融基金        
006745  交银中债1-3年A1.005  1.004    0.03%  1.007        74.4    交银施罗德基
006747  东海祥利纯债    1.003  1.003    0.01%  1.003          2.1    东海基金管理
006748  富国中证ETF联  1.110  1.117  -0.64%  1.110          0.4    富国基金        
006749  东兴核心成长A  0.804  0.810  -0.76%  0.804          1.7    东兴证券股份
006751  富国互联科技    0.963  0.960    0.27%  0.963          9.2    富国基金        
006756  国泰生物医药联0.968  0.974  -0.68%  0.968          3.4    国泰基金        
006756  国泰生物医药联0.968  0.974  -0.59%  0.968          3.4    国泰基金        
006758  农银金禄            1.005  1.005    0.05%  1.012        13.0    农银汇理基金
006761  银河家盈            1.006  1.005    0.01%  1.012          5.9    银河基金        
006762  国泰聚享纯债    1.008  1.007    0.05%  1.008          0.1    国泰基金        
006764  景顺鑫利纯债    1.004  1.004    0.00%  1.004          2.0    景顺长城基金
006765  招商1-5年农发  1.004  1.003    0.04%  1.004        48.0    招商基金        
006767  银河嘉裕            1.006  1.006    0.03%  1.006          1.0    银河基金        
006768  华安沪港深优选0.960  0.963  -0.38%  0.960          6.8    华安基金        
006771  永赢合益            1.004  1.004    0.02%  1.004          2.0    永赢基金        
006772  添富丰润            1.005  1.005    0.03%  1.010        43.3    汇添富基金管
006773  国寿尊荣中短债1.012  1.011    0.05%  1.012        11.4    国寿安保基金
006776  华夏鼎略A          1.005  1.004    0.03%  1.005        47.0    华夏基金        
006780  广发稳健策略    0.991  0.991    0.00%  0.991        19.2    广发基金        
006781  汇丰港股通        0.988  0.986    0.21%  0.988          7.0    汇丰晋信基金
006783  红土中证500A    0.984  0.993  -0.89%  0.984          0.1    红土创新基金
006785  东方量化多策略0.924  0.932  -0.84%  0.924          3.3    东方基金管理
006786  泰康大消费主题0.887  0.889  -0.24%  0.887          0.2    泰康资产管理
006789  中信景丰A          1.011  1.011    0.04%  1.011          4.0    中信保诚基金
006791  建信睿兴纯债    1.002  1.002    0.02%  1.002          6.4    建信基金管理
006793  交银稳鑫短债A  1.010  1.010    0.03%  1.010        15.5    交银施罗德基
006796  富国消费升级    1.005  1.006  -0.08%  1.005          3.3    富国基金        
006797  嘉实中短债A      1.007  1.007    0.04%  1.007          6.3    嘉实基金        
006799  财通鸿运中短债1.012  1.012    0.02%  1.012        25.5    财通证券资产
006803  嘉实互通精选    0.939  0.943  -0.33%  0.939          2.5    嘉实基金        
006804  富国短债A          1.011  1.011    0.02%  1.011        18.3    富国基金        
006809  泰康香港银行A  0.952  0.957  -0.53%  0.952          0.2    泰康资产管理
006813  博时汇悦回报    0.989  0.996  -0.69%  0.989          2.1    博时基金        
006816  泰康港股通地产0.987  0.992  -0.51%  0.987          0.2    泰康资产管理
006818  安信盈利A          0.949  0.949  -0.03%  0.949          4.8    安信基金管理
006822  凯石湛混合A      0.917  0.928  -1.24%  0.917          3.4    凯石基金        
006824  创金鑫日享A      1.020  1.020    0.03%  1.020          6.1    创金合信基金
006826  华宝宝裕纯债A  1.005  1.005    0.00%  1.005          2.3    华宝基金        
006827  中加瑞鑫            1.006  1.006    0.02%  1.006          2.0    中加基金        
006832  鹏扬添利A          1.001  1.002  -0.10%  1.001          2.5    鹏扬基金        
006834  工银尊享短债A  1.009  1.009    0.01%  1.009          9.8    工银瑞信基金
006839  安信聚利增强A  0.996  0.996  -0.03%  0.996          2.8    安信基金管理
006841  嘉实致享纯债    1.005  1.005    0.04%  1.006          4.0    嘉实基金        
006848  博时中债5-10年1.012  1.011    0.11%  1.012          5.8    博时基金        
006850  永赢颐利            1.008  1.008    0.01%  1.012        40.0    永赢基金        
006852  永赢迅利            1.010  1.010    0.02%  1.010        13.1    永赢基金        
006854  人保鑫泽纯债A  1.004  1.004    0.00%  1.004          2.4    中国人保资产
006856  银河丰泰            1.000  1.000    0.00%  1.000        15.1    银河基金        
006857  蜂巢卓睿A          1.034  1.038  -0.33%  1.034          4.3    蜂巢基金        
006868  华夏科技成长    0.917  0.919  -0.23%  0.917        13.8    华夏基金        
006870  广发景和A          1.006  1.006    0.01%  1.006          5.7    广发基金        
006874  创金恒兴A          1.014  1.013    0.04%  1.014          4.5    创金合信基金
006879  华安智能生活    1.000  1.001  -0.10%  1.000        18.5    华安基金        
006881  华宝大健康        0.969  0.973  -0.40%  0.969          8.4    华宝基金        
006884  添富3A级信用债1.008  1.008    0.02%  1.008        28.8    汇添富基金管
006887  诺德新生活A      0.987  0.993  -0.63%  0.987          2.3    诺德基金        
006889  平安惠鸿纯债    1.003  1.003    0.01%  1.006        40.4    平安基金        
006890  上投领先优选    0.982  0.982  -0.01%  0.982          9.0    上投摩根基金
006893  汇添富丰利短债1.011  1.011    0.02%  1.011          2.1    汇添富基金管
006896  新华聚利A          0.996  0.998  -0.16%  0.996          2.7    新华基金管理
006898  天弘弘丰A          1.001  1.001    0.00%  1.001          5.3    天弘基金        
006901  上银慧祥利A      1.006  1.006    0.03%  1.006          2.4    上银基金        
006902  长盛安鑫中短债1.007  1.006    0.02%  1.007        23.3    长盛基金        
006907  银华安鑫短债A  1.007  1.007    0.01%  1.007        15.5    银华基金管理
006911  长江匠心甄选A  1.000  1.001  -0.05%  1.000          2.1    长江证券(上  
006913  南方华元A          1.009  1.008    0.02%  1.009          2.0    南方基金管理
006915  南方亨元A          1.005  1.005    0.05%  1.005          0.4    南方基金管理
006919  国寿泰和纯债    1.006  1.006    0.03%  1.006          2.9    国寿安保基金
006921  南方智诚            1.020  1.019    0.05%  1.020        37.9    南方基金管理
006923  前海非周期性A  0.993  0.992    0.15%  0.993          4.4    前海开源基金
006925  永赢中债-1-3年1.005  1.004    0.04%  1.005          2.0    永赢基金        
006929  博时富融纯债    1.008  1.008    0.01%  1.008        20.6    博时基金        
006930  泰康港股通A      0.911  0.900    1.25%  0.911          0.4    泰康资产管理
006932  平安0-3年金融  1.004  1.004    0.03%  1.004          2.0    平安基金        
006934  平安3-5年金融  1.004  1.004    0.00%  1.004          0.5    平安基金        
006936  华安安盛            1.014  1.014    0.01%  1.014          6.4    华安基金        
006941  国泰惠盈            1.005  1.004    0.06%  1.005          2.0    国泰基金        
006942  华泰量化明选A  0.984  0.986  -0.22%  0.984          9.7    华泰柏瑞基金
006947  华宝中短债A      1.009  1.008    0.04%  1.009          3.7    华宝基金        
006952  中银景元回报    0.997  0.996    0.04%  0.997        16.4    中银基金        
006955  国泰惠富纯债    1.004  1.003    0.03%  1.004          2.0    国泰基金        
006961  南方7-10年国开1.015  1.013    0.15%  1.015          5.0    南方基金管理
006961  南方7-10年国开1.015  1.014    0.12%  1.015          5.0    南方基金管理
006965  财通安瑞A          1.001  1.001    0.02%  1.008        20.6    财通基金        
006973  太平睿盈            1.002  1.003    0.00%  1.002          2.3    太平基金        
006974  金鹰鑫日享A      1.006  1.005    0.03%  1.006        14.2    金鹰基金        
006976  鹏华核心优势    1.002  1.004  -0.10%  1.002          5.2    鹏华基金        
006982  嘉实新添元A      0.996  0.996    0.02%  0.996          2.8    嘉实基金        
006985  兴全恒裕            1.004  1.003    0.05%  1.004          3.5    兴全基金
006986  平安季添盈A      1.006  1.006  -0.03%  1.006          6.2    平安基金        
006989  建信中短债A      1.006  1.005    0.02%  1.006        15.8    建信基金管理
006992  嘉合锦创优势    1.004  1.005  -0.11%  1.004          2.0    嘉合基金        
006993  鑫元承利            1.009  1.009    0.04%  1.009          2.1    鑫元基金        
006994  国泰瑞安            1.000  1.000    0.01%  1.000        10.1    国泰基金        
006998  广发景兴A          1.006  1.006    0.01%  1.006          9.2    广发基金        
007000  鹏华中债1-3年A1.006  1.005    0.04%  1.006      116.0    鹏华基金        
007006  融通超短债A      1.006  1.006    0.01%  1.006          2.6    融通基金        
007010  国寿中债1-3年A1.004  1.004    0.03%  1.004      115.3    国寿安保基金
007017  平安如意中短债1.009  1.009    0.03%  1.009          3.5    平安基金        
007021  嘉实1-3年政金  1.002  1.002    0.02%  1.002        37.7    嘉实基金        
007023  中银证券安泽A  1.001  1.001    0.00%  1.001          2.1    中银国际证券
007026  建信中债1-3年A1.006  1.006    0.04%  1.006        31.0    建信基金管理
007028  易基中证500联  0.959  0.964  -0.48%  0.959        19.9    易方达基金    
007030  银华安享短债A  1.004  1.004    0.01%  1.004          2.9    银华基金管理
007035  中银中债1-3年  1.004  1.004    0.03%  1.004      124.5    中银基金        
007044  博道沪深300增  0.974  0.976  -0.24%  0.974          5.5    博道基金        
007057  中泰蓝月短债A  1.003  1.002    0.01%  1.003        40.1    中泰证券(上  
007063  长盛研发            0.994  0.996  -0.12%  0.994          5.1    长盛基金        
007076  添富医药ETF联  0.956  0.959  -0.28%  0.956          6.2    汇添富基金管
007078  工银3-5年国开  1.003  1.002    0.06%  1.004        43.9    工银瑞信基金
007084  天治转型升级    1.000  1.000  -0.01%  1.000          3.2    天治基金        
007088  民生加银恒裕    1.002  1.002    0.04%  1.002          2.1    民生加银基金
007094  建信中债3-5年A1.002  1.002    0.02%  1.002        12.0    建信基金管理
007097  添富1-3年国开  1.003  1.002    0.04%  1.003        83.1    汇添富基金管
007130  中庚小盘价值    0.910  0.923  -1.42%  0.910        32.7    中庚基金        
007147  博时1-3年国开  1.004  1.003    0.06%  1.004        10.0    博时基金        
007153  添富中证银行ET0.981  0.977    0.41%  0.981          5.0    汇添富基金管
007153  添富中证银行ET0.981  0.977    0.42%  0.981          5.0    汇添富基金管
007155  银河中债央企201.002  1.002    0.00%  1.002          4.0    银河基金        
007165  华夏中债A          1.002  1.001    0.03%  1.002        57.0    华夏基金        
007197  富国中债1-5年A1.005  1.004    0.04%  1.005        67.6    富国基金        
007199  永赢泰利A          1.001  1.001    0.00%  1.001          2.2    永赢基金        
007208  中邮央企20债券1.003  1.003    0.02%  1.003          2.0    中邮创业基金
007215  国寿泰荣纯债    1.002  1.001    0.01%  1.002          2.1    国寿安保基金
007241  中欧养老2050A  0.997  0.998  -0.15%  0.997          0.1    中欧基金        
007259  民生中债1-3年  1.001  1.000    0.02%  1.001      224.0    民生加银基金
007292  民生兴盈            1.001  1.001    0.00%  1.001          2.1    民生加银基金
007302  华宝宝盛纯债    1.002  1.002    0.01%  1.002          2.3    华宝基金        
007309  鹏华9-10年利率1.002  1.002    0.07%  1.002          0.1    鹏华基金        
007358  前海联合泳益A  1.172  1.172    0.00%  1.172          2.0    新疆前海联合
007385  华泰保兴安盈    1.001  1.001    0.00%  1.001          1.1    华泰保兴基金
007427  永赢凯利            1.001  1.000    0.00%  1.001          2.0    永赢基金        
007435  华宝宝怡纯债    1.001  1.001    0.01%  1.001          2.0    华宝基金        
020001  国泰金鹰            0.880  0.888  -0.82%  4.805        41.0    国泰基金        
020002  国泰债券A          1.045  1.046  -0.09%  1.817          1.3    国泰基金        
020003  国泰精选            0.444  0.444    0.00%  4.721        42.0    国泰基金        
020005  国泰金马            1.015  1.019  -0.39%  4.856        14.6    国泰基金        
020009  国泰金鹏            0.828  0.831  -0.36%  2.455          5.9    国泰基金        
020010  国泰金牛            1.112  1.127  -1.33%  2.157        11.4    国泰基金        
020011  国泰300A            0.798  0.797    0.08%  1.142        25.6    国泰基金        
020015  国泰优势            2.233  2.245  -0.53%  2.278          0.6    国泰基金        
020018  国泰金鹿混合    1.130  1.134  -0.36%  1.590          1.4    国泰基金        
020019  国泰双利A          1.428  1.430  -0.13%  1.694          0.5    国泰基金        
020021  金融ETF联接      1.180  1.175    0.44%  1.650        13.3    国泰基金        
020022  国泰策略价值    1.379  1.385  -0.43%  1.379          0.7    国泰基金        
020023  国泰事件            2.261  2.284  -1.00%  2.261          0.4    国泰基金        
020026  国泰成长            2.147  2.160  -0.60%  2.669        13.1    国泰基金        
020033  国泰增利A          1.083  1.083    0.01%  1.472          2.2    国泰基金        
040001  华安创新            0.664  0.669  -0.74%  3.384        28.0    华安基金        
040002  华安A股              0.726  0.728  -0.27%  3.583        26.0    华安基金        
040004  华安宝利            1.299  1.302  -0.23%  4.288        12.4    华安基金        
040005  华安宏利            4.396  4.404  -0.17%  5.016          5.6    华安基金        
040007  华安成长            1.387  1.389  -0.13%  2.702        11.6    华安基金        
040008  华安优选            1.637  1.645  -0.48%  3.173        52.0    华安基金        
040009  华安收益A          1.074  1.075  -0.07%  1.736          8.7    华安基金        
040011  华安核心            1.645  1.650  -0.25%  2.755        10.7    华安基金        
040012  华安强债A          1.198  1.198    0.00%  1.857          0.8    华安基金        
040015  华安动态            1.377  1.390  -0.93%  1.990          1.3    华安基金        
040016  华安行业            1.513  1.518  -0.36%  2.249          1.4    华安基金        
040019  华安稳固债券C  1.094  1.094    0.00%  1.531        34.1    华安基金        
040020  华安升级            1.226  1.231  -0.40%  1.726          1.4    华安基金        
040022  华安可转债A      1.168  1.180  -1.01%  1.168          2.1    华安基金        
040025  华安科技            2.918  2.931  -0.44%  3.705          7.2    华安基金        
040026  华安信用A          1.054  1.054    0.00%  1.446          4.7    华安基金        
040035  华安策略            2.477  2.480  -0.12%  2.857          5.1    华安基金        
040036  华安安心A          1.115  1.112    0.26%  1.590          0.6    华安基金        
040040  华安纯债A          1.065  1.064    0.04%  1.306        48.5    华安基金        
040045  华安添鑫A          1.004  1.004    0.03%  1.283          1.2    华安基金        
040180  180ETF联接        1.369  1.366    0.21%  1.369          2.3    华安基金        
040190  华安龙头ETF联  1.199  1.200  -0.08%  1.199          0.6    华安基金        
050001  博时增长            0.748  0.751  -0.39%  3.250        48.8    博时基金        
050002  博时沪深300指  1.367  1.367    0.05%  3.364        46.4    博时基金        
050004  博时精选A          1.607  1.607    0.01%  3.328        20.3    博时基金        
050007  博时平衡            0.906  0.910  -0.43%  2.363          5.2    博时基金        
050008  博时产业            0.672  0.677  -0.73%  2.712        21.7    博时基金        
050009  博时新兴            0.611  0.621  -1.61%  2.862        52.0    博时基金        
050010  博时特许A          1.539  1.560  -1.34%  1.979          2.9    博时基金        
050011  博时债券A/B      2.410  2.431  -0.86%  2.525          6.0    博时基金        
050012  博时策略            1.270  1.275  -0.39%  1.294          2.8    博时基金        
050013  博时上证            0.978  0.973    0.56%  0.978          1.7    博时基金        
050014  博时创业A          1.778  1.793  -0.83%  1.850          1.8    博时基金        
050016  博时回报A/B      1.234  1.236  -0.16%  1.333          3.9    博时基金        
050018  博时行业            1.094  1.111  -1.53%  1.094          2.3    博时基金        
050019  博时转债A          1.317  1.333  -1.20%  1.322          3.2    博时基金        
050021  博时创业联接A  1.229  1.241  -0.95%  1.229          0.7    博时基金        
050022  博时灵活            1.064  1.068  -0.37%  1.865          3.3    博时基金        
050023  博时天颐A          1.284  1.285  -0.07%  1.537          5.9    博时基金        
050024  资源ETF联接      0.607  0.613  -0.91%  0.607          0.7    博时基金        
050026  博时医疗A          1.827  1.843  -0.86%  1.966          3.3    博时基金        
050027  博时信用A          1.093  1.091    0.10%  1.436        19.8    博时基金        
050106  博时稳定A          1.558  1.557    0.06%  1.942          2.9    博时基金        
050201  博价值贰            0.608  0.611  -0.49%  2.063        21.9    博时基金        
070001  嘉实成长A          1.142  1.144  -0.22%  4.197        33.5    嘉实基金        
070002  嘉实增长            10.57  10.63  -0.61%  11.22          2.1    嘉实基金        
070003  嘉实稳健            1.173  1.170    0.25%  3.238        25.6    嘉实基金        
070005  嘉实债券            1.281  1.282  -0.07%  2.293        26.6    嘉实基金        
070006  嘉实服务            4.879  4.909  -0.61%  5.399          3.1    嘉实基金        
070009  嘉实短债            1.051  1.051    0.01%  1.463      213.8    嘉实基金        
070010  嘉实主题            1.260  1.271  -0.86%  2.853        23.4    嘉实基金        
070011  嘉实策略            0.996  1.007  -1.09%  1.963        31.8    嘉实基金        
070013  嘉实精选A          1.695  1.700  -0.29%  3.125        16.6    嘉实基金        
070015  嘉实多元A          1.152  1.152    0.00%  1.662          3.6    嘉实基金        
070017  嘉实量化            1.174  1.176  -0.17%  1.454          1.8    嘉实基金        
070018  嘉实回报            1.165  1.164    0.08%  1.612          3.6    嘉实基金        
070019  嘉实价值优势    1.241  1.241    0.00%  1.842        19.7    嘉实基金        
070020  嘉实稳固            1.108  1.111  -0.27%  1.465          5.0    嘉实基金        
070021  嘉实动力            1.677  1.706  -1.69%  1.677          4.9    嘉实基金        
070022  嘉实领先            1.760  1.763  -0.17%  2.205          7.7    嘉实基金        
070023  深F120ETF联接A1.726  1.737  -0.65%  1.726          5.5    嘉实基金        
070025  嘉实信用A          1.180  1.181  -0.08%  1.445        13.7    嘉实基金        
070027  嘉实周期            1.743  1.752  -0.51%  1.803          7.5    嘉实基金        
070030  嘉实中创400联  1.260  1.276  -1.24%  1.260          1.1    嘉实基金        
070032  嘉实优化            1.472  1.471    0.06%  2.325        16.9    嘉实基金        
070037  嘉实纯债债券A  1.137  1.136    0.08%  1.295        25.3    嘉实基金        
070099  嘉实优质            1.421  1.430  -0.62%  2.633        13.5    嘉实基金        
080001  长盛成长            1.030  1.034  -0.38%  3.665          2.7    长盛基金        
080002  长盛创新            1.016  1.029  -1.22%  2.263          1.1    长盛基金        
080003  长盛积配            1.118  1.119  -0.08%  1.696          2.5    长盛基金        
080005  长盛红利            1.246  1.255  -0.71%  2.152          2.5    长盛基金        
080007  长盛同鑫行业    0.893  0.899  -0.66%  0.924          0.4    长盛基金        
080008  长盛战略A          1.701  1.715  -0.81%  1.751          0.1    长盛基金        
080012  长盛电子A          1.163  1.154    0.77%  2.191          9.0    长盛基金        
080015  长盛中小盘        0.686  0.694  -1.15%  0.686          0.4    长盛基金        
090001  大成价值            0.865  0.869  -0.37%  3.854        21.0    大成基金        
090002  大成债券A/B      1.036  1.037  -0.11%  2.166        38.1    大成基金        
090003  大成蓝筹            0.812  0.811    0.18%  3.382        39.7    大成基金        
090004  大成精选            0.988  0.986    0.28%  3.409        12.9    大成基金        
090006  大成2020            0.697  0.698  -0.14%  2.519        27.8    大成基金        
090007  大成策略            0.938  0.940  -0.21%  2.648        19.6    大成基金        
090009  大成行业            1.429  1.432  -0.20%  1.429          1.0    大成基金        
090010  大成红利            1.796  1.811  -0.82%  1.796          3.3    大成基金        
090011  大成核心            0.945  0.946  -0.10%  1.545          0.9    大成基金        
090012  深成长ETF联接  0.752  0.754  -0.26%  0.752          1.5    大成基金        
090013  大成竞争优势    1.122  1.148  -2.26%  2.132          2.0    大成基金        
090015  大成内需A          2.346  2.367  -0.88%  2.346          1.5    大成基金        
090016  大成消费主题    0.829  0.826    0.36%  1.086          0.3    大成基金        
090017  大成可转债        1.014  1.026  -1.16%  1.024          0.2    大成基金        
090018  大成新锐            1.600  1.593    0.43%  2.100          0.3    大成基金        
090019  大成景恒A          1.261  1.278  -1.33%  1.688          0.7    大成基金        
090020  大成健康产业    0.802  0.805  -0.37%  0.802          0.3    大成基金        
100016  富国天源            1.491  1.500  -0.60%  3.204          2.9    富国基金        
100018  富国天利            1.294  1.294    0.00%  2.537        49.2    富国基金        
100020  富国天益            1.330  1.328    0.12%  4.711        25.8    富国基金        
100022  富国天瑞            0.510  0.510  -0.01%  4.279        48.6    富国基金        
100026  富国天合            1.227  1.224    0.27%  3.473        20.5    富国基金        
100029  富国天成            0.976  0.981  -0.57%  2.326          9.6    富国基金        
100032  富国天鼎            1.096  1.104  -0.72%  2.691        33.7    富国基金        
100035  富国优化A/B      1.652  1.656  -0.24%  1.717          1.4    富国基金        
100038  富国300              1.652  1.652    0.00%  1.812        47.8    富国基金        
100039  富国轮动            1.624  1.619    0.30%  1.674          0.9    富国基金        
100051  富国可转债        1.423  1.437  -0.97%  1.423          4.6    富国基金        
100053  综指ETF联接      1.167  1.168  -0.08%  1.167          1.0    富国基金        
100056  富国低碳            2.277  2.280  -0.13%  2.277        21.6    富国基金        
100058  富国产业债A      1.074  1.074    0.00%  1.487          7.3    富国基金        
100060  富国高新技术    1.812  1.820  -0.43%  2.232          1.7    富国基金        
100066  富国纯债A/B      1.072  1.072    0.00%  1.312          2.7    富国基金        
100072  富国强回报A\B  1.529  1.529    0.00%  1.559          2.4    富国基金        
110001  易基平稳            2.571  2.584  -0.50%  3.886          8.4    易方达基金    
110002  易基策略            2.722  2.735  -0.47%  4.505          4.0    易方达基金    
110003  易基50A              1.580  1.573    0.48%  3.450        95.4    易方达基金    
110005  易基积极            0.617  0.622  -0.86%  4.596        31.8    易方达基金    
110007  易基收益A          1.294  1.296  -0.18%  2.118        79.0    易方达基金    
110009  易基价值            1.047  1.050  -0.27%  2.924        25.0    易方达基金    
110010  易基成长            1.532  1.535  -0.24%  1.846        32.4    易方达基金    
110011  易中小盘            4.459  4.453    0.12%  4.849        27.0    易方达基金    
110012  易基科汇            1.395  1.393    0.14%  5.817          9.4    易方达基金    
110013  易基科翔            2.398  2.411  -0.53%  7.367        13.1    易方达基金    
110015  易基行业            2.223  2.233  -0.44%  2.539          3.9    易方达基金    
110017  易基增强A          1.274  1.275  -0.07%  2.114        29.1    易方达基金    
110019  易方达100联接A1.055  1.058  -0.19%  1.055        15.1    易方达基金    
110020  易基300ETF联接1.254  1.252    0.11%  1.254        41.4    易方达基金    
110021  易基中盘ETF联  1.283  1.288  -0.40%  1.283          1.8    易方达基金    
110022  易基消费            2.564  2.563    0.03%  2.564        69.4    易方达基金    
110023  易基医疗            1.727  1.734  -0.40%  1.727        23.0    易方达基金    
110025  易基资源            0.786  0.802  -1.99%  0.786          5.6    易方达基金    
110026  创业板ETF联接A1.529  1.543  -0.93%  1.529        34.6    易方达基金    
110027  安心回报A          1.584  1.591  -0.43%  2.505        71.7    易方达基金    
110029  易基科讯            0.923  0.927  -0.43%  5.198        45.0    易方达基金    
110030  易基量化            2.217  2.216    0.04%  2.217          5.4    易方达基金    
110031  企业ETF联接A(  1.150  1.145    0.41%  1.150        14.1    易方达基金    
110035  易基双债A          1.301  1.312  -0.83%  1.451          0.6    易方达基金    
110037  易方达纯债A      1.142  1.141    0.08%  1.374        22.0    易方达基金    
110052  易基安源中短债0.999  0.998    0.10%  0.999                    易方达基金    
112002  易策二号            0.827  0.831  -0.48%  3.037        11.6    易方达基金    
121001  国投融华            1.471  1.469    0.10%  2.988          2.0    国投瑞银基金
121002  国投景气            1.204  1.206  -0.17%  3.320          7.8    国投瑞银基金
121003  国投核心            0.679  0.680  -0.20%  2.324        18.2    国投瑞银基金
121005  国投创新            0.594  0.598  -0.66%  2.876        16.9    国投瑞银基金
121006  国投稳健            1.384  1.393  -0.64%  2.480          3.0    国投瑞银基金
121008  国投成长            0.500  0.502  -0.49%  2.608          7.5    国投瑞银基金
121008  国投成长            0.500  1.025  -51.3%  2.608          7.5    国投瑞银基金
121009  国投稳定            1.035  1.037  -0.16%  1.738          3.6    国投瑞银基金
121010  国投瑞源            1.311  1.317  -0.49%  1.561          1.0    国投瑞银基金
121012  国投强债A/B      1.439  1.440  -0.06%  1.773        19.8    国投瑞银基金
150008  瑞和小康            1.182  1.183  -0.08%  1.248          0.2    国投瑞银基金
150009  瑞和远见            1.130  1.131  -0.08%  1.324          0.2    国投瑞银基金
150012  中证100A            1.007  1.006    0.09%  1.424          0.4    国联安基金    
150013  中证100B            0.892  0.888    0.45%  1.216          0.6    国联安基金    
150016  合润A                  1.000  1.000    0.00%  2.615          0.3    兴全基金
150017  合润B                  0.921  0.930  -0.96%  4.342          0.4    兴全基金
150018  银华稳进            1.019  1.018    0.09%  1.489        28.8    银华基金管理
150019  银华锐进            0.755  0.760  -0.65%  0.755        28.8    银华基金管理
150022  深成指A              0.886  0.892  -0.67%  1.287        25.2    申万菱信基金
150023  深成指B              0.087  0.088  -0.68%  0.087        25.2    申万菱信基金
150028  中证500A            1.016  1.015    0.09%  1.469          0.2    中信保诚基金
150028  中证500A            1.016  0.785  29.41%  1.469          0.2    中信保诚基金
150029  中证500B            0.994  1.012  -1.77%  1.889          0.4    中信保诚基金
150103  银河银泰            0.971  0.975  -0.45%  4.101        11.0    银河基金        
150968  银河研究精选    1.069  1.071  -0.14%  3.766          7.6    银河基金        
151001  银河稳健            1.424  1.424    0.01%  4.499          4.2    银河基金        
151002  银河收益            1.442  1.443  -0.06%  3.052          2.3    银河基金        
159901  深100ETF            4.243  4.252  -0.20%  4.142        12.1    易方达基金    
159902  中小板                2.669  2.683  -0.52%  2.789          8.4    华夏基金        
159903  深成ETF              0.971  0.978  -0.72%  0.716          4.1    南方基金管理
159905  深红利                1.739  1.742  -0.17%  1.739          5.4    工银瑞信基金
159906  深成长                0.734  0.736  -0.27%  0.734          1.5    大成基金        
159907  中小300              1.128  1.138  -0.81%  1.025          1.7    广发基金        
159908  博时创业            1.267  1.279  -0.99%  1.267          0.8    博时基金        
159909  深TMT                  3.885  3.886  -0.04%  1.195          0.5    招商基金        
159910  深F120                1.731  1.743  -0.68%  1.731          6.2    嘉实基金        
159911  民营ETF              3.434  3.449  -0.42%  1.041          0.1    鹏华基金        
159912  深300ETF            1.168  1.175  -0.57%  1.168          1.0    汇添富基金管
159913  深价值                1.765  1.776  -0.61%  1.765          0.5    交银施罗德基
159915  创业板                1.410  1.424  -0.98%  1.615      144.8    易方达基金    
159916  深F60                  3.850  3.874  -0.60%  2.098          1.3    建信基金管理
159918  中创400              1.318  1.335  -1.31%  1.318          0.9    嘉实基金        
159919  300ETF                3.636  3.633    0.09%  1.544        56.3    嘉实基金        
159919  300ETF                3.636  3.635    0.02%  1.544        56.3    嘉实基金        
159920  恒生ETF              1.448  1.449  -0.06%  1.524        33.2    华夏基金        
159922  嘉实中证500ETF5.085  5.145  -1.16%  1.426          4.3    嘉实基金        
159923  100ETF                1.601  1.594    0.43%  1.601          0.2    大成基金        
159923  100ETF                1.601  0.999  60.24%  1.601          0.2    大成基金        
159925  南方300              1.559  1.558    0.09%  1.367          9.4    南方基金管理
159926  嘉实中期国债ET113.0  113.0    0.06%  1.130          0.0    嘉实基金        
159928  消费ETF              2.717  4.711  -42.3%  2.717        10.6    汇添富基金管
159928  消费ETF              2.717  2.715    0.08%  2.717        10.6    汇添富基金管
159929  添富医药ETF      1.365  1.372  -0.45%  1.365          2.4    汇添富基金管
159930  能源ETF              0.708  0.721  -1.74%  0.708          0.2    汇添富基金管
159931  添富金融ETF      1.640  1.638    0.13%  1.640          0.2    汇添富基金管
159932  500深ETF            1.321  1.338  -1.27%  1.119          0.2    大成基金        
159933  金地ETF              1.971  1.968    0.18%  1.971          2.0    国投瑞银基金
159935  景顺500              1.349  1.365  -1.13%  1.349          2.1    景顺长城基金
159936  可选消费            1.248  1.255  -0.54%  1.248          2.1    广发基金        
159938  广发医药            1.190  1.201  -0.89%  1.190        18.8    广发基金        
159939  信息技术            0.904  0.911  -0.76%  0.904        13.5    广发基金        
159940  全指金融            0.950  0.949    0.08%  0.950          4.7    广发基金        
159943  大成深证ETF      9.592  9.661  -0.71%  0.630          0.2    大成基金        
159944  全指材料            0.705  0.715  -1.32%  0.705          0.3    广发基金        
159945  全指能源            0.641  0.654  -1.86%  0.641          0.5    广发基金        
159948  创业板EF            1.536  1.552  -0.99%  0.755          7.3    南方基金管理
159949  创业板50            0.501  0.507  -1.12%  0.501      149.5    华安基金        
159950  深成指EF            0.921  0.927  -0.62%  0.921          0.1    易方达基金    
159951  中关村A              0.752  0.760  -1.05%  0.752          0.2    嘉实基金        
159952  创业ETF              0.853  0.861  -0.98%  0.853        19.3    广发基金        
159953  工业ETF              0.726  0.733  -0.92%  0.726          0.3    广发基金        
159954  H股ETF                0.952  1.144  -16.8%  0.952          1.4    南方基金管理
159954  H股ETF                0.952  0.947    0.45%  0.952          1.4    南方基金管理
159955  创业板E              0.792  0.800  -0.99%  0.792          0.4    嘉实基金        
159956  创业板F              0.838  0.846  -0.96%  0.838          0.8    建信基金管理
159957  创业板HX            0.868  0.877  -0.99%  0.868          1.9    华夏基金        
159958  创业板ET            0.855  0.864  -0.97%  0.855          3.0    工银瑞信基金
159959  央企ETF              1.013  1.015  -0.20%  1.013        67.3    银华基金管理
159959  央企ETF              1.013  1.791  -43.4%  1.013        67.3    银华基金管理
159960  恒生国企            0.970  0.965    0.44%  0.970          5.1    平安基金        
159961  深100                  1.227  1.230  -0.21%  1.227          0.9    方正富邦基金
159962  四川国改            0.967  0.976  -0.85%  0.967        37.6    华夏基金        
159963  恒生中国            0.940  0.935    0.43%  0.940          1.0    富国基金        
159964  创业板PA            0.876  0.885  -0.96%  0.876          1.1    平安基金        
159965  央视50                0.942  0.939    0.26%  0.942          7.8    中融基金        
160105  南方积配            0.856  0.856  -0.04%  2.981          7.8    南方基金管理
160106  南方高增            0.915  0.919  -0.37%  3.441        13.1    南方基金管理
160119  南方500              1.232  1.246  -1.09%  1.332        73.9    南方基金管理
160123  南方10年国债A  1.258  1.256    0.21%  1.288          0.9    南方基金管理
160127  南方消费            1.066  1.067  -0.09%  2.226          6.7    南方基金管理
160128  南方金利A          1.041  1.041    0.00%  1.489          2.8    南方基金管理
160130  南方永利A          1.004  1.005  -0.09%  1.470          0.8    南方基金管理
160131  南方聚利A          1.056  1.056    0.00%  1.355          0.9    南方基金管理
160133  南方天元            2.236  2.242  -0.26%  2.236          2.1    南方基金管理
160135  高铁基金            0.729  0.733  -0.49%  0.457          2.3    南方基金管理
160136  改革基金            0.878  0.877    0.13%  0.647          1.3    南方基金管理
160137  互联基金            1.044  1.046  -0.18%  0.744          1.6    南方基金管理
160142  南方配售            1.060  1.060    0.05%  1.060      180.9    南方基金管理
160211  国泰小盘            1.820  1.823  -0.16%  2.776          6.0    国泰基金        
160212  国泰估值优势(L1.831  1.834  -0.16%  1.831          0.7    国泰基金        
160215  国泰价值            1.296  1.307  -0.84%  1.906        20.9    国泰基金        
160217  国泰互利            1.110  1.113  -0.26%  1.481          2.1    国泰基金        
160218  国泰房地产        1.011  1.019  -0.74%  1.839          3.3    国泰基金        
160219  国泰医药            1.161  1.164  -0.32%  1.488          5.8    国泰基金        
160220  国泰民益            1.177  1.183  -0.55%  1.177          1.5    国泰基金        
160221  国泰有色            0.763  0.770  -0.96%  0.569          5.2    国泰基金        
160222  国泰食品            0.961  0.959    0.21%  2.188        10.8    国泰基金        
160223  创业板基            0.704  0.711  -0.92%  0.704          0.3    国泰基金        
160224  国泰TMT50份额  0.834  0.834  -0.01%  0.604          2.7    国泰基金        
160225  新汽车                0.725  0.738  -1.77%  0.725          0.2    国泰基金        
160311  华夏蓝筹            1.496  1.491    0.33%  4.992        25.8    华夏基金        
160314  华夏行业            0.928  0.928    0.00%  5.812        20.8    华夏基金        
160322  港股精选            0.971  0.967    0.42%  1.021          0.0    华夏基金        
160323  华夏磐泰            0.983  0.984  -0.08%  0.983          0.0    华夏基金        
160324  华夏磐晟            0.923  0.928  -0.48%  0.923          0.2    华夏基金        
160415  华安量化            1.118  1.122  -0.29%  1.027          0.0    华安基金        
160417  华安300              1.279  1.278    0.09%  1.468          2.1    华安基金        
160418  银行股基            0.844  0.840    0.42%  0.943          4.4    华安基金        
160418  银行股基            0.844  1.061  -20.5%  0.943          4.4    华安基金        
160419  证券股基            0.884  0.884    0.02%  0.565          2.1    华安基金        
160420  创业50                0.930  0.941  -1.08%  0.239          4.8    华安基金        
160421  华安智增            1.027  1.028  -0.15%  1.027          1.4    华安基金        
160422  华安创业板50联0.990  1.001  -1.06%  0.698          0.7    华安基金        
160422  华安创业板50联0.990  1.001  -1.05%  0.698          0.7    华安基金        
160505  博时主题            1.516  1.535  -1.23%  5.409        74.0    博时基金        
160512  博时卓越            1.609  1.624  -0.92%  1.763          0.2    博时基金        
160513  稳健债A              1.446  1.451  -0.34%  1.521          0.6    博时基金        
160515  安丰18A              1.065  1.064    0.09%  1.447        14.1    博时基金        
160516  博时证保            1.105  1.104    0.03%  0.748          1.4    博时基金        
160517  博时银行            0.996  0.991    0.42%  1.095          1.3    博时基金        
160518  博时睿远            1.049  1.057  -0.75%  1.049          1.0    博时基金        
160519  博时睿利            0.990  0.999  -0.90%  0.990          0.3    博时基金        
160520  弘盈A                  1.017  1.021  -0.33%  1.017          2.9    博时基金        
160522  博时睿益            0.919  0.918    0.10%  0.919          0.1    博时基金        
160602  鹏华债券A          1.301  1.300    0.07%  1.975        27.2    鹏华基金        
160603  鹏华收益            1.239  1.245  -0.48%  3.740          4.1    鹏华基金        
160605  鹏华50                1.314  1.319  -0.37%  3.684          7.6    鹏华基金        
160607  鹏华价值            0.641  0.647  -0.92%  3.777        26.6    鹏华基金        
160610  鹏华动力            0.872  0.872    0.00%  1.767        15.4    鹏华基金        
160611  鹏华治理            0.767  0.764    0.39%  0.896        11.9    鹏华基金        
160612  鹏华丰收            1.094  1.095  -0.09%  1.684        33.7    鹏华基金        
160613  鹏华创新            1.266  1.270  -0.31%  2.437          0.9    鹏华基金        
160615  鹏华300A            1.508  1.507    0.06%  1.568          2.9    鹏华基金        
160616  鹏华500A            1.069  1.081  -1.11%  1.069          2.9    鹏华基金        
160617  鹏华丰润            1.098  1.097    0.06%  1.557        35.7    鹏华基金        
160618  鹏华丰泽            1.297  1.296    0.04%  1.662          0.5    鹏华基金        
160620  资源分级            0.993  1.013  -1.97%  0.739          0.7    鹏华基金        
160621  鹏华丰和A          1.088  1.085    0.27%  1.430          0.6    鹏华基金        
160622  鹏华丰利            1.025  1.025    0.00%  1.289          0.0    鹏华基金        
160624  鹏华消费领先混1.669  1.667    0.11%  1.552          1.2    鹏华基金        
160625  证保分级            1.135  1.135    0.00%  1.745          8.7    鹏华基金        
160626  信息分级            0.952  0.956  -0.41%  1.613          2.9    鹏华基金        
160627  鹏华策略优选    1.382  1.382    0.00%  1.238          2.6    鹏华基金        
160628  房地产                0.991  0.997  -0.60%  1.718          3.3    鹏华基金        
160629  传媒分级            0.870  0.883  -1.47%  1.164          2.8    鹏华基金        
160630  国防分级            0.728  0.742  -1.88%  1.106        77.5    鹏华基金        
160631  银行指基            0.921  0.917    0.43%  1.003        10.9    鹏华基金        
160632  酒分级                0.988  0.996  -0.80%  1.559          4.9    鹏华基金        
160633  券商指基            0.871  0.871    0.00%  0.539          6.4    鹏华基金        
160634  环保分级            0.744  0.753  -1.19%  0.546          1.1    鹏华基金        
160635  医药基金            0.929  0.933  -0.42%  0.843          0.1    鹏华基金        
160636  互联网                0.857  0.859  -0.23%  0.564          1.2    鹏华基金        
160637  创业指基            1.006  1.015  -0.88%  0.444          2.2    鹏华基金        
160638  鹏华一带一路分1.073  1.077  -0.37%  0.483          3.9    鹏华基金        
160639  高铁分级            0.834  0.838  -0.47%  0.350          0.7    鹏华基金        
160640  鹏华新能源        1.054  1.071  -1.58%  0.425          0.3    鹏华基金        
160642  鹏华增瑞            0.861  0.869  -1.01%  0.861          6.9    鹏华基金        
160643  空天一体            0.791  0.807  -1.99%  0.791          0.0    鹏华基金        
160706  嘉实300联接A    1.043  1.042    0.09%  2.934      156.9    嘉实基金        
160716  嘉实50                1.518  1.510    0.48%  1.518        13.9    嘉实基金        
160717  恒生H股              0.800  0.796    0.50%  0.800          2.9    嘉实基金        
160718  嘉实多利            0.960  0.960    0.04%  1.340          0.4    嘉实基金        
160720  中期企债            1.137  1.137    0.00%  1.246          0.1    嘉实基金        
160722  嘉实惠泽            1.034  1.032    0.17%  1.059          0.4    嘉实基金        
160726  嘉实瑞享            1.066  1.073  -0.70%  1.066        13.1    嘉实基金        
160805  长盛同智            0.700  0.702  -0.32%  2.280          7.3    长盛基金        
160806  长盛同庆(LOF)  1.336  1.337  -0.07%  1.226          0.7    长盛基金        
160807  长盛300              1.207  1.206    0.08%  1.257          0.4    长盛基金        
160808  同瑞200              0.831  0.836  -0.59%  1.600          0.1    长盛基金        
160812  长盛同益            1.281  1.286  -0.38%  4.596          1.0    长盛基金        
160813  长盛同盛            0.708  0.710  -0.28%  3.125          2.0    长盛基金        
160814  金融地产            0.806  0.805    0.12%  0.806          2.0    长盛基金        
160910  大成创新            0.995  0.994    0.10%  2.380        26.2    大成基金        
160915  大成景丰(LOF  1.114  1.114    0.00%  1.649          0.0    大成基金        
160916  优选LOF              2.711  2.715  -0.14%  2.122          1.4    大成基金        
160918  大成小盘            1.789  1.794  -0.27%  4.893          0.9    大成基金        
160919  大成产业            1.210  1.229  -1.54%  3.196          1.6    大成基金        
160921  多策略                0.885  0.884    0.11%  0.907          0.1    大成基金        
160922  恒生中小            0.970  0.970    0.00%  0.970          0.0    大成基金        
160924  恒指LOF              0.986  0.987  -0.10%  0.986          0.0    大成基金        
160925  中华300              0.936  0.935    0.09%  0.936        19.7    大成基金        
161005  富国天惠A          1.944  1.946  -0.05%  4.732        35.2    富国基金        
161010  富国天丰            1.074  1.075  -0.09%  1.681          2.9    富国基金        
161014  富国汇利            1.204  1.204    0.00%  1.679          6.0    富国基金        
161015  富国天盈            1.018  1.019  -0.09%  1.679          0.1    富国基金        
161017  富国500              1.686  1.706  -1.17%  1.866          0.7    富国基金        
161019  富国天锋            1.051  1.051    0.00%  1.452          0.2    富国基金        
161022  创业分级            0.980  0.988  -0.80%  1.543        13.7    富国基金        
161024  军工分级            1.113  1.128  -1.32%  1.565        52.4    富国基金        
161025  移动互联            0.831  0.832  -0.12%  1.381          4.8    富国基金        
161026  国企改革            0.809  0.946  -14.5%  1.162        69.8    富国基金        
161026  国企改革            0.809  0.808    0.12%  1.162        69.8    富国基金        
161027  证券分级            0.883  0.881    0.22%  0.559          8.6    富国基金        
161027  证券分级            0.883  0.982  -10.0%  0.559          8.6    富国基金        
161028  新能源车            0.866  0.880  -1.59%  0.606        16.4    富国基金        
161028  新能源车            0.866  0.818    5.85%  0.606        16.4    富国基金        
161029  银行FG                1.023  1.019    0.39%  1.109                    富国基金        
161030  体育分级            1.116  1.139  -2.01%  0.485          1.0    富国基金        
161031  工业4                  1.070  1.074  -0.37%  0.434        11.7    富国基金        
161032  煤炭基金            0.934  0.954  -2.09%  0.610          2.9    富国基金        
161033  智能汽车            0.829  0.821    0.97%  0.829          0.1    富国基金        
161035  医药增强            0.986  0.992  -0.60%  0.986          0.1    富国基金        
161036  娱乐增强            0.597  0.606  -1.37%  0.597          0.3    富国基金        
161037  高端制造            0.962  0.966  -0.38%  0.962          0.0    富国基金        
161038  成长量化            0.881  0.890  -1.11%  0.881          0.0    富国基金        
161039  富国1000            1.030  1.044  -1.33%  1.030          0.1    富国基金        
161115  易基岁丰            1.423  1.425  -0.14%  2.007          0.4    易方达基金    
161117  易基永旭            1.075  1.074    0.09%  1.493        12.5    易方达基金    
161118  易基中小            0.790  0.794  -0.51%  1.307          2.4    易方达基金    
161119  易基综债A          1.362  1.361    0.06%  1.362          1.2    易方达基金    
161121  银行业                0.933  0.929    0.40%  0.933          1.3    易方达基金    
161122  易方达生物        0.970  0.974  -0.39%  0.653          1.8    易方达基金    
161123  重组分级            0.868  0.873  -0.58%  0.519          8.2    易方达基金    
161124  香港小盘A          1.067  1.069  -0.27%  1.067          0.3    易方达基金    
161131  易基配售            1.052  1.051    0.05%  1.052      244.5    易方达基金    
161132  易基科顺            1.088  1.089  -0.09%  1.088          2.9    易方达基金    
161207  瑞和300              1.156  1.157  -0.08%  1.291          1.0    国投瑞银基金
161211  金融地产ETF联  1.597  1.595    0.17%  1.597          2.4    国投瑞银基金
161213  国投消费            1.517  1.519  -0.13%  1.517          0.2    国投瑞银基金
161216  双债A                  1.128  1.129  -0.08%  1.660          1.0    国投瑞银基金
161217  国投资源            0.614  0.621  -1.12%  0.614          0.1    国投瑞银基金
161219  国投产业            1.304  1.312  -0.60%  2.358          0.0    国投瑞银基金
161222  国投瑞利            1.138  1.145  -0.61%  1.170          0.3    国投瑞银基金
161223  国投成长            1.012  0.502  101.6%  0.430          0.1    国投瑞银基金
161223  国投成长            1.012  1.025  -1.26%  0.430          0.1    国投瑞银基金
161224  国投丝路            0.928  0.940  -1.27%  1.085          0.2    国投瑞银基金
161225  国投瑞盈            1.093  1.103  -0.90%  1.114          0.2    国投瑞银基金
161227  深证100              0.907  0.909  -0.22%  1.716          3.6    国投瑞银基金
161232  国投瑞盛            0.640  0.644  -0.62%  0.640          1.5    国投瑞银基金
161233  国投瑞泰            1.040  1.043  -0.24%  1.040          0.0    国投瑞银基金
161505  银河通利A          1.161  1.161    0.00%  1.551          5.1    银河基金        
161506  银河通利C          1.195  1.196  -0.08%  1.545                    银河基金        
161601  新蓝筹                0.863  0.865  -0.20%  3.168        25.0    融通基金        
161603  融通债券A/B      1.184  1.184    0.00%  1.953          7.7    融通基金        
161604  融通100A/B        1.065  1.067  -0.18%  2.683        44.7    融通基金        
161605  融通蓝筹            1.034  1.045  -1.05%  2.747          6.8    融通基金        
161606  融通行业            1.261  1.269  -0.63%  3.201        13.1    融通基金        
161607  融通巨潮A/B      1.154  1.150    0.34%  2.747          6.4    融通基金        
161609  融通动力            1.502  1.513  -0.72%  2.132          7.0    融通基金        
161610  融通领先            0.989  0.995  -0.60%  2.920        31.7    融通基金        
161611  融通内需            0.920  0.932  -1.28%  1.040          2.1    融通基金        
161612  融通成份A\B      0.769  0.774  -0.64%  0.779          1.7    融通基金        
161613  融通创业A/B      0.710  0.717  -0.97%  1.970        12.7    融通基金        
161614  融通添利            1.060  1.061  -0.09%  1.452          0.1    融通基金        
161616  融通医疗A类      1.114  1.123  -0.80%  1.478        11.6    融通基金        
161618  融通岁岁添利A  1.104  1.103    0.09%  1.441          5.0    融通基金        
161624  融通可转债A      0.806  0.813  -0.82%  0.916          1.0    融通基金        
161626  融通通福            1.086  1.087  -0.09%  1.729          0.5    融通基金        
161628  融通军工            0.819  0.830  -1.32%  0.599          0.5    融通基金        
161629  融通证券            0.891  0.891    0.00%  0.629          0.5    融通基金        
161631  人工智能            0.916  0.919  -0.31%  0.916          1.4    融通基金        
161706  招商成长            1.681  1.690  -0.55%  3.591          6.5    招商基金        
161713  招商信用(LOF)  1.024  1.023    0.09%  1.684          7.4    招商基金        
161715  大宗商品            0.885  0.903  -2.03%  1.023          0.1    招商基金        
161716  招商双债(LOF)C1.244  1.243    0.08%  1.383          5.7    招商基金        
161718  高贝分级            0.857  0.860  -0.34%  1.173          0.4    招商基金        
161719  招商可转债        0.887  0.887    0.00%  1.370          0.3    招商基金        
161720  券商分级            0.990  0.810  22.24%  0.670          9.8    招商基金        
161720  券商分级            0.990  0.990    0.03%  0.670          9.8    招商基金        
161721  招商地产            1.170  1.178  -0.72%  1.324          0.9    招商基金        
161722  招商丰泰            1.032  1.032    0.00%  1.032          0.0    招商基金        
161723  银行基金            0.999  1.059  -5.65%  1.081          3.7    招商基金        
161723  银行基金            0.999  0.995    0.42%  1.081          3.7    招商基金        
161724  煤炭分级            0.899  0.921  -2.47%  0.650          5.6    招商基金        
161725  白酒分级            1.303  1.310  -0.54%  1.862        42.2    招商基金        
161726  生物医药            0.989  0.991  -0.14%  0.678          3.7    招商基金        
161726  生物医药            0.989  0.968    2.14%  0.678          3.7    招商基金        
161727  招商增荣            0.985  0.986  -0.10%  0.985          0.0    招商基金        
161728  招商配售            1.054  1.054    0.05%  1.054      247.1    招商基金        
161810  银华内需            1.562  1.603  -2.55%  1.485        12.1    银华基金管理
161811  300分级              0.869  0.868    0.11%  0.869          1.1    银华基金管理
161812  100分级              0.887  0.889  -0.22%  1.124        11.5    银华基金管理
161816  90分级                0.919  0.919    0.00%  1.159          1.3    银华基金管理
161818  消费分级            1.173  1.174  -0.08%  1.267          0.3    银华基金管理
161819  中证资源            0.883  0.893  -1.11%  0.598          0.4    银华基金管理
161820  银华纯债            1.118  1.117    0.08%  1.436          0.1    银华基金管理
161823  银华永兴            1.110  1.110    0.00%  1.110          5.1    银华基金管理
161824  永兴债C              1.094  1.093    0.09%  1.094                    银华基金管理
161826  中证转债            0.996  1.006  -0.99%  1.109          0.2    银华基金管理
161831  恒生中企            0.953  0.947    0.55%  1.080          5.3    银华基金管理
161834  银华鑫锐            0.803  0.806  -0.37%  0.803        16.2    银华基金管理
161835  银华惠丰            1.104  1.104    0.02%  1.104          0.2    银华基金管理
161902  万家债券            1.100  1.101  -0.13%  2.130          1.4    万家基金        
161903  万家优选            0.859  0.868  -1.02%  2.780          2.5    万家基金        
161907  万家红利            1.635  1.648  -0.81%  1.635          0.0    万家基金        
161908  万家添利            0.972  0.976  -0.48%  1.590          0.0    万家基金        
161910  万家价值驱动A  1.172  1.175  -0.18%  1.644          0.1    万家基金        
161911  万家强债            1.055  1.055    0.00%  1.416          3.1    万家基金        
162006  长城久富            1.031  1.041  -0.91%  3.761          6.5    长城基金        
162102  金鹰中小盘        1.008  1.013  -0.47%  2.905          3.7    金鹰基金        
162105  持久增利            1.036  1.044  -0.80%  1.402          0.6    金鹰基金        
162107  金鹰量化            0.674  0.673    0.07%  0.674          0.2    金鹰基金        
162108  金鹰元盛            1.176  1.176    0.00%  1.238          4.2    金鹰基金        
162201  泰达成长            1.274  1.271    0.17%  3.469          4.8    泰达宏利基金
162202  泰达周期            1.136  1.148  -1.05%  3.181          1.5    泰达宏利基金
162203  泰达稳定            1.207  1.210  -0.26%  3.147          1.1    泰达宏利基金
162204  泰达精选            3.160  3.177  -0.52%  4.965          1.3    泰达宏利基金
162205  泰达预算            1.031  1.032  -0.09%  2.986          1.7    泰达宏利基金
162207  泰达效率            1.243  1.242    0.12%  2.991          6.2    泰达宏利基金
162208  泰达首选            1.139  1.146  -0.60%  1.859          3.2    泰达宏利基金
162209  泰达市值            0.770  0.776  -0.77%  0.770        13.1    泰达宏利基金
162210  泰达集利A          1.321  1.322  -0.08%  1.777        12.9    泰达宏利基金
162211  泰达品质            0.684  0.688  -0.58%  1.144          0.3    泰达宏利基金
162212  泰达红利            1.007  1.016  -0.88%  1.577          1.4    泰达宏利基金
162213  泰达300增强A    1.414  1.411    0.24%  1.854          1.5    泰达宏利基金
162214  泰达中小盘        0.890  0.894  -0.44%  0.890          1.1    泰达宏利基金
162215  泰达聚利            1.025  1.033  -0.77%  1.559          0.3    泰达宏利基金
162216  泰达中证500      0.843  0.850  -0.81%  2.021          1.9    泰达宏利基金
162307  海富100              1.297  1.292    0.38%  1.297          0.7    海富通基金    
162412  医疗分级            0.884  0.899  -1.59%  0.363          2.8    华宝基金        
162413  1000分级            0.795  0.806  -1.40%  0.333          0.6    华宝基金        
162414  新机遇A              1.190  1.190  -0.05%  1.190          0.9    华宝基金        
162416  香港本地            1.018  1.024  -0.62%  1.018          0.1    华宝基金        
162509  双禧100              0.938  0.935    0.32%  1.299          0.2    国联安基金    
162510  国安双力            0.819  0.824  -0.60%  1.607          0.0    国联安基金    
162511  国安双佳            0.849  0.849    0.00%  1.190        16.2    国联安基金    
162605  景顺鼎益            1.587  1.594  -0.43%  4.315        27.8    景顺长城基金
162607  景顺资源            0.465  0.466  -0.21%  3.011        42.3    景顺长城基金
162703  广发小盘            1.354  1.360  -0.45%  3.692        18.9    广发基金        
162711  广发500LA          1.064  1.076  -1.06%  1.064        38.4    广发基金        
162712  广发聚利(LOF)A1.435  1.434    0.01%  1.813        18.4    广发基金        
162714  深100基              1.041  1.043  -0.19%  1.235          0.3    广发基金        
162715  广发聚源债A      1.116  1.116    0.00%  1.214        36.9    广发基金        
162717  再融资                0.917  0.919  -0.21%  0.917          0.1    广发基金        
162718  广发鑫瑞            0.952  0.957  -0.48%  0.952          0.1    广发基金        
162907  泰信400              0.948  0.957  -0.94%  1.428          0.4    泰信基金        
163001  长信医疗            0.924  0.932  -0.85%  1.464          1.0    长信基金管理
163003  长信利鑫C          0.631  0.633  -0.20%  1.063          4.2    长信基金管理
163005  长信利众C          0.872  0.874  -0.18%  1.082          2.8    长信基金管理
163008  长信利鑫A          0.642  0.643  -0.20%  1.074          4.1    长信基金管理
163109  申万深成            0.487  0.490  -0.67%  0.687          1.9    申万菱信基金
163110  申万量化            1.554  1.566  -0.74%  2.500          0.2    申万菱信基金
163111  申万中小            0.858  0.862  -0.49%  1.657          0.4    申万菱信基金
163113  申万证券            0.851  0.851    0.03%  1.867        21.1    申万菱信基金
163114  申万环保            0.993  1.022  -2.78%  1.339          2.3    申万菱信基金
163115  申万军工            1.003  1.016  -1.32%  1.367        10.2    申万菱信基金
163116  申万电子            0.808  0.808    0.03%  0.561          1.3    申万菱信基金
163118  医药生物            0.798  0.803  -0.57%  0.864          4.8    申万菱信基金
163119  申万健康            0.772  0.779  -1.00%  0.772          0.0    申万菱信基金
163210  诺安纯债A          1.011  1.011    0.00%  1.565          4.1    诺安基金        
163302  大摩资源            1.018  1.026  -0.76%  3.845          5.8    摩根士丹利华
163402  兴全趋势            0.730  0.734  -0.55%  9.408      225.3    兴全基金
163406  兴全合润            0.953  0.958  -0.56%  3.623        38.4    兴全基金
163407  兴全300              1.850  1.849    0.03%  1.850        14.9    兴全基金
163409  兴全绿色            1.552  1.564  -0.76%  2.232          0.2    兴全基金
163411  兴全精选            1.583  1.591  -0.47%  1.838          5.6    兴全基金
163412  兴全轻资            3.165  3.163    0.06%  4.229          0.8    兴全基金
163415  兴全模式            1.727  1.740  -0.74%  2.587          0.2    兴全基金
163417  兴全合宜            0.999  1.002  -0.28%  0.999      327.0    兴全基金
163503  天治核心            0.390  0.389    0.07%  2.176        11.3    天治基金        
163801  中银中国            1.181  1.187  -0.51%  4.099        10.5    中银基金        
163803  中银增长A          0.363  0.363  -0.22%  3.481        45.5    中银基金        
163804  中银收益A          1.209  1.218  -0.74%  3.054        10.6    中银基金        
163805  中银策略            0.993  0.994  -0.12%  2.304          5.8    中银基金        
163806  中银增利            1.054  1.055  -0.09%  1.673        21.3    中银基金        
163807  中银优选            1.043  1.051  -0.74%  2.045          2.6    中银基金        
163808  中银100              1.359  1.353    0.44%  1.369          2.5    中银基金        
163809  中银蓝筹            1.265  1.275  -0.78%  1.285          2.2    中银基金        
163810  中银价值            1.424  1.425  -0.07%  1.444          1.2    中银基金        
163811  中银双利A          1.244  1.248  -0.32%  1.566        15.0    中银基金        
163816  中银转债A          1.885  1.902  -0.89%  1.885          0.6    中银基金        
163818  中银中小盘        1.162  1.176  -1.19%  1.162          0.3    中银基金        
163819  中银信用            1.036  1.037  -0.09%  1.532          0.5    中银基金        
163821  中银300E            1.280  1.285  -0.38%  1.280          0.0    中银基金        
163822  中银主题            1.433  1.437  -0.27%  1.533          1.1    中银基金        
163823  中银稳健策略    1.097  1.098  -0.05%  1.689          4.1    中银基金        
163824  中银盛利            1.056  1.057  -0.09%  1.401          0.0    中银基金        
163827  中银产债            1.061  1.064  -0.28%  1.223          0.1    中银基金        
163907  中海惠裕            0.926  0.925    0.10%  1.387          0.0    中海基金        
164105  华富强债            1.347  1.349  -0.14%  1.798          3.1    华富基金        
164205  天弘文化新兴    1.357  1.364  -0.57%  1.577          0.5    天弘基金        
164206  天弘添利(LOF)  1.105  1.108  -0.27%  1.598          1.0    天弘基金        
164208  天弘丰利            1.041  1.041    0.02%  1.759          0.0    天弘基金        
164210  天弘同利            1.073  1.074  -0.09%  1.582          0.0    天弘基金        
164304  新华环保            1.122  1.136  -1.23%  0.796          0.4    新华基金管理
164401  前海中证健康    0.913  0.915  -0.21%  1.028          0.3    前海开源基金
164402  前海中航军工    0.966  0.978  -1.22%  0.680          3.2    前海开源基金
164403  农业精选            1.155  1.160  -0.43%  1.175          0.0    前海开源基金
164508  国富100              0.987  0.982    0.50%  1.085          0.4    国海富兰克林
164509  国富恒利            0.958  0.959  -0.08%  1.570          0.0    国海富兰克林
164510  恒利C                  1.032  1.033  -0.08%  1.204          0.0    国海富兰克林
164606  信用增利            1.125  1.125    0.02%  1.319          0.0    华泰柏瑞基金
164702  添富季红            1.043  1.043    0.00%  1.463          3.1    汇添富基金管
164703  添富纯债            0.871  0.872  -0.11%  1.629          0.0    汇添富基金管
164705  添富恒生            1.154  1.155  -0.08%  1.277          0.9    汇添富基金管
164808  工银四季            1.062  1.063  -0.01%  1.620          0.1    工银瑞信基金
164809  工银500              1.018  1.030  -1.09%  1.181          1.6    工银瑞信基金
164810  工银纯债            1.025  1.025    0.00%  1.306          2.1    工银瑞信基金
164811  京津冀                1.016  1.014    0.13%  1.501          0.2    工银瑞信基金
164814  工银双债            0.992  0.997  -0.50%  1.407          0.0    工银瑞信基金
164818  工银传媒            0.881  0.894  -1.48%  0.254          0.5    工银瑞信基金
164819  环保母基            0.733  0.742  -1.21%  0.539          0.2    工银瑞信基金
164820  高铁母基            1.033  1.038  -0.49%  0.450          0.2    工银瑞信基金
164821  新能母基            0.788  0.801  -1.61%  0.571          0.2    工银瑞信基金
164902  交银添利            1.264  1.264    0.00%  1.605        18.0    交银施罗德基
164905  交银新能源        0.907  0.924  -1.83%  0.616          2.6    交银施罗德基
164907  E金融                  0.812  0.819  -0.85%  0.562          0.7    交银施罗德基
164908  环境治理            0.531  0.568  -6.56%  0.531          1.8    交银施罗德基
164908  环境治理            0.531  0.529    0.37%  0.531          1.8    交银施罗德基
165309  建信300              1.163  1.162    0.08%  1.163          4.8    建信基金管理
165310  建信双利            1.427  1.424    0.21%  1.608          0.8    建信基金管理
165311  建信信用增强A  1.309  1.308    0.07%  1.460          0.3    建信基金管理
165312  建信央视50        0.825  0.824    0.16%  2.015        14.5    建信基金管理
165313  建信优势(LOF)  1.336  1.335    0.07%  1.336          0.6    建信基金管理
165317  建信丰裕            1.027  1.025    0.17%  1.027          2.6    建信基金管理
165508  信诚深度            1.551  1.553  -0.12%  1.551          0.3    中信保诚基金
165509  信诚增强            1.125  1.127  -0.17%  1.630          0.2    中信保诚基金
165511  信诚500              1.003  1.013  -0.98%  1.685          1.0    中信保诚基金
165512  信诚机遇            1.812  1.808    0.22%  2.412          0.0    中信保诚基金
165515  信诚300              0.832  0.830    0.24%  1.523          1.3    中信保诚基金
165516  信诚周期            1.922  1.929  -0.36%  2.436          0.0    中信保诚基金
165517  信诚双盈(LOF)  0.810  0.811  -0.12%  1.210          0.0    中信保诚基金
165519  信诚医药            0.789  0.790  -0.12%  1.446          1.2    中信保诚基金
165520  信诚有色            0.847  0.859  -1.39%  1.113          1.2    中信保诚基金
165521  信诚金融份额    0.998  0.996    0.20%  1.702          0.5    中信保诚基金
165522  信诚TMT              0.975  0.984  -0.91%  1.412          1.1    中信保诚基金
165523  信息安全            1.175  1.178  -0.25%  0.498          1.2    中信保诚基金
165524  智能家居            1.056  1.063  -0.65%  0.425          0.4    中信保诚基金
165525  基建工程            0.770  0.772  -0.25%  0.778          0.3    中信保诚基金
165526  信诚新旺混合A  1.196  1.195    0.08%  1.196          0.1    中信保诚基金
165528  信诚鼎利            0.834  0.836  -0.23%  0.834          0.6    中信保诚基金
165530  信诚惠泽定开    1.026  1.025    0.02%  1.128        15.0    中信保诚基金
165531  信诚策略            0.900  0.899    0.06%  0.909          0.7    中信保诚基金
165707  诺德S300            0.753  0.760  -0.92%  1.595          0.0    诺德基金        
165806  东吴沪深300A    1.098  1.097    0.10%  1.098          0.1    东吴基金        
165807  东吴鼎利            0.904  0.903    0.11%  1.200          0.0    东吴基金        
165809  东吴转债            1.010  1.017  -0.68%  0.880          0.1    东吴基金        
166001  中欧趋势A          1.138  1.129    0.82%  1.983        16.3    中欧基金        
166002  中欧蓝筹A          1.241  1.233    0.68%  2.818        44.6    中欧基金        
166005  中欧价值A          1.491  1.498  -0.48%  2.528        69.5    中欧基金        
166006  中欧成长A          1.067  1.068  -0.12%  1.433        48.8    中欧基金        
166007  中欧互通A          1.322  1.321    0.07%  1.367          0.6    中欧基金        
166008  中欧强债A          1.080  1.080    0.00%  1.547        32.2    中欧基金        
166009  中欧动力A          1.579  1.597  -1.10%  2.621          4.3    中欧基金        
166010  中欧鼎利            1.065  1.065  -0.01%  1.466          0.4    中欧基金        
166011  中欧盛世成长A  1.211  1.218  -0.57%  2.440          4.9    中欧基金        
166012  中欧信用C(LOF)1.087  1.086    0.03%  1.277          2.0    中欧基金        
166016  中欧纯债C          1.189  1.188    0.08%  1.412          0.5    中欧基金        
166019  中欧智选A          1.867  1.874  -0.38%  2.187          1.7    中欧基金        
166020  中欧优选A          1.026  1.033  -0.63%  1.360          0.8    中欧基金        
166023  中欧瑞丰A          1.081  1.072    0.83%  1.081        11.7    中欧基金        
166024  中欧恒利            0.919  0.921  -0.30%  0.919        74.4    中欧基金        
166025  中欧远见A          0.985  0.986  -0.15%  0.985        32.2    中欧基金        
166105  信达鑫安            0.908  0.918  -1.08%  1.057          0.0    信达澳银基金
166301  华商新趋势        2.696  2.705  -0.33%  2.696          0.4    华商基金        
166401  增利C                  1.107  1.107    0.00%  1.142          7.4    浦银安盛基金
166402  沪港深F              1.053  1.052    0.12%  1.053          0.1    浦银安盛基金
166801  浙商新思维        1.643  1.658  -0.90%  2.529          1.9    浙商基金        
166802  浙商300              1.183  1.183  -0.01%  1.338          0.5    浙商基金        
166902  民生增利A          1.050  1.050    0.03%  1.476        28.8    民生加银基金
166904  民生添利A          1.042  1.042    0.00%  1.451        17.9    民生加银基金
167001  平安鼎泰            0.669  0.676  -1.03%  0.669          3.8    平安基金        
167002  平安鼎越            0.886  0.894  -0.86%  0.886          0.0    平安基金        
167003  平安鼎弘            1.066  1.072  -0.57%  1.066          0.9    平安基金        
167301  保险分级            1.290  1.287    0.23%  1.380          3.1    方正富邦基金
167501  安信宝利(LOF)  1.170  1.170    0.00%  1.444          0.9    安信基金管理
167503  安信一带一路    1.055  1.059  -0.37%  0.362          0.6    安信基金管理
167601  国金300增强      0.909  0.909    0.09%  0.909          0.2    国金基金        
167702  量化优选            1.124  1.129  -0.44%  1.124          0.5    德邦基金        
167705  量化新锐            0.877  0.887  -1.11%  0.877          1.4    德邦基金        
168001  国寿养老增强    0.873  0.879  -0.71%  0.672                    国寿安保基金
168002  国寿精选            1.095  1.100  -0.38%  1.095          0.9    国寿安保基金
168101  九泰锐智            1.044  1.049  -0.47%  1.281          3.6    九泰基金        
168102  九泰锐富            1.002  1.021  -1.86%  1.008          6.3    九泰基金        
168103  九泰锐益            0.960  0.968  -0.82%  0.960        22.4    九泰基金        
168104  九泰锐丰A          1.161  1.172  -0.88%  1.189          8.8    九泰基金        
168105  九泰泰富            0.928  0.930  -0.19%  0.928          3.4    九泰基金        
168106  盈华A                  0.907  0.908  -0.05%  0.907          1.3    九泰基金        
168108  九泰锐诚            1.071  1.076  -0.47%  1.128          0.5    九泰基金        
168201  中融一带一路    0.957  0.961  -0.41%  0.432          0.6    中融基金        
168203  钢铁母基            0.943  0.946  -0.31%  0.391          0.4    中融基金        
168204  煤炭母基            0.917  0.937  -2.13%  0.663          1.9    中融基金        
168205  银行母基            0.858  0.855    0.35%  0.957          0.1    中融基金        
168301  东海祥龙            0.955  0.962  -0.67%  0.955          1.1    东海基金管理
168401  红土精选            1.084  1.090  -0.55%  1.084          0.5    红土创新基金
168501  北信产业升级    0.910  0.925  -1.59%  0.910          0.7    北信瑞丰基金
169101  东证睿丰            1.332  1.331    0.07%  2.234        84.2    上海东方证券
169102  东证睿阳            1.051  1.051    0.00%  1.777          3.5    上海东方证券
169103  东证睿轩            1.171  1.172  -0.05%  1.509          0.2    上海东方证券
169104  东证睿满            1.211  1.214  -0.24%  1.562        11.4    上海东方证券
169105  东证睿华            1.197  1.191    0.46%  1.558        63.7    上海东方证券
169106  东证创优            1.043  1.043    0.00%  1.093        19.9    上海东方证券
169201  浙商鼎盈            1.029  1.027    0.21%  1.029          0.0    浙江浙商证券
180001  银华优势            1.090  1.109  -1.75%  2.947          6.9    银华基金管理
180002  银华保本            1.013  1.013    0.01%  1.059          5.2    银华基金管理
180003  银华88A              1.142  1.141    0.06%  2.957        18.7    银华基金管理
180010  银华优质            1.331  1.331  -0.02%  3.866        25.9    银华基金管理
180012  银华富裕            2.925  2.924    0.03%  3.878        23.2    银华基金管理
180013  银华领先            1.358  1.356    0.14%  2.559          6.6    银华基金管理
180015  银华强债            1.175  1.175    0.00%  1.683          1.6    银华基金管理
180018  银华和谐            2.123  2.132  -0.42%  2.203          1.3    银华基金管理
180020  银华成长            1.003  1.026  -2.24%  1.028          1.3    银华基金管理
180025  银华信债A          1.137  1.137    0.00%  1.502          1.5    银华基金管理
180028  银华永祥混合    0.967  0.970  -0.30%  1.599          0.8    银华基金管理
180031  银华中小盘        2.210  2.228  -0.80%  3.730        12.9    银华基金管理
180033  上证50ETF联接  1.173  1.167    0.51%  1.173          0.8    银华基金管理
200001  长城久恒            1.186  1.196  -0.88%  2.628          0.7    长城基金        
200002  长城久泰A          1.601  1.605  -0.23%  4.461          5.0    长城基金        
200006  长城消费            0.913  0.920  -0.69%  2.353        18.1    长城基金        
200007  长城回报            0.980  0.981  -0.13%  2.516        16.0    长城基金        
200008  长城品牌            1.329  1.333  -0.24%  1.419        26.8    长城基金        
200009  长城债券            1.162  1.163  -0.06%  1.567          0.1    长城基金        
200010  长城动力            1.131  1.141  -0.88%  1.836          2.5    长城基金        
200011  长城景气            0.918  0.922  -0.40%  0.943          0.5    长城基金        
200012  长城中小盘        1.342  1.352  -0.74%  1.342          1.2    长城基金        
200013  长城积极A          1.205  1.205    0.02%  1.580        13.5    长城基金        
200015  长城优化            1.767  1.782  -0.85%  1.882          0.4    长城基金        
200016  长城稳健成长    1.097  1.105  -0.76%  1.689          1.4    长城基金        
202001  南方稳健            1.215  1.215    0.00%  3.150        13.7    南方基金管理
202002  南稳贰号            0.417  0.417    0.00%  2.262        36.4    南方基金管理
202003  南方绩优A          1.009  1.015  -0.56%  2.989        46.2    南方基金管理
202005  南方成份A          0.832  0.831    0.09%  1.718        47.8    南方基金管理
202007  南方隆元            0.844  0.848  -0.47%  0.844        25.2    南方基金管理
202009  南方盛元            0.741  0.742  -0.13%  1.311        10.4    南方基金管理
202011  南方价值A          1.053  1.056  -0.28%  2.834        12.7    南方基金管理
202015  南方300联接A    1.361  1.360    0.08%  1.522          9.7    南方基金管理
202017  南方深成A          0.748  0.753  -0.69%  0.748          3.6    南方基金管理
202019  南方策略            1.173  1.183  -0.84%  1.193          5.3    南方基金管理
202021  南方小康A          1.175  1.171    0.36%  1.195          5.6    南方基金管理
202023  南方成长A          2.511  2.523  -0.47%  2.511          4.0    南方基金管理
202025  南方380              1.285  1.297  -0.86%  1.285          1.4    南方基金管理
202027  南方高端装备A  1.386  1.397  -0.78%  1.761          2.3    南方基金管理
202101  南方宝元A          2.071  2.071    0.02%  3.491          8.3    南方基金管理
202102  南方多利C          1.101  1.101  -0.03%  1.689        24.7    南方基金管理
202105  南方广利A/B      1.270  1.271  -0.07%  1.450          3.2    南方基金管理
202108  南方润元A/B      1.301  1.300    0.07%  1.331          3.0    南方基金管理
202211  南方100A            1.063  1.059    0.39%  1.537          1.6    南方基金管理
202212  南方平衡混合    1.351  1.356  -0.39%  1.466          1.8    南方基金管理
202213  南方核心竞争    1.029  1.030  -0.05%  1.579          2.0    南方基金管理
206001  鹏华弘泰灵活    1.095  1.095    0.03%  5.452        16.7    鹏华基金        
206002  鹏华精选            1.249  1.262  -1.03%  1.249          1.1    鹏华基金        
206003  鹏华信用增利A  1.313  1.312    0.05%  1.532          5.9    鹏华基金        
206005  鹏华50ETF联接  1.350  1.357  -0.51%  1.350          0.5    鹏华基金        
206007  鹏华优选            2.230  2.236  -0.26%  2.230          4.4    鹏华基金        
206008  鹏华丰盛            1.149  1.149    0.00%  1.433        28.8    鹏华基金        
206009  鹏华产业            2.035  2.051  -0.78%  2.412        14.3    鹏华基金        
206010  民营ETF联接      1.042  1.046  -0.39%  1.042          0.4    鹏华基金        
206012  鹏华价值精选    1.217  1.215    0.16%  1.217          0.4    鹏华基金        
206013  鹏华宏观混合    1.050  1.046    0.38%  1.463          0.5    鹏华基金        
206015  鹏华纯债            1.042  1.042    0.00%  1.403          0.6    鹏华基金        
206018  鹏华产业债券    1.132  1.132    0.00%  1.460        13.7    鹏华基金        
210001  金鹰优选            0.821  0.821  -0.04%  2.716          3.8    金鹰基金        
210002  金鹰红利            1.084  1.089  -0.50%  2.282          1.3    金鹰基金        
210003  金鹰行业            1.093  1.110  -1.53%  1.483          1.5    金鹰基金        
210004  金鹰稳健            1.170  1.184  -1.18%  1.900          9.6    金鹰基金        
210005  金鹰主题            1.365  1.381  -1.15%  1.365          3.7    金鹰基金        
210006  金鹰元禧A          1.109  1.109    0.03%  1.302          0.3    金鹰基金        
210007  金鹰技术领先A  0.705  0.709  -0.56%  1.025          0.6    金鹰基金        
210008  金鹰策略            0.984  0.997  -1.33%  1.584          0.5    金鹰基金        
210009  金鹰核心            0.810  0.817  -0.85%  0.910        11.0    金鹰基金        
210010  金鹰灵活A          1.200  1.201  -0.09%  1.467          0.6    金鹰基金        
210014  金鹰元丰            1.037  1.046  -0.84%  1.270          0.6    金鹰基金        
213001  宝盈鸿利收益    0.987  0.999  -1.20%  3.094          4.5    宝盈基金        
213002  宝盈区域            0.611  0.614  -0.58%  2.256        17.4    宝盈基金        
213003  宝盈策略            0.758  0.769  -1.39%  1.658        21.4    宝盈基金        
213006  宝盈核心A          0.859  0.872  -1.41%  2.019        11.2    宝盈基金        
213007  宝盈增收A/B      1.163  1.163  -0.02%  1.745          0.8    宝盈基金        
213008  宝盈资源            1.285  1.287  -0.17%  2.194        15.7    宝盈基金        
213010  宝盈100              1.439  1.433    0.41%  1.439          1.5    宝盈基金        
217001  招商偏股            0.352  0.353  -0.22%  3.719        13.3    招商基金        
217002  招商平衡            1.017  1.016    0.12%  2.944          0.4    招商基金        
217003  招商债券A          1.174  1.174    0.00%  2.040          2.6    招商基金        
217005  招商先锋            1.047  1.054  -0.70%  3.002        15.8    招商基金        
217008  招商安本            1.307  1.308  -0.05%  1.927          1.5    招商基金        
217009  招商价值            1.094  1.101  -0.67%  1.214          8.6    招商基金        
217010  招商蓝筹            1.428  1.438  -0.69%  2.141          2.8    招商基金        
217011  招商安心            1.515  1.515    0.00%  1.862        30.1    招商基金        
217012  招商行业A          1.170  1.179  -0.76%  1.470          3.1    招商基金        
217013  招商中小盘        1.358  1.363  -0.36%  1.358          1.1    招商基金        
217016  招商深证100A    1.252  1.255  -0.19%  1.252          0.7    招商基金        
217017  消费ETF联接A    1.491  1.486    0.28%  1.491          0.9    招商基金        
217018  招商安瑞            1.697  1.698  -0.05%  1.697          0.3    招商基金        
217019  深TMT联接A        1.146  1.147  -0.03%  1.146          1.9    招商基金        
217020  招商安达混合    1.200  1.203  -0.19%  1.498          1.3    招商基金        
217021  招商优势            2.046  2.043    0.14%  2.046          0.3    招商基金        
217022  招商产业债A      1.413  1.412    0.07%  1.653        31.9    招商基金        
217023  招商信用增强    1.009  1.009    0.00%  1.398          1.2    招商基金        
217024  招商安盈            1.114  1.115  -0.06%  1.467          1.8    招商基金        
217027  招商50指数A      1.899  1.894    0.23%  1.899          2.3    招商基金        
229002  泰达逆向            1.442  1.453  -0.75%  2.302          2.9    泰达宏利基金
233001  大摩基础            0.944  0.946  -0.24%  2.489          1.1    摩根士丹利华
233005  大摩强收益债券1.814  1.815  -0.07%  1.849        29.0    摩根士丹利华
233006  大摩领先            1.817  1.827  -0.54%  1.817          2.1    摩根士丹利华
233007  大摩卓越            2.132  2.137  -0.24%  2.504          2.2    摩根士丹利华
233008  大摩消费            0.654  0.656  -0.22%  0.654          1.7    摩根士丹利华
233009  大摩策略            1.041  1.054  -1.23%  2.058        15.5    摩根士丹利华
233010  大摩深证300      1.322  1.329  -0.52%  1.322          0.4    摩根士丹利华
233011  大摩主题            1.895  1.902  -0.36%  2.375          1.6    摩根士丹利华
233012  大摩多元A          1.818  1.817    0.05%  1.818          4.1    摩根士丹利华
233015  大摩量化            1.471  1.471    0.00%  1.871          4.1    摩根士丹利华
240001  宝康消费            2.268  2.299  -1.33%  6.707          4.3    华宝基金        
240002  宝康配置            1.839  1.841  -0.08%  3.639          1.7    华宝基金        
240003  宝康债券            1.285  1.285    0.03%  2.133        13.9    华宝基金        
240004  华宝动力            1.224  1.233  -0.73%  3.734          6.8    华宝基金        
240005  华宝策略            0.447  0.448  -0.37%  4.387        28.7    华宝基金        
240008  华宝收益            4.649  4.662  -0.27%  4.649          1.8    华宝基金        
240009  华宝先进            2.637  2.658  -0.78%  2.905          3.2    华宝基金        
240010  华宝精选            1.016  1.026  -1.03%  1.016        15.7    华宝基金        
240011  华宝大盘            1.635  1.648  -0.81%  1.920          0.5    华宝基金        
240012  华宝强债A          1.161  1.161    0.00%  1.541          1.0    华宝基金        
240014  华宝100A            1.332  1.326    0.44%  1.332          4.1    华宝基金        
240016  华宝180联接      1.741  1.734    0.40%  1.771          0.8    华宝基金        
240017  华宝新产业        1.420  1.429  -0.67%  1.867          2.6    华宝基金        
240018  华宝可转债        0.951  0.959  -0.85%  0.951          0.6    华宝基金        
240019  华宝银行ETF联  1.061  1.056    0.41%  1.626          0.7    华宝基金        
240020  华宝医药            1.754  1.765  -0.62%  2.043          2.5    华宝基金        
240022  华宝资源            1.314  1.326  -0.90%  1.423          2.8    华宝基金        
253010  德盛安心            0.633  0.634  -0.15%  1.912          1.5    国联安基金    
253020  德盛增利A          1.237  1.240  -0.24%  1.482          0.4    国联安基金    
253030  国联安信心        1.106  1.106    0.03%  1.214          0.5    国联安基金    
253060  国联安信心增长1.075  1.075    0.00%  1.247          0.5    国联安基金    
255010  德盛稳健            1.054  1.057  -0.28%  3.203          1.3    国联安基金    
257010  德盛小盘            0.928  0.937  -0.96%  3.629          9.0    国联安基金    
257020  德盛精选            0.607  0.613  -0.97%  3.723        29.9    国联安基金    
257030  德盛优势            1.060  1.065  -0.46%  1.927          2.9    国联安基金    
257040  德盛红利            0.893  0.901  -0.88%  1.846          0.8    国联安基金    
257050  国联安主题        1.307  1.309  -0.15%  1.307          0.7    国联安基金    
257060  商品ETF联接      0.516  0.520  -0.86%  0.516          1.7    国联安基金    
257070  国联安优选        1.270  1.260    0.80%  1.571          4.6    国联安基金    
260101  景顺股票            2.163  2.164  -0.04%  4.599        15.8    景顺长城基金
260103  景顺平衡            1.184  1.187  -0.24%  3.484        12.0    景顺长城基金
260104  景顺增长            6.168  6.208  -0.64%  8.024          2.0    景顺长城基金
260108  景顺成长            1.591  1.596  -0.31%  3.128        43.8    景顺长城基金
260109  景内需贰            1.159  1.164  -0.42%  3.145        22.7    景顺长城基金
260110  景顺蓝筹            1.167  1.170  -0.25%  1.591        32.7    景顺长城基金
260111  景顺治理            1.147  1.153  -0.52%  1.925          0.3    景顺长城基金
260112  景顺能源            1.413  1.418  -0.35%  2.276        19.8    景顺长城基金
260115  景顺中小盘        1.045  1.056  -1.04%  1.605          1.1    景顺长城基金
260116  景顺核心A          2.961  2.973  -0.40%  3.111          7.3    景顺长城基金
260117  景顺产业            1.212  1.217  -0.41%  1.492          0.4    景顺长城基金
261001  景顺收益A          1.072  1.071    0.09%  1.277          3.9    景顺长城基金
261002  景顺优信A          1.434  1.434    0.00%  1.444          0.1    景顺长城基金
270001  广发聚富            0.917  0.916    0.09%  3.733        16.4    广发基金        
270002  广发稳健            1.281  1.282  -0.10%  4.178        43.6    广发基金        
270005  广发聚丰            0.728  0.735  -0.93%  4.123        68.3    广发基金        
270006  广发优选            1.613  1.617  -0.25%  2.873        18.4    广发基金        
270007  广发大盘            1.175  1.177  -0.22%  1.175        21.1    广发基金        
270008  广发核心            2.675  2.670    0.18%  2.885          3.5    广发基金        
270009  广发强债            1.146  1.146    0.00%  1.680        14.6    广发基金        
270010  广发300ETF联接1.709  1.707    0.08%  1.999        12.7    广发基金        
270021  广发聚瑞            1.971  1.983  -0.60%  1.971          5.0    广发基金        
270022  广发内需            0.875  0.879  -0.45%  0.975          3.8    广发基金        
270025  广发领先A          1.113  1.114  -0.08%  1.765        14.1    广发基金        
270026  中小300联接      0.933  0.940  -0.75%  0.933          2.1    广发基金        
270028  广发精选            2.072  2.082  -0.48%  2.072          2.3    广发基金        
270029  广发聚财A          1.156  1.156    0.00%  1.581        23.9    广发基金        
270041  广发消费            2.646  2.654  -0.30%  2.646          2.5    广发基金        
270043  广发年年红        1.042  1.041    0.09%  1.285        25.1    广发基金        
270044  广发双债A          1.219  1.219    0.00%  1.387        63.5    广发基金        
270048  广发纯债A          1.195  1.193    0.16%  1.409          7.7    广发基金        
270050  广发新经济        1.822  1.843  -1.13%  1.822          2.1    广发基金        
288001  华夏经典            0.939  0.937    0.21%  3.329          7.3    华夏基金        
288002  华夏收入            4.233  4.245  -0.28%  5.633          5.7    华夏基金        
288102  华夏稳定双利C  1.057  1.057    0.00%  1.896          3.7    华夏基金        
290002  泰信先行            0.633  0.644  -1.61%  2.450        16.0    泰信基金        
290003  泰信双息            1.043  1.043    0.00%  1.483          0.4    泰信基金        
290004  泰信优质            0.649  0.652  -0.44%  1.463          4.9    泰信基金        
290005  泰信优势            1.090  1.105  -1.35%  1.700          0.5    泰信基金        
290006  泰信蓝筹            0.913  0.925  -1.23%  1.391          1.0    泰信基金        
290007  泰信增强A          1.064  1.065  -0.07%  1.367          0.0    泰信基金        
290008  泰信发展            1.158  1.176  -1.53%  1.597          0.5    泰信基金        
290009  泰信回报            1.203  1.203    0.00%  1.478          0.5    泰信基金        
290010  泰信200              0.903  0.909  -0.66%  0.923          0.5    泰信基金        
290011  泰信中小盘        1.494  1.499  -0.33%  1.754          0.3    泰信基金        
290012  泰信行业A          1.094  1.103  -0.81%  1.414          0.7    泰信基金        
290014  泰信服务业        1.693  1.718  -1.45%  1.753          0.3    泰信基金        
310308  盛利精选            0.912  0.916  -0.38%  2.986          7.1    申万菱信基金
310318  申万沪深300      2.136  2.132    0.15%  2.928          2.3    申万菱信基金
310328  新动力                0.566  0.568  -0.35%  3.008        13.4    申万菱信基金
310358  新经济                0.817  0.823  -0.68%  2.239        10.2    申万菱信基金
310368  申万优势            1.092  1.097  -0.43%  2.108          0.2    申万菱信基金
310388  申万消费            1.349  1.367  -1.31%  1.750          1.0    申万菱信基金
310398  申万300              1.487  1.484    0.18%  1.607          7.1    申万菱信基金
310508  申万稳债            1.211  1.211    0.00%  1.543          0.8    申万菱信基金
310518  申万可转债        1.252  1.256  -0.31%  1.402          0.6    申万菱信基金
320001  诺安平衡            0.923  0.928  -0.52%  3.183        16.0    诺安基金        
320003  诺安先锋混合    1.299  1.304  -0.38%  3.182        24.2    诺安基金        
320004  诺安优化债券    1.091  1.102  -1.00%  1.824          2.9    诺安基金        
320005  诺安价值            1.151  1.163  -1.00%  2.096        13.2    诺安基金        
320006  诺安灵活            1.964  1.976  -0.60%  2.544          7.3    诺安基金        
320007  诺安成长            0.797  0.794    0.37%  1.242        14.7    诺安基金        
320008  诺安增利A          1.299  1.309  -0.76%  1.464          0.2    诺安基金        
320010  诺安100              1.344  1.339    0.37%  1.344          1.3    诺安基金        
320011  诺安中小盘        1.836  1.828    0.43%  2.866          6.8    诺安基金        
320012  诺安主题            1.884  1.890  -0.31%  1.984          0.7    诺安基金        
320014  诺安沪深300增  1.039  1.038    0.17%  1.064          0.5    诺安基金        
320015  诺安行业轮动    1.081  1.076    0.49%  1.081          2.8    诺安基金        
320016  诺安多策略        1.544  1.540    0.25%  1.544          0.3    诺安基金        
320018  诺安新动力        1.808  1.809  -0.05%  1.928          0.3    诺安基金        
320020  诺安策略精选    1.152  1.158  -0.44%  1.680          1.2    诺安基金        
320021  诺安双利            1.960  1.964  -0.20%  1.960          7.2    诺安基金        
320022  诺安研究精选    1.076  1.081  -0.46%  1.869          4.6    诺安基金        
340001  兴全转基            1.072  1.079  -0.65%  3.697        39.5    兴全基金
340006  兴全全球            1.568  1.575  -0.43%  4.314          8.5    兴全基金
340007  兴全社会            3.017  3.013    0.13%  3.207        20.3    兴全基金
340008  兴全有机            2.236  2.243  -0.32%  3.056        17.3    兴全基金
340009  兴全增利            1.315  1.317  -0.15%  1.715        21.9    兴全基金
350001  天治财富            1.184  1.195  -0.88%  3.030          0.6    天治基金        
350002  天治低碳            0.595  0.594    0.25%  3.120          0.4    天治基金        
350005  天治中国制造202.038  2.039  -0.04%  2.038          0.2    天治基金        
350006  天治稳健            1.732  1.732    0.01%  1.941          8.5    天治基金        
350007  天治趋势            0.804  0.803    0.12%  0.804          0.2    天治基金        
350008  天治新消费        1.354  1.351    0.22%  1.354          0.1    天治基金        
350009  天治研究驱动A  1.255  1.252    0.23%  1.424          0.2    天治基金        
360001  量化核心            1.113  1.113  -0.01%  3.156        20.7    光大保德信基
360005  光大红利            1.841  1.851  -0.59%  4.383          3.2    光大保德信基
360006  光大增长            1.076  1.081  -0.42%  3.041          1.9    光大保德信基
360007  光大优势            0.840  0.839    0.07%  1.299        41.9    光大保德信基
360008  光大增利A          1.133  1.133    0.00%  1.434          1.1    光大保德信基
360010  光大精选            1.079  1.079    0.00%  1.699          1.3    光大保德信基
360011  光大配置            0.985  0.983    0.20%  1.920          2.8    光大保德信基
360012  光大中小盘        1.086  1.087  -0.10%  1.634          5.0    光大保德信基
360013  光大信用A          1.038  1.038    0.00%  1.403          0.2    光大保德信基
360016  光大行业            0.914  0.919  -0.54%  1.764          1.0    光大保德信基
370021  上投添利A          1.092  1.091    0.09%  1.405          0.5    上投摩根基金
370023  上投中证            1.486  1.488  -0.13%  1.666          0.2    上投摩根基金
370024  上投优选            2.274  2.289  -0.65%  2.489          5.6    上投摩根基金
370027  上投智选30        1.656  1.662  -0.36%  1.656          2.1    上投摩根基金
371020  上投债券A          1.254  1.256  -0.15%  1.483          9.4    上投摩根基金
372010  上投回报A          1.347  1.349  -0.14%  1.397          0.1    上投摩根基金
373010  上投双息A          0.694  0.696  -0.30%  2.788        20.8    上投摩根基金
373020  上投双核            1.534  1.541  -0.44%  2.154          1.4    上投摩根基金
375010  上投优势            0.983  0.991  -0.82%  5.035        11.0    上投摩根基金
376510  上投大盘            1.567  1.569  -0.12%  1.567          1.8    上投摩根基金
377010  上投α                2.664  2.661    0.11%  4.584          5.4    上投摩根基金
377020  上投内需            0.732  0.738  -0.82%  1.484        36.6    上投摩根基金
377150  上投品质            2.095  2.116  -0.99%  2.095          0.5    上投摩根基金
377240  上投新兴A          2.464  2.491  -1.08%  2.464        13.0    上投摩根基金
377530  上投行业A          1.522  1.535  -0.84%  1.877          3.9    上投摩根基金
378010  上投先锋            1.131  1.133  -0.16%  2.143        28.5    上投摩根基金
379010  上投中小盘        1.700  1.715  -0.87%  1.828          2.7    上投摩根基金
380005  中银纯债A          1.068  1.067    0.09%  1.339        78.3    中银基金        
380009  中银添利债券A  1.278  1.279  -0.07%  1.580        21.2    中银基金        
393001  中海优势精选    1.052  1.053  -0.09%  1.117          0.7    中海基金        
395001  中海收益            1.085  1.085    0.00%  1.675          0.6    中海基金        
395011  中海强债A          1.142  1.144  -0.17%  1.322          0.7    中海基金        
398001  中海成长            0.396  0.397  -0.40%  3.192        31.7    中海基金        
398011  中海分红            0.727  0.727    0.04%  2.127          5.8    中海基金        
398021  中海能源            0.673  0.692  -2.74%  0.983        17.2    中海基金        
398031  中海蓝筹            0.727  0.727    0.05%  1.932          1.1    中海基金        
398041  中海量化            0.806  0.811  -0.61%  1.343          3.0    中海基金        
398051  中海环保新能源0.846  0.859  -1.51%  0.846          0.8    中海基金        
398061  中海消费            2.433  2.435  -0.08%  2.643          1.5    中海基金        
399001  中海50                1.253  1.247    0.48%  1.253          1.5    中海基金        
399011  中海医疗保健    1.546  1.546    0.00%  2.306          9.4    中海基金        
400001  东方龙                0.915  0.914    0.05%  2.926          3.8    东方基金管理
400003  东方精选            1.288  1.287    0.05%  4.088        12.0    东方基金管理
400007  东方策略            2.470  2.475  -0.20%  2.470          1.5    东方基金管理
400009  东方稳健            1.173  1.175  -0.17%  1.339          0.2    东方基金管理
400011  东方核心            1.354  1.355  -0.02%  1.354          0.3    东方基金管理
400013  东方成长收益    1.104  1.104    0.00%  1.430          1.0    东方基金管理
400015  东方新能源汽车1.028  1.033  -0.39%  1.488          0.3    东方基金管理
400016  东方强化            1.123  1.122    0.08%  1.403          3.2    东方基金管理
400020  东方安心收益    1.023  1.023    0.00%  1.382          6.3    东方基金管理
400023  东方多策略A      1.166  1.166    0.00%  1.336          5.4    东方基金管理
400025  东方新兴成长    1.584  1.582    0.12%  1.584          1.1    东方基金管理
400027  东方双债A          1.283  1.283  -0.03%  1.509          4.1    东方基金管理
400030  东方添益            1.106  1.106    0.03%  1.239        29.0    东方基金管理
400032  东方主题精选    0.542  0.543  -0.18%  0.542          1.8    东方基金管理
410001  华富优选            1.018  1.024  -0.64%  2.605          5.5    华富基金        
410003  华富成长            0.855  0.859  -0.55%  1.145          5.5    华富基金        
410004  华富收益增强A  1.555  1.556  -0.03%  2.188          6.4    华富基金        
410006  华富策略            1.205  1.206  -0.09%  1.365          0.1    华富基金        
410007  华富价值增长    1.053  1.062  -0.80%  1.853          0.5    华富基金        
410008  华富100              1.357  1.351    0.41%  1.357          0.8    华富基金        
410009  华富生命力        0.854  0.856  -0.29%  0.854          0.6    华富基金        
410010  华富中小板        1.013  1.018  -0.48%  1.013          0.2    华富基金        
420001  天弘精选            0.723  0.724  -0.15%  2.027        16.4    天弘基金        
420002  天弘永利A          1.064  1.063    0.01%  1.550          1.8    天弘基金        
420003  天弘永定            1.920  1.960  -2.08%  2.255          6.3    天弘基金        
420005  天弘周期            1.197  1.197    0.00%  1.568          0.9    天弘基金        
420008  天弘债券发起A  1.065  1.065    0.00%  1.250          2.9    天弘基金        
420009  天弘安康颐养    1.560  1.561  -0.06%  1.560          5.6    天弘基金        
450001  国富收益            0.925  0.928  -0.34%  2.781          3.1    国海富兰克林
450002  国富弹性            1.016  1.024  -0.81%  3.570        43.0    国海富兰克林
450003  国富潜力A-人民1.254  1.257  -0.23%  2.094        11.0    国海富兰克林
450004  国富价值            1.102  1.105  -0.27%  1.572          1.1    国海富兰克林
450005  国富强债A          1.157  1.159  -0.22%  1.703          8.6    国海富兰克林
450007  国富成长            1.263  1.268  -0.41%  1.442          0.6    国海富兰克林
450008  国富300              1.038  1.038    0.00%  1.381          1.5    国海富兰克林
450009  国富中小盘        1.664  1.684  -1.18%  2.337        13.5    国海富兰克林
450010  国富策略            1.188  1.194  -0.50%  1.188          0.4    国海富兰克林
450011  国富精选            1.508  1.513  -0.33%  1.508          0.4    国海富兰克林
450018  国富恒久A          1.199  1.200  -0.12%  1.399          0.7    国海富兰克林
460001  华泰盛世            0.409  0.412  -0.70%  3.088        29.9    华泰柏瑞基金
460002  华泰成长A          1.039  1.043  -0.46%  1.485          7.7    华泰柏瑞基金
460005  华泰价值            2.164  2.183  -0.90%  3.210          2.3    华泰柏瑞基金
460007  华泰行业            1.659  1.672  -0.77%  1.659          1.2    华泰柏瑞基金
460008  华泰收益A          1.209  1.208    0.04%  1.419        13.5    华泰柏瑞基金
460009  华泰先行            1.272  1.283  -0.85%  1.819        27.4    华泰柏瑞基金
460220  中小ETF联接      1.006  1.013  -0.62%  1.006          0.6    华泰柏瑞基金
460300  华泰300ETF联接1.221  1.220    0.09%  1.627          6.2    华泰柏瑞基金
470006  添富医保A          1.336  1.342  -0.44%  1.637        16.6    汇添富基金管
470007  添富指数            0.994  0.995  -0.10%  1.130        13.9    汇添富基金管
470008  添富回报            1.568  1.587  -1.19%  1.698          6.8    汇添富基金管
470009  添富活力A          2.692  2.712  -0.73%  2.942        14.6    汇添富基金管
470010  添富多元A          1.203  1.210  -0.57%  1.607          1.5    汇添富基金管
470018  汇添富双利债券1.637  1.638  -0.06%  1.637          0.6    汇添富基金管
470021  添富优选回报A  1.049  1.058  -0.85%  1.049          0.1    汇添富基金管
470028  添富责任            1.392  1.393  -0.07%  1.392        19.6    汇添富基金管
470058  添富转债A          1.331  1.342  -0.81%  1.543          6.0    汇添富基金管
470068  深证300ETF联接1.209  1.216  -0.55%  1.209          0.7    汇添富基金管
470088  汇添富6月红A    1.006  1.006    0.00%  1.141        16.9    汇添富基金管
470098  添富逆向            1.728  1.740  -0.68%  2.297          4.0    汇添富基金管
481001  工银价值A          0.275  0.276  -0.10%  4.449      152.3    工银瑞信基金
481004  工银成长A          1.160  1.167  -0.65%  1.410          7.6    工银瑞信基金
481006  工银红利            0.791  0.796  -0.56%  0.832          6.0    工银瑞信基金
481008  工银蓝筹            1.085  1.091  -0.54%  1.804          4.8    工银瑞信基金
481009  工银沪深300A    0.994  0.994    0.07%  1.587        26.8    工银瑞信基金
481010  工银中小盘        1.304  1.332  -2.10%  1.304          2.6    工银瑞信基金
481012  深红联接A          1.414  1.416  -0.16%  1.592          5.2    工银瑞信基金
481013  工银消费            1.475  1.478  -0.20%  1.824          2.9    工银瑞信基金
481015  工银主题            1.855  1.893  -2.00%  1.855          5.7    工银瑞信基金
481017  工银量化策略    2.055  2.062  -0.33%  2.055          0.8    工银瑞信基金
483003  工银平衡            0.396  0.398  -0.30%  1.763        32.6    工银瑞信基金
485105  工银强债A          1.060  1.062  -0.17%  1.817          7.4    工银瑞信基金
485107  工银添利A          1.206  1.206  -0.04%  1.763        12.4    工银瑞信基金
485111  工银双利A          1.505  1.503    0.13%  1.927      101.6    工银瑞信基金
485114  工银添颐A          2.004  2.005  -0.04%  2.004          3.2    工银瑞信基金
485119  工银信用A          1.223  1.224  -0.04%  1.264          2.5    工银瑞信基金
487016  工银灵活配置A  1.116  1.120  -0.34%  1.347          1.2    工银瑞信基金
487021  工银优质精选    1.587  1.602  -0.93%  1.587          0.5    工银瑞信基金
501000  国金鑫新            0.936  0.937  -0.10%  0.936          0.0    国金基金        
501001  财通多策略(LO0.973  0.975  -0.20%  0.973          0.5    财通基金        
501002  长信价值优选    0.722  0.718    0.47%  0.722          0.1    长信基金管理
501005  精准医疗            0.816  0.825  -0.99%  0.816          5.6    汇添富基金管
501007  互联医疗            0.866  0.875  -0.97%  0.866          0.7    汇添富基金管
501009  生物科技            1.075  1.076  -0.06%  1.075          2.1    汇添富基金管
501011  中药基金            0.794  0.803  -1.14%  0.794          0.7    汇添富基金管
501015  财通升级(LOF  0.775  0.776  -0.12%  0.775          2.9    财通基金        
501016  券商基金            0.942  0.942    0.05%  0.942          0.5    国泰基金        
501017  国泰融丰            0.792  0.791    0.13%  0.809          0.4    国泰基金        
501019  军工基金            0.729  0.737  -1.08%  0.729          2.9    国泰基金        
501019  军工基金            0.729  0.736  -1.05%  0.729          2.9    国泰基金        
501021  香港中小            1.289  1.289    0.04%  1.289          8.8    华宝基金        
501022  银华鑫盛            0.930  0.936  -0.64%  0.930          3.0    银华基金管理
501023  港中小企            1.029  1.032  -0.26%  1.029          0.1    鹏华基金        
501025  香港银行            1.065  1.070  -0.53%  1.115          0.1    鹏华基金        
501026  财通多策略福享0.775  0.773    0.23%  0.775          1.3    财通基金        
501027  国泰融信            1.011  1.009    0.24%  1.063          0.0    国泰基金        
501028  财通福瑞            0.832  0.830    0.31%  0.832        11.4    财通基金        
501029  红利基金A          0.949  0.960  -1.16%  0.979        23.5    华宝基金        
501030  环境治理            0.569  0.568    0.08%  0.569          1.5    汇添富基金管
501030  环境治理            0.569  0.529    7.52%  0.569          1.5    汇添富基金管
501032  财通福盛            0.767  0.769  -0.27%  0.767          2.6    财通基金        
501036  中证500A            0.776  1.015  -23.5%  0.776          3.8    汇添富基金管
501036  中证500A            0.776  0.785  -1.10%  0.776          3.8    汇添富基金管
501038  银华明择            1.101  1.102  -0.10%  1.101          7.1    银华基金管理
501039  添富睿丰            1.056  1.057  -0.07%  1.056          3.3    汇添富基金管
501041  添富弘安            1.056  1.059  -0.33%  1.056          3.3    汇添富基金管
501043  沪深300A            0.981  0.980    0.11%  0.981          1.4    汇添富基金管
501043  沪深300A            0.981  1.021  -3.91%  0.981          1.4    汇添富基金管
501046  财通多策略福鑫1.013  1.001    1.18%  1.013          4.3    财通基金        
501047  全指证券            0.906  0.905    0.07%  0.906          3.2    汇添富基金管
501049  东证睿玺            0.924  0.925  -0.04%  0.924        19.8    上海东方证券
501050  50AHA                  1.208  1.206    0.16%  1.208          9.4    华夏基金        
501051  圆信汇利            0.999  1.004  -0.48%  0.999          0.8    圆信永丰基金
501053  东证目优            1.042  1.042    0.00%  1.097          9.9    上海东方证券
501054  东证睿泽            0.937  0.938  -0.09%  0.937        71.1    上海东方证券
501055  财通福佑            0.815  0.816  -0.13%  0.815          0.7    财通基金        
501057  新能源车            0.806  0.880  -8.37%  0.806          2.9    汇添富基金管
501057  新能源车            0.806  0.818  -1.44%  0.806          2.9    汇添富基金管
501059  国企红利            1.147  1.154  -0.58%  1.147          0.0    西部利得基金
501060  金选300A            1.113  1.112    0.08%  1.113          1.0    中金基金        
501062  南方瑞合            1.014  1.017  -0.28%  1.014        14.3    南方基金管理
501064  国泰价值优选    1.063  1.067  -0.35%  1.063          2.7    国泰基金        
501065  经典成长            1.136  1.137  -0.09%  1.182          7.7    汇添富基金管
501066  东证恒元            1.129  1.124    0.43%  1.129        13.4    上海东方证券
501067  富时AH50            1.141  1.141    0.03%  1.141          0.3    招商基金        
501069  质量基金            0.979  0.984  -0.59%  0.979          0.1    华宝基金        
501101  政债一三            1.088  1.087    0.05%  1.088          0.1    建信基金管理
501105  政债八十            1.134  1.132    0.13%  1.134          1.6    建信基金管理
501106  十年国开            1.118  1.117    0.09%  1.118          0.6    广发基金        
501186  华夏配售            1.047  1.046    0.03%  1.047      113.4    华夏基金        
501188  添富配售            1.064  1.063    0.07%  1.064      144.8    汇添富基金管
501189  嘉实配售            1.036  1.035    0.03%  1.036      119.6    嘉实基金        
501301  香港大盘A          1.119  1.115    0.31%  1.119          2.2    华宝基金        
501302  恒生联接A          1.046  1.047  -0.11%  1.046          0.5    南方基金管理
501303  恒生中型            0.854  0.855  -0.11%  0.854          0.8    广发基金        
501305  港股高息            0.889  0.895  -0.74%  0.889          1.2    汇添富基金管
501307  银河高股            0.947  0.953  -0.54%  0.947          1.0    银河基金        
501309  港股通                0.989  0.991  -0.15%  0.989          0.0    国泰基金        
501310  价值基金A          0.973  0.975  -0.26%  0.973          2.5    华宝基金        
501311  新经济HK            0.933  0.926    0.79%  0.933          0.3    嘉实基金        
502000  500等权              0.869  0.876  -0.88%  0.565          0.0    西部利得基金
502003  易基军工分级    1.171  1.187  -1.34%  0.805          0.1    易方达基金    
502006  国企改革            0.948  0.946    0.14%  0.559          0.4    易方达基金    
502006  国企改革            0.948  0.808  17.26%  0.559          0.4    易方达基金    
502010  证券分级            0.982  0.881  11.45%  0.612          0.2    易方达基金    
502010  证券分级            0.982  0.982    0.03%  0.612          0.2    易方达基金    
502013  一带一路            1.100  1.102  -0.18%  0.715          0.9    长盛基金        
502020  国金50                0.941  0.936    0.53%  0.831          0.4    国金基金        
502023  钢铁分级            0.784  0.786  -0.25%  0.855          0.0    鹏华基金        
502036  互联金融            0.817  0.824  -0.86%  0.578          0.0    大成基金        
502040  上50分级            1.121  1.115    0.53%  1.121          0.0    长盛基金        
502048  50分级                0.894  0.889    0.53%  0.533          0.7    易方达基金    
502053  券商分级            0.810  0.810    0.00%  0.810          0.1    长盛基金        
502053  券商分级            0.810  0.990  -18.2%  0.810          0.1    长盛基金        
502056  广发医疗分级    0.986  1.002  -1.59%  0.700          0.0    广发基金        
510010  治理ETF              1.111  1.108    0.27%  1.237          3.5    交银施罗德基
510020  超大ETF              2.678  2.661    0.61%  0.988          0.7    博时基金        
510030  价值ETF              5.015  4.995    0.40%  1.717          0.3    华宝基金        
510050  50ETF                  2.742  2.726    0.58%  3.775      157.3    华夏基金        
510060  央企ETF              1.796  1.015  76.91%  1.149          0.9    工银瑞信基金
510060  央企ETF              1.796  1.791    0.27%  1.149          0.9    工银瑞信基金
510070  民企ETF              1.605  1.614  -0.55%  1.376          0.5    鹏华基金        
510080  长盛债券            1.142  1.141    0.13%  2.427          0.7    长盛基金        
510081  长盛精选            0.906  0.904    0.19%  3.228          3.0    长盛基金        
510090  责任ETF              1.663  1.659    0.26%  1.984          0.6    建信基金管理
510110  周期ETF              3.586  3.570    0.44%  1.439          0.1    海富通基金    
510120  非周ETF              2.788  2.787    0.03%  1.174          0.1    海富通基金    
510130  中盘ETF              3.733  3.749  -0.42%  1.284          0.7    易方达基金    
510150  消费ETF              4.726  4.711    0.30%  1.557          0.3    招商基金        
510150  消费ETF              4.726  2.715  74.06%  1.557          0.3    招商基金        
510160  小康ETF              0.533  0.531    0.39%  1.327        12.0    南方基金管理
510170  商品ETF              1.608  1.623  -0.92%  0.499          0.6    国联安基金    
510180  180ETF                3.301  3.293    0.23%  3.443        56.4    华安基金        
510190  龙头ETF              3.155  3.158  -0.09%  1.209          0.3    华安基金        
510210  综指ETF              3.487  3.490  -0.08%  1.193          0.4    富国基金        
510220  中小ETF              3.821  3.846  -0.65%  1.055          0.2    华泰柏瑞基金
510230  金融ETF              5.673  5.646    0.47%  1.767        10.3    国泰基金        
510260  新兴ETF              1.023  1.034  -1.06%  1.023          0.1    诺安基金        
510270  国企ETF              1.069  1.065    0.37%  1.247          0.2    中银基金        
510290  380ETF                1.347  1.359  -0.91%  1.347          1.6    南方基金管理
510300  300ETF                3.639  3.633    0.17%  1.471        90.4    华泰柏瑞基金
510300  300ETF                3.639  3.635    0.10%  1.471        90.4    华泰柏瑞基金
510310  HS300ETF            1.584  1.582    0.11%  1.584        52.3    易方达基金    
510330  华夏300              3.642  3.639    0.10%  1.656        67.0    华夏基金        
510360  广发300              1.173  1.171    0.09%  1.173        25.6    广发基金        
510380  国寿300              0.922  0.922    0.08%  0.922        47.3    国寿安保基金
510390  平安300              3.707  3.703    0.10%  0.924        13.1    平安基金        
510410  资源ETF              0.610  0.616  -0.98%  0.610          1.5    博时基金        
510430  50等权                1.386  1.379    0.50%  1.386          0.6    银华基金管理
510440  500沪市              1.479  1.494  -1.00%  1.479          0.3    大成基金        
510500  500ETF                5.209  5.270  -1.14%  1.460        83.5    南方基金管理
510510  广发500ETF        1.385  1.401  -1.14%  1.385        26.7    广发基金        
510520  诺安500              1.228  1.241  -1.04%  1.228          0.1    诺安基金        
510550  方正500              1.124  1.137  -1.10%  1.124          1.6    方正富邦基金
510560  国寿500              1.040  1.052  -1.15%  0.481          6.2    国寿安保基金
510580  ZZ500ETF            4.877  4.935  -1.16%  0.752          0.7    易方达基金    
510600  沪50ETF              2.730  2.714    0.57%  1.112          0.2    申万菱信基金
510630  消费行业            2.718  2.706    0.44%  2.718          0.8    华夏基金        
510650  金融行业            1.832  1.822    0.54%  1.832          0.2    华夏基金        
510660  医药行业            1.603  1.611  -0.50%  1.603          0.5    华夏基金        
510680  万家50                2.261  2.248    0.53%  2.261          0.0    万家基金        
510710  博时50ETF          2.991  2.974    0.57%  0.925          2.1    博时基金        
510800  上证50                0.969  0.964    0.57%  0.969          1.6    建信基金管理
510810  上海国企            0.910  0.912  -0.12%  0.941        96.2    汇添富基金管
510820  上海改革            0.858  0.859  -0.11%  0.858        47.6    汇添富基金管
510850  工银上50            2.740  2.724    0.58%  1.143        47.2    工银瑞信基金
510880  红利ETF              2.703  2.714  -0.41%  2.197          9.0    华泰柏瑞基金
510900  H股ETF                1.149  1.144    0.45%  1.199        66.0    易方达基金    
510900  H股ETF                1.149  0.947  21.33%  1.199        66.0    易方达基金    
511010  国债ETF              117.0  116.9    0.06%  1.182          0.0    国泰基金        
511020  活跃国债            100.5  100.3    0.17%  1.005          0.1    平安基金        
511030  公司债                101.2  101.2    0.04%  1.081          0.5    平安基金        
511220  城投ETF              97.35  97.30    0.04%  1.206          0.2    海富通基金    
511260  十年国债            106.2  105.9    0.25%  1.062          0.0    国泰基金        
511270  10年地债            102.8  102.5    0.25%  1.045          0.1    海富通基金    
511280  中期信用            105.1  105.1    0.00%  1.051          0.0    华夏基金        
511290  国债十年            103.8  103.6    0.17%  1.038          0.0    广发基金        
511310  十年债                107.3  107.0    0.26%  1.073          0.0    富国基金        
512000  券商ETF              0.856  0.856    0.03%  0.856        35.4    华宝基金        
512010  医药ETF              1.575  1.574    0.06%  1.575          5.1    易方达基金    
512040  国信价值            1.076  1.083  -0.68%  1.076          5.3    富国基金        
512070  非银ETF              2.081  2.076    0.19%  2.081          7.2    易方达基金    
512090  MSCI易基            0.995  0.994    0.07%  0.995          7.9    易方达基金    
512100  1000ETF              0.635  0.644  -1.44%  0.635          2.8    南方基金管理
512120  医药50                1.359  1.361  -0.14%  1.359          0.7    华安基金        
512150  A50ETF                1.137  1.131    0.48%  1.137          0.1    汇安基金管理
512160  MSCI基金            0.995  0.994    0.06%  0.995          7.8    南方基金管理
512180  建信MSCI            0.974  0.973    0.06%  0.974          6.3    建信基金管理
512200  南方房地产        0.842  0.849  -0.83%  0.842          0.9    南方基金管理
512220  景顺TMT              1.111  1.113  -0.26%  1.111          2.7    景顺长城基金
512260  500低波              1.144  1.157  -1.14%  1.144          1.8    华安基金        
512270  300低波              0.954  0.956  -0.27%  0.954          1.3    华安基金        
512280  景顺MSCI            0.973  0.973    0.06%  0.973          5.8    景顺长城基金
512290  生物医药            0.960  0.991  -3.08%  0.960          4.6    国泰基金        
512290  生物医药            0.960  0.968  -0.86%  0.960          4.6    国泰基金        
512300  500医药              0.982  0.995  -1.33%  0.982          0.5    南方基金管理
512310  500工业              0.469  0.474  -1.03%  0.469          1.1    南方基金管理
512330  500信息              0.725  0.730  -0.76%  0.725          5.1    南方基金管理
512340  500原料              0.727  0.740  -1.70%  0.727          0.5    南方基金管理
512360  MSCI国际            1.011  1.012  -0.11%  1.011          2.2    平安基金        
512380  银华MSCI            0.913  0.914  -0.10%  0.913        20.6    银华基金管理
512390  MSCI低波            0.984  0.983    0.12%  0.984          2.0    平安基金        
512400  有色金属            0.638  0.647  -1.31%  0.638          2.9    南方基金管理
512500  中证500              2.422  2.449  -1.12%  0.530        15.0    华夏基金        
512510  华泰中证500ETF1.038  1.050  -1.14%  0.528          4.2    华泰柏瑞基金
512520  MSCIETF              0.977  0.976    0.07%  0.977          5.4    华泰柏瑞基金
512550  富时A50              1.099  1.094    0.48%  1.099          0.7    嘉实基金        
512560  中证军工            0.797  0.808  -1.39%  0.797          0.3    易方达基金    
512570  中证证券            0.850  0.850    0.03%  0.850          0.3    易方达基金    
512580  环保ETF              0.726  0.734  -1.21%  0.726        22.9    广发基金        
512590  高股息                0.978  0.986  -0.79%  0.978          0.4    浦银安盛基金
512600  主要消费            2.694  2.692    0.07%  2.694          0.0    嘉实基金        
512610  医药卫生            1.308  1.315  -0.52%  1.308          0.1    嘉实基金        
512640  嘉实金融地产ET1.885  1.882    0.13%  1.885          0.3    嘉实基金        
512660  军工ETF              0.730  0.741  -1.44%  0.730        23.4    国泰基金        
512680  军工基金            0.726  0.737  -1.39%  0.726          5.0    广发基金        
512680  军工基金            0.726  0.736  -1.37%  0.726          5.0    广发基金        
512690  酒ETF                  0.950  0.958  -0.83%  0.950          2.5    鹏华基金        
512700  银行基金            1.063  1.059    0.45%  1.063          1.1    南方基金管理
512700  银行基金            1.063  0.995    6.92%  1.063          1.1    南方基金管理
512770  战略新兴            0.941  0.945  -0.50%  0.941          0.1    华夏基金        
512780  京津冀基            0.789  0.787    0.22%  0.789          1.2    广发基金        
512800  银行ETF              1.023  1.019    0.45%  1.023        12.9    华宝基金        
512810  军工行业            0.699  0.709  -1.41%  0.699          1.0    华宝基金        
512820  银行股基            1.066  0.840  26.88%  1.066          2.9    汇添富基金管
512820  银行股基            1.066  1.061    0.45%  1.066          2.9    汇添富基金管
512850  北京50                1.028  1.035  -0.67%  1.028          0.3    中信建投基金
512860  MSCI中国            1.155  1.156  -0.11%  1.155          0.3    华安基金        
512870  南华杭州湾区    1.079  1.089  -0.92%  1.079          2.6    南华基金        
512880  证券ETF              0.899  0.899    0.04%  0.899        78.1    国泰基金        
512890  红利LV                1.106  1.106  -0.05%  1.106          0.5    华泰柏瑞基金
512900  证券基金            0.868  0.868    0.03%  0.868        16.1    南方基金管理
512920  MSCI新华            1.140  1.141  -0.12%  1.140          0.1    新华基金管理
512950  央企改革            0.960  0.961  -0.12%  0.960      158.5    华夏基金        
512960  央调ETF              0.959  0.961  -0.13%  0.959      211.2    博时基金        
512980  传媒ETF              0.709  0.720  -1.59%  0.709        14.2    广发基金        
512990  MSCIA股              1.066  1.065    0.07%  1.066          4.5    华夏基金        
513600  恒指ETF              2.515  2.518  -0.11%  1.305          0.3    南方基金管理
513660  恒生通                2.497  2.500  -0.10%  1.297          2.7    华夏基金        
513680  建信H股              0.958  0.955    0.26%  0.958          0.1    建信基金管理
513900  港股100              0.954  0.954  -0.06%  0.954          0.5    华安基金        
519001  银华优选            1.862  1.859    0.13%  6.239        21.0    银华基金管理
519002  华安安信            1.508  1.519  -0.72%  1.811          2.2    华安基金        
519003  海富收益            0.999  1.006  -0.69%  2.624          8.4    海富通基金    
519005  海富股票            0.619  0.623  -0.64%  2.568        44.3    海富通基金    
519007  海富回报            0.770  0.769    0.13%  2.266          4.8    海富通基金    
519008  添富优势            2.720  2.736  -0.60%  6.650        11.3    汇添富基金管
519011  海富精选            0.386  0.386  -0.07%  4.166        44.9    海富通基金    
519013  海富优势            0.588  0.591  -0.50%  1.694          6.1    海富通基金    
519015  海富贰号            0.865  0.865    0.00%  1.185          4.9    海富通基金    
519017  大成成长            0.934  0.937  -0.32%  2.741          9.2    大成基金        
519018  添富均衡            0.561  0.558    0.53%  3.046        72.1    汇添富基金管
519019  大成景阳            0.705  0.722  -2.35%  4.164        12.6    大成基金        
519020  国泰金泰A          1.037  1.053  -1.48%  1.017          1.4    国泰基金        
519021  金鼎价值            0.480  0.482  -0.41%  2.401        19.1    国泰基金        
519024  海富债券A          1.203  1.208  -0.41%  1.470          0.1    海富通基金    
519025  海富领先            1.111  1.117  -0.53%  1.261          0.8    海富通基金    
519026  海富通中小盘    0.693  0.698  -0.71%  0.693          1.7    海富通基金    
519027  上证周期ETF联  1.247  1.242    0.40%  1.247          0.2    海富通基金    
519029  华夏稳增            1.459  1.463  -0.27%  2.264          8.0    华夏基金        
519030  海富稳固            1.207  1.206    0.08%  1.597          0.6    海富通基金    
519032  非周ETF联接      1.100  1.099    0.09%  1.100          0.1    海富通基金    
519033  海富国策            1.048  1.053  -0.47%  1.615          1.9    海富通基金    
519034  海富中证            1.203  1.217  -1.15%  1.203          0.2    海富通基金    
519035  富国天博            1.472  1.474  -0.16%  4.630        12.1    富国基金        
519039  长盛同德            1.264  1.272  -0.66%  3.621          8.8    长盛基金        
519050  海富安颐A          1.278  1.279  -0.07%  1.552          2.1    海富通基金    
519056  海富通内需        1.488  1.499  -0.73%  1.488          0.6    海富通基金    
519061  海富通纯债债券1.304  1.310  -0.45%  2.345        12.5    海富通基金    
519062  海富通阿尔法对1.240  1.241  -0.08%  1.453        11.4    海富通基金    
519066  添富蓝筹            2.392  2.394  -0.08%  3.408        18.6    汇添富基金管
519068  添富焦点            1.968  1.971  -0.16%  3.157        31.2    汇添富基金管
519069  添富价值A          2.376  2.377  -0.04%  3.883        41.3    汇添富基金管
519078  添富增收A          1.201  1.202  -0.08%  1.621          2.4    汇添富基金管
519087  新华分红            0.772  0.779  -0.87%  3.438        12.8    新华基金管理
519089  新华成长            1.086  1.090  -0.34%  2.379        10.1    新华基金管理
519091  新华资源            2.633  2.645  -0.45%  2.633          2.5    新华基金管理
519093  新华品质            1.823  1.831  -0.43%  1.823          1.0    新华基金管理
519095  新华轮换            1.554  1.553    0.06%  2.454          0.6    新华基金管理
519097  新华市值            1.450  1.457  -0.48%  2.212          0.5    新华基金管理
519099  新华主题            1.285  1.280    0.39%  1.766          0.2    新华基金管理
519100  长盛100              1.214  1.208    0.41%  1.905          3.2    长盛基金        
519110  浦银价值A          1.251  1.262  -0.87%  1.514        14.7    浦银安盛基金
519111  浦银收益A          1.573  1.572    0.06%  1.583        15.5    浦银安盛基金
519113  浦银生活            1.467  1.473  -0.40%  1.527          1.9    浦银安盛基金
519115  浦银精选            1.575  1.593  -1.12%  1.575          0.5    浦银安盛基金
519116  浦银300              1.452  1.453  -0.06%  1.452          1.1    浦银安盛基金
519117  浦银400              1.357  1.369  -0.87%  1.357          0.3    浦银安盛基金
519120  浦银战略            1.678  1.686  -0.47%  1.678          2.0    浦银安盛基金
519125  浦银消费A          1.458  1.469  -0.74%  1.458          1.2    浦银安盛基金
519126  浦银新经济        1.141  1.146  -0.43%  1.141          0.7    浦银安盛基金
519127  浦银盛世精选A  1.521  1.524  -0.19%  1.521          1.2    浦银安盛基金
519130  海富通新内需A  1.262  1.262    0.00%  1.564          5.5    海富通基金    
519133  海富通改革驱动0.983  0.992  -0.90%  1.174          3.2    海富通基金    
519134  海富通富祥        1.068  1.068    0.00%  1.068          0.2    海富通基金    
519136  海富通瑞丰        1.038  1.037    0.03%  1.078          2.0    海富通基金    
519137  海富通瑞福        0.985  0.986  -0.05%  1.020          3.0    海富通基金    
519139  海富通沪港深    1.154  1.157  -0.24%  1.154          1.2    海富通基金    
519150  新华消费            1.568  1.579  -0.69%  2.504          0.5    新华基金管理
519152  新华纯债A          1.172  1.171    0.08%  1.460        31.0    新华基金管理
519156  新华行业A          1.361  1.360    0.07%  2.305          8.7    新华基金管理
519158  新华趋势            1.736  1.737  -0.05%  2.202          3.1    新华基金管理
519162  新华增怡A          1.198  1.196    0.13%  1.425        10.1    新华基金管理
519165  新华鑫利            1.216  1.222  -0.49%  1.216          0.2    新华基金管理
519170  浦银增长动力    0.643  0.649  -0.92%  0.643        23.2    浦银安盛基金
519171  浦银医疗健康    0.796  0.803  -0.87%  0.796        14.5    浦银安盛基金
519172  睿智A                  0.993  1.001  -0.79%  0.993          1.0    浦银安盛基金
519175  浦银崛起            0.983  0.987  -0.40%  0.983          1.3    浦银安盛基金
519180  万家180              0.895  0.893    0.23%  3.235        15.8    万家基金        
519181  万家和谐            0.689  0.698  -1.17%  1.996          7.9    万家基金        
519183  万家引擎            1.348  1.348  -0.03%  2.038          0.1    万家基金        
519185  万家精选            1.102  1.106  -0.34%  2.294        25.5    万家基金        
519186  万家稳增A          1.067  1.066    0.02%  1.621          3.1    万家基金        
519188  万家恒A              1.238  1.237    0.06%  1.368          6.4    万家基金        
519190  万家双利            1.178  1.182  -0.27%  1.246          0.9    万家基金        
519191  万家新利灵活    1.070  1.074  -0.36%  1.351          7.3    万家基金        
519193  万家消费成长    1.351  1.353  -0.14%  1.351          4.1    万家基金        
519195  万家品质            0.986  0.995  -0.91%  1.404        36.6    万家基金        
519196  万家新兴蓝筹    0.797  0.809  -1.48%  1.291        25.2    万家基金        
519197  万家颐达保本    1.041  1.041    0.00%  1.041          2.8    万家基金        
519198  万家颐和            1.085  1.085    0.00%  1.085          5.9    万家基金        
519199  万家家享            1.086  1.086    0.02%  1.086          0.3    万家基金        
519208  万家年年恒祥A  1.024  1.024  -0.02%  1.056          0.0    万家基金        
519212  万家宏观            1.150  1.150  -0.03%  1.150          2.1    万家基金        
519220  海富通聚利        1.030  1.030    0.02%  1.098        27.1    海富通基金    
519222  海富通欣益A      1.132  1.131    0.08%  1.186          2.1    海富通基金    
519224  海富通欣荣A      1.043  1.045  -0.20%  1.043          1.2    海富通基金    
519225  海富通集利        0.972  0.972  -0.01%  0.972          0.0    海富通基金    
519226  海富通瑞利        1.037  1.036    0.02%  1.098        32.1    海富通基金    
519229  海富通欣享A      1.074  1.074  -0.03%  1.114          1.5    海富通基金    
519300  大成300A/B        0.981  0.982  -0.07%  2.569        18.4    大成基金        
519328  浦银安盛盛泰A  1.036  1.035    0.03%  1.109        29.0    浦银安盛基金
519330  浦银安盛盛跃A  1.037  1.036    0.01%  1.115        39.9    浦银安盛基金
519332  浦银安盛盛达A  1.028  1.029    0.00%  1.128        94.3    浦银安盛基金
519334  浦银安盛盛勤A  1.063  1.063    0.00%  1.063          0.5    浦银安盛基金
519519  华泰增利A          1.050  1.049    0.04%  1.500          0.6    华泰柏瑞基金
519606  国泰金鑫            1.301  1.310  -0.68%  1.412          8.0    国泰基金        
519610  银河旺利A          1.053  1.055  -0.18%  1.098          7.6    银河基金        
519613  银河君尚A          1.049  1.049    0.06%  1.049          1.5    银河基金        
519616  银河君信A          1.039  1.039    0.00%  1.114          8.3    银河基金        
519619  银河君荣A          1.122  1.119    0.26%  1.122          1.0    银河基金        
519622  银河君怡纯债    1.034  1.034    0.02%  1.098        47.0    银河基金        
519623  银河君耀A          1.031  1.030    0.04%  1.091          2.0    银河基金        
519625  银河君盛A          1.075  1.074    0.10%  1.115          2.0    银河基金        
519627  银河君润A          1.042  1.042    0.01%  1.140          6.0    银河基金        
519629  银河睿利A          0.989  0.987    0.20%  1.089          1.7    银河基金        
519631  银河君欣债券A  1.008  1.008    0.01%  1.216        23.6    银河基金        
519632  银河君辉            1.033  1.033    0.00%  1.082          6.5    银河基金        
519640  银河鸿利A          1.048  1.049  -0.09%  1.121          5.8    银河基金        
519642  银河智造            1.133  1.139  -0.52%  1.133          0.8    银河基金        
519644  银河智联            1.025  1.026  -0.09%  1.025          1.4    银河基金        
519651  银河转型增长    0.542  0.542    0.00%  0.542        16.5    银河基金        
519652  银河鑫利混合A  1.070  1.069    0.09%  1.102          1.5    银河基金        
519654  银河丰利            1.067  1.067    0.03%  1.067          7.9    银河基金        
519655  银河服务            0.904  0.905  -0.11%  0.904        13.9    银河基金        
519656  银河灵活配置A  1.788  1.785    0.16%  1.788          0.7    银河基金        
519660  银河增利债A      1.536  1.537  -0.06%  1.731          6.2    银河基金        
519662  银河回报债券A  1.459  1.459    0.00%  1.735        14.8    银河基金        
519664  银河美丽A          1.573  1.574  -0.06%  2.066        10.1    银河基金        
519666  银河银信B          1.067  1.067  -0.04%  1.676          1.2    银河基金        
519668  银河成长            1.105  1.103    0.24%  2.796          2.1    银河基金        
519669  银河领先            1.082  1.082    0.00%  1.495        17.8    银河基金        
519670  银河优选            1.224  1.235  -0.89%  2.749          8.5    银河基金        
519671  银河300              1.586  1.584    0.12%  1.586          4.1    银河基金        
519672  银河蓝筹            2.084  2.095  -0.52%  2.084          1.0    银河基金        
519673  银河康乐股票    1.463  1.466  -0.20%  1.463          3.3    银河基金        
519674  银河创新            2.476  2.479  -0.12%  2.476          0.7    银河基金        
519675  银河泰利纯债A  1.055  1.055    0.00%  1.490          1.4    银河基金        
519676  银河强化收益    1.079  1.079    0.00%  1.669        20.5    银河基金        
519677  银河定投宝腾讯1.490  1.510  -1.32%  1.490          2.8    银河基金        
519678  银河消费            1.578  1.581  -0.18%  1.578          0.4    银河基金        
519679  银河主题            2.872  2.888  -0.55%  3.440          2.1    银河基金        
519680  交银增利A/B      1.032  1.032  -0.04%  1.676          5.3    交银施罗德基
519683  交银双利A/B      1.170  1.170    0.00%  1.508          1.5    交银施罗德基
519686  交银治理            1.247  1.244    0.24%  1.247          3.1    交银施罗德基
519688  交银精选            0.664  0.670  -0.82%  3.448        61.3    交银施罗德基
519690  交银稳健A          1.259  1.263  -0.27%  3.649        26.3    交银施罗德基
519692  交银成长A          3.538  3.578  -1.12%  4.344          6.7    交银施罗德基
519694  交银蓝筹            0.903  0.912  -1.00%  1.171        22.0    交银施罗德基
519697  交银行业            3.220  3.264  -1.34%  3.626        10.8    交银施罗德基
519698  交银先锋            1.257  1.268  -0.88%  1.661          9.3    交银施罗德基
519700  交银主题            1.205  1.209  -0.33%  2.132          4.5    交银施罗德基
519702  交银趋势            1.376  1.380  -0.28%  1.876          2.5    交银施罗德基
519704  交银制造            1.789  1.801  -0.66%  2.916        10.3    交银施罗德基
519706  交银价值            1.649  1.659  -0.60%  1.649          0.4    交银施罗德基
519710  交银策略回报    1.131  1.137  -0.52%  1.622          8.9    交银施罗德基
519712  交银核心            1.995  2.021  -1.28%  2.828        17.6    交银施罗德基
519714  交银消费            1.036  1.040  -0.38%  2.603          8.0    交银施罗德基
519718  交银纯债A/B      1.078  1.078    0.00%  1.287          4.1    交银施罗德基
519723  交银双轮A/B      1.073  1.072    0.09%  1.325        15.3    交银施罗德基
519726  交银稳固收益债1.075  1.075    0.00%  1.446                    交银施罗德基
519727  交银成长30        1.044  1.047  -0.28%  1.504          1.8    交银施罗德基
519729  交银增强收益    1.316  1.316    0.00%  1.451          0.2    交银施罗德基
519730  交银月月丰A      1.445  1.445    0.00%  1.445          0.3    交银施罗德基
519732  交银双息            2.916  2.932  -0.54%  2.916          6.6    交银施罗德基
519733  交银强化回报债1.034  1.034    0.00%  1.242          0.1    交银施罗德基
519736  交银新成长        2.088  2.105  -0.80%  2.488        16.1    交银施罗德基
519738  交银周期回报A  1.129  1.129    0.00%  1.528          0.5    交银施罗德基
519740  交银丰盈A          1.072  1.072    0.00%  1.254          0.2    交银施罗德基
519746  交银丰享收益A  2.036  2.035    0.04%  2.127          2.6    交银施罗德基
519748  交银丰享收益C  1.060  1.060    0.00%  1.202          5.2    交银施罗德基
519752  交银新回报A      1.172  1.172    0.00%  1.192          4.3    交银施罗德基
519753  交银安心收益    1.013  1.014  -0.09%  1.013          0.6    交银施罗德基
519755  交银多策略A      1.249  1.249    0.00%  1.249          0.8    交银施罗德基
519756  交银国企改革    0.937  0.942  -0.53%  0.937          5.9    交银施罗德基
519762  交银裕通纯债A  1.016  1.016    0.00%  1.101          7.3    交银施罗德基
519766  交银荣鑫灵活    1.042  1.041    0.09%  1.042          1.0    交银施罗德基
519767  交银科技            1.111  1.119  -0.71%  1.121          2.9    交银施罗德基
519768  交银优选回报A  1.086  1.085    0.09%  1.146          6.9    交银施罗德基
519770  交银优择回报A  1.072  1.072    0.00%  1.147          6.9    交银施罗德基
519772  交银新生活力    1.464  1.473  -0.61%  1.464        33.5    交银施罗德基
519773  交银数据产业    0.796  0.800  -0.50%  0.796        11.0    交银施罗德基
519776  交银裕盈A          1.063  1.062    0.09%  1.113        10.2    交银施罗德基
519778  交银经济            1.261  1.265  -0.26%  1.261          5.2    交银施罗德基
519779  交银价值精选    1.057  1.055    0.18%  1.152          4.0    交银施罗德基
519782  交银裕隆A          1.139  1.138    0.05%  1.139          6.4    交银施罗德基
519784  交银境尚收益债1.037  1.032    0.45%  1.099          1.0    交银施罗德基
519784  交银境尚收益债1.037  1.037    0.04%  1.099          1.0    交银施罗德基
519786  交银裕利A          1.037  1.037    0.01%  1.104        33.8    交银施罗德基
519908  华夏兴华A          1.522  1.526  -0.26%  5.936          4.5    华夏基金        
519909  华安安顺灵活    1.609  1.613  -0.24%  1.747          6.9    华安基金        
519915  富国消费主题    1.395  1.397  -0.14%  1.395          4.8    富国基金        
519918  华夏兴和            1.313  1.323  -0.75%  3.648          2.3    华夏基金        
519929  长信电子信息    0.725  0.728  -0.41%  0.725          5.0    长信基金管理
519931  长信上证港股通1.105  1.106  -0.09%  1.169          0.2    长信基金管理
519933  长信利发            1.150  1.149    0.01%  1.204          0.4    长信基金管理
519935  长信创新驱动    1.128  1.127    0.08%  1.128          0.3    长信基金管理
519937  长信先锐            1.034  1.043  -0.81%  1.034          0.1    长信基金管理
519943  长信利率债A      1.115  1.114    0.03%  1.124          0.3    长信基金管理
519944  长信富安纯债C  1.031  1.030    0.09%  1.157                    长信基金管理
519945  长信富安纯债A  1.033  1.031    0.10%  1.174          3.3    长信基金管理
519947  长信利保            0.952  0.960  -0.84%  0.952          0.4    长信基金管理
519949  长信利信A          1.032  1.032    0.00%  1.092          0.0    长信基金管理
519951  长信利泰灵活    1.139  1.136    0.27%  1.158          0.0    长信基金管理
519957  长信睿进A          0.878  0.878  -0.04%  0.878          3.9    长信基金管理
519959  长信多利灵活    1.290  1.290    0.00%  1.290          1.7    长信基金管理
519961  长信利广A          1.081  1.091  -0.85%  1.081          1.2    长信基金管理
519963  长信利盈A          1.205  1.212  -0.56%  1.205          3.8    长信基金管理
519965  长信多策略A      1.070  1.078  -0.74%  1.070          0.8    长信基金管理
519967  长信利富            0.975  0.986  -1.10%  0.975          2.0    长信基金管理
519969  长信新利            1.083  1.082    0.09%  1.271          1.4    长信基金管理
519971  长信红利            1.235  1.238  -0.24%  1.498          0.1    长信基金管理
519975  长信量化中小盘0.720  0.727  -0.96%  1.120        10.2    长信基金管理
519977  长信可转债A      1.274  1.286  -0.97%  2.234        16.2    长信基金管理
519979  长信内需成长A  1.496  1.494    0.13%  2.191        14.1    长信基金管理
519983  长信量化A          1.254  1.265  -0.86%  2.104        19.6    长信基金管理
519985  长信纯债壹号A  1.205  1.205    0.03%  1.455          8.0    长信基金管理
519987  长信恒利            0.958  0.960  -0.20%  1.274          0.3    长信基金管理
519989  长信利丰C          1.317  1.325  -0.60%  1.915        17.0    长信基金管理
519991  长信双利A          1.235  1.237  -0.16%  1.993          8.0    长信基金管理
519993  长信增利            0.879  0.885  -0.75%  2.498          6.8    长信基金管理
519995  长信金利            0.459  0.461  -0.28%  2.680        35.4    长信基金管理
519997  长信银利            0.924  0.928  -0.37%  2.999        10.0    长信基金管理
530001  建信价值            0.658  0.661  -0.46%  2.740        11.4    建信基金管理
530003  建信成长A          1.839  1.831    0.41%  3.289          9.6    建信基金管理
530005  建信优化            1.240  1.239    0.06%  1.839        14.8    建信基金管理
530006  建信精选            1.520  1.519    0.06%  2.424          2.0    建信基金管理
530008  建信增利C          1.730  1.731  -0.05%  2.003          8.3    建信基金管理
530009  建信强债A          1.604  1.603    0.06%  1.719          1.8    建信基金管理
530010  建信责任            1.826  1.822    0.24%  1.826          0.6    建信基金管理
530011  建信内生            1.413  1.412    0.07%  1.693          1.9    建信基金管理
530012  建信积极配置    2.119  2.112    0.33%  2.187          0.7    建信基金管理
530015  深60ETF联接A    1.999  2.011  -0.57%  1.999          2.1    建信基金管理
530016  建信恒稳            2.057  2.056    0.04%  2.157          0.2    建信基金管理
530017  建信双息A          1.141  1.140    0.08%  1.687          5.0    建信基金管理
530018  建信100              1.528  1.530  -0.10%  1.528          0.6    建信基金管理
530019  建信社会            1.902  1.910  -0.41%  1.902          0.1    建信基金管理
530020  建信转债A          2.286  2.296  -0.43%  2.286          0.6    建信基金管理
530021  建信纯债A          1.350  1.349    0.07%  1.350        24.0    建信基金管理
540001  汇丰2016            1.043  1.043  -0.01%  2.541        10.9    汇丰晋信基金
540002  汇丰龙腾            1.521  1.524  -0.18%  3.357          4.3    汇丰晋信基金
540003  汇丰策略A          1.792  1.801  -0.46%  2.432          5.9    汇丰晋信基金
540004  汇丰2026            1.819  1.831  -0.66%  2.439          1.3    汇丰晋信基金
540005  汇丰增利A          1.102  1.102  -0.01%  1.282          0.8    汇丰晋信基金
540006  汇丰大盘A          3.205  3.223  -0.57%  3.265        12.0    汇丰晋信基金
540007  汇丰中小盘        1.083  1.092  -0.87%  1.103          0.6    汇丰晋信基金
540008  汇丰低碳            0.958  0.971  -1.27%  1.058          2.1    汇丰晋信基金
540009  汇丰消费            0.942  0.944  -0.20%  1.274          3.5    汇丰晋信基金
540010  汇丰科技            1.575  1.571    0.24%  1.575          3.4    汇丰晋信基金
540012  汇丰恒生指数A  1.544  1.537    0.46%  1.914          1.8    汇丰晋信基金
550001  信诚四季            0.764  0.764    0.10%  2.396        10.8    中信保诚基金
550002  信诚精萃            0.558  0.559  -0.16%  2.810        36.2    中信保诚基金
550003  信诚蓝筹            2.314  2.309    0.21%  3.213          4.0    中信保诚基金
550004  信诚三得益A      1.128  1.129  -0.08%  1.624        16.6    中信保诚基金
550008  信诚精选            1.214  1.222  -0.65%  1.980        14.9    中信保诚基金
550009  信诚中小盘        1.289  1.296  -0.54%  1.419          0.3    中信保诚基金
550015  信诚至远A          1.000  1.003  -0.25%  1.000          0.3    中信保诚基金
550018  信诚纯债A          1.077  1.077    0.00%  1.433          0.5    中信保诚基金
560002  益民红利成长    0.406  0.405    0.27%  1.315          8.8    益民基金        
560003  益民优势            0.794  0.792    0.20%  0.814          8.4    益民基金        
560006  益民核心            1.376  1.373    0.21%  1.376          0.0    益民基金        
570001  诺德价值            1.689  1.698  -0.49%  1.689          6.3    诺德基金        
570005  诺德成长            1.831  1.828    0.16%  2.751        10.1    诺德基金        
570006  诺德中小盘        1.093  1.097  -0.36%  1.623          0.3    诺德基金        
570007  诺德优选            1.328  1.336  -0.59%  1.328          0.4    诺德基金        
570008  诺德周期            1.489  1.497  -0.53%  2.384          0.8    诺德基金        
571002  诺德配置            1.406  1.419  -0.90%  2.126          0.1    诺德基金        
573003  诺德收益            1.116  1.115    0.08%  1.143          0.1    诺德基金        
580001  东吴嘉禾            0.729  0.735  -0.70%  2.449          6.2    东吴基金        
580002  东吴动力            0.565  0.565  -0.01%  1.628          4.7    东吴基金        
580003  东吴轮动            0.552  0.550    0.43%  0.632          6.2    东吴基金        
580005  东吴策略            0.972  0.972    0.00%  1.492          1.6    东吴基金        
580006  东吴新经济        0.811  0.810    0.12%  1.201          0.3    东吴基金        
580007  东吴安享量化    0.961  0.961    0.00%  1.541          1.6    东吴基金        
580008  东吴精选            1.791  1.802  -0.61%  1.791          0.8    东吴基金        
580009  东吴多策略        0.923  0.926  -0.22%  1.687          1.6    东吴基金        
582001  东吴优信A          1.021  1.020    0.11%  1.033          0.1    东吴基金        
582002  东吴增利A          1.135  1.135    0.00%  1.475          3.7    东吴基金        
582003  东吴配置优化    1.033  1.030    0.32%  1.257          0.1    东吴基金        
585001  东吴产业            0.967  0.971  -0.41%  0.967          0.8    东吴基金        
590001  中邮优选            1.049  1.064  -1.38%  2.269        19.4    中邮创业基金
590002  中邮成长            0.548  0.547    0.03%  0.548        86.4    中邮创业基金
590003  中邮优势            1.187  1.201  -1.16%  1.367          3.4    中邮创业基金
590005  中邮主题            1.389  1.403  -0.99%  1.549          6.1    中邮创业基金
590006  中邮中小盘        1.430  1.447  -1.17%  1.762          3.8    中邮创业基金
590007  中邮上证380      0.908  0.916  -0.87%  1.418          0.4    中邮创业基金
590008  中邮战略            3.218  3.260  -1.28%  3.218          7.9    中邮创业基金
590009  中邮稳定A          1.088  1.087    0.09%  1.438        54.5    中邮创业基金
610001  信达领先            1.068  1.073  -0.42%  1.620        10.5    信达澳银基金
610002  信达精华            1.393  1.389    0.28%  2.273          1.0    信达澳银基金
610003  稳定价值A          1.015  1.014    0.09%  1.628          0.1    信达澳银基金
610004  信达中小盘        1.286  1.295  -0.69%  1.286          0.6    信达澳银基金
610005  信达红利            0.792  0.790    0.25%  0.992          0.6    信达澳银基金
610006  信达产业            1.021  1.027  -0.58%  1.491          1.0    信达澳银基金
610007  信达消费            1.055  1.059  -0.37%  1.545          0.3    信达澳银基金
610008  信达信用债A      1.155  1.169  -1.19%  1.155          3.1    信达澳银基金
620001  金顺动力            1.112  1.111    0.12%  1.172          0.9    金元顺安基金
620002  金顺成长            0.896  0.904  -0.88%  1.116          0.9    金元顺安基金
620003  金顺丰利            1.051  1.054  -0.28%  1.340        23.1    金元顺安基金
620004  金顺价值            0.637  0.641  -0.62%  0.637          0.5    金元顺安基金
620006  金顺消费            0.991  0.991    0.00%  0.991          0.1    金元顺安基金
620007  金顺优质精选A  0.985  0.991  -0.60%  1.105          1.4    金元顺安基金
620009  金顺丰祥            1.062  1.065  -0.28%  1.262          1.5    金元顺安基金
630001  华商领先            0.706  0.710  -0.63%  2.167        25.1    华商基金        
630002  华商盛世            2.352  2.353  -0.03%  4.007        11.3    华商基金        
630003  华商收益A          1.179  1.179    0.00%  1.704          0.8    华商基金        
630005  华商动态            1.055  1.056  -0.09%  1.495          8.5    华商基金        
630006  华商产业            0.981  0.984  -0.30%  1.211          1.8    华商基金        
630007  华商稳健A          1.416  1.421  -0.35%  1.477          1.1    华商基金        
630008  华商策略            0.961  0.964  -0.31%  1.491          8.8    华商基金        
630009  华商稳增A          1.314  1.317  -0.22%  1.644          1.6    华商基金        
630010  华商价值            1.074  1.076  -0.18%  1.984          7.7    华商基金        
630011  华商主题            1.130  1.139  -0.79%  2.030          5.2    华商基金        
630015  华商大盘            1.092  1.095  -0.27%  1.772          4.3    华商基金        
630016  华商配置            1.744  1.743    0.05%  2.104          1.9    华商基金        
650001  英大纯债A          1.120  1.119    0.08%  1.382          9.9    英大基金        
660001  农银成长A          1.940  1.962  -1.15%  2.540          9.8    农银汇理基金
660002  农银增利A          1.293  1.293    0.00%  1.696          1.3    农银汇理基金
660003  农银双利            1.347  1.361  -0.99%  1.962          2.5    农银汇理基金
660004  农银价值            1.807  1.827  -1.07%  1.807          1.9    农银汇理基金
660005  农银中小盘        1.841  1.868  -1.45%  2.203          4.1    农银汇理基金
660006  农银蓝筹            1.039  1.040  -0.17%  1.039          2.3    农银汇理基金
660008  农银300A            1.241  1.240    0.07%  1.241          6.8    农银汇理基金
660009  农理增强A          1.551  1.551  -0.02%  1.622          0.3    农银汇理基金
660010  农银策略            1.055  1.073  -1.63%  1.055        20.8    农银汇理基金
660011  农银500              1.243  1.257  -1.11%  1.243          0.8    农银汇理基金
660012  农银消费A          2.076  2.106  -1.39%  2.156          3.8    农银汇理基金
660013  农银信用            1.081  1.082  -0.08%  1.422          0.3    农银汇理基金
660015  农银行业            2.722  2.755  -1.20%  2.822          1.0    农银汇理基金
671010  西部利得策略    0.856  0.861  -0.58%  0.856          2.7    西部利得基金
671030  西部利得事件    1.150  1.154  -0.37%  1.150          0.1    西部利得基金
673010  西部利得新动向0.926  0.927  -0.10%  1.461          2.2    西部利得基金
673020  西部利得成长    1.044  1.040    0.38%  1.044          1.3    西部利得基金
673030  西部利得优选    1.042  1.041    0.09%  1.180          1.1    西部利得基金
673040  西部行业主题A  1.169  1.169    0.00%  1.169          1.0    西部利得基金
673050  西部利得新盈    1.064  1.064    0.00%  1.064          0.5    西部利得基金
673060  西部利得景瑞    1.118  1.121  -0.26%  1.118          1.3    西部利得基金
673071  西部利得新动力1.125  1.125  -0.04%  1.338          1.7    西部利得基金
673081  西部利得祥运A  1.042  1.041    0.02%  1.172          1.7    西部利得基金
673090  西部个股精选    0.980  0.979    0.02%  1.102          1.0    西部利得基金
673100  西部沪深300A    1.123  1.123  -0.03%  1.242          0.1    西部利得基金
673110  西部利得新润    1.043  1.046  -0.28%  1.043          1.9    西部利得基金
673120  西部利得新富    1.118  1.118    0.00%  1.118          0.8    西部利得基金
673141  西部景程A          1.116  1.116    0.00%  1.116          0.7    西部利得基金
675011  西部利得稳健双1.029  1.025    0.39%  1.184          2.6    西部利得基金
675011  西部利得稳健双1.029  1.030  -0.09%  1.184          2.6    西部利得基金
675041  西部利得合享A  1.036  1.035    0.02%  1.116        41.7    西部利得基金
675051  西部利得合赢A  1.075  1.076  -0.08%  1.075          0.0    西部利得基金
675081  西部利得祥盈A  1.146  1.147  -0.10%  1.146          0.6    西部利得基金
675091  西部祥逸A          1.111  1.111    0.00%  1.111          0.1    西部利得基金
675100  西部利得得尊    1.100  1.100    0.05%  1.100          1.5    西部利得基金
675111  西部汇享A          1.166  1.166    0.00%  1.166          2.6    西部利得基金
675121  西部汇逸A          1.011  1.011    0.00%  1.057        20.4    西部利得基金
675161  西部利得汇盈A  1.045  1.045    0.03%  1.045          1.3    西部利得基金
686868  浙商聚盈纯债A  1.080  1.081  -0.04%  1.316        19.4    浙商基金        
688888  浙商聚潮            0.973  0.979  -0.61%  1.274          2.7    浙商基金        
690001  民生蓝筹            2.105  2.112  -0.33%  2.135          0.7    民生加银基金
690002  民生强债A          1.621  1.623  -0.12%  2.034          9.7    民生加银基金
690003  民生精选            0.961  0.971  -1.02%  0.961          1.2    民生加银基金
690004  民生稳健            1.554  1.566  -0.76%  1.554          0.4    民生加银基金
690005  民生内需            1.751  1.762  -0.62%  1.751          1.1    民生加银基金
690006  民生双利A          1.549  1.558  -0.57%  1.579          7.7    民生加银基金
690007  民生景气            2.636  2.628    0.30%  2.636          4.9    民生加银基金
690008  民生内地            0.622  0.629  -1.11%  0.622          1.4    民生加银基金
690009  民生回报            1.791  1.786    0.27%  2.089          0.5    民生加银基金
690011  民生积极成长    1.308  1.314  -0.45%  1.308          0.3    民生加银基金
700001  平安先锋            1.141  1.149  -0.69%  1.421          2.0    平安基金        
700002  平安深证300      1.465  1.474  -0.61%  1.545          0.5    平安基金        
700003  平安策略            1.629  1.641  -0.73%  1.729          0.5    平安基金        
700004  平安灵活配置    1.162  1.169  -0.60%  1.451          0.3    平安基金        
700005  平安添利A          1.385  1.384    0.05%  1.523        40.3    平安基金        
700006  平安添利C          1.346  1.345    0.05%  1.480                    平安基金        
710001  安达优势            1.917  1.924  -0.35%  1.917          6.9    富安达基金    
710002  安达策略            2.322  2.332  -0.42%  2.362          1.9    富安达基金    
710301  安达收益A          1.075  1.091  -1.46%  1.095          1.8    富安达基金    
720001  财通价值            1.697  1.674    1.37%  2.168          5.0    财通基金        
720002  财通稳健增长A  0.966  0.968  -0.22%  1.225          0.2    财通基金        
720003  财通收益增强A  1.249  1.249    0.00%  1.249          0.2    财通基金        
730001  方正创新A          1.044  1.055  -1.06%  1.794          0.9    方正富邦基金
730002  方正红利            0.975  0.979  -0.40%  1.245          0.1    方正富邦基金
740001  长安宏观            1.153  1.148    0.43%  1.973          0.6    长安基金        
740101  长安300              0.994  0.993    0.10%  1.498          0.6    长安基金        
750001  安信灵活            1.155  1.157  -0.17%  1.745          0.7    安信基金管理
750002  安信目标A          1.092  1.092    0.00%  1.424          1.8    安信基金管理
750005  安信平稳A          1.247  1.246    0.06%  1.727          0.6    安信基金管理
762001  国金国鑫发起    1.594  1.593    0.09%  2.287          1.5    国金基金        
770001  德邦优化            0.966  0.965    0.14%  1.766          0.4    德邦基金
000009    易基理财货币A                    0.647    2.445      689          易方达基金    
000198    天弘余额宝                          0.625    2.311      10352      天弘基金        
000203    国富日日收益货币A            0.442    2.267      6              国海富兰克林
000210    光大现金宝A                        1.704    2.782      100          光大保德信基
000300    德邦德利货币A                    0.536    1.954      16            德邦基金        
000324    华润元大现金A                    0.578    2.128      5              华润元大基金
000330    汇添富现金宝                      0.707    2.626      581          汇添富基金管
000331    中加货币A                            0.677    2.367      293          中加基金        
000343    华夏财富宝A                        1.964    3.171      871          华夏基金        
000359    易基易理财                          0.684    2.590      1826        易方达基金    
000366    汇添富添富通A                    0.694    2.566      51            汇添富基金管
000371    民生现金宝A                        0.749    2.740      341          民生加银基金
000379    平安日增利货币                  0.645    2.413      1414        平安基金        
000380    景顺景益货币A类                0.645    2.376      973          景顺长城基金
000389    广发天天红A                        0.645    2.381      315          广发基金        
000397    汇添富全额宝货币              0.645    2.461      990          汇添富基金管
000424    长盛添利宝货币A                0.583    2.160      45            长盛基金        
000434    新华壹诺宝A                        0.657    2.501      67            新华基金管理
000439    国金鑫盈货币                      0.912    2.110      1              国金基金        
000464    嘉实活期宝货币                  0.665    2.466      135          嘉实基金        
000475    广发天天利A                        0.660    2.448      886          广发基金        
000483    鑫元货币A                            1.415    2.667      94            鑫元基金        
000493    南方现金通A                        0.700    2.622      1043        南方基金管理
000505    国寿货币A                            0.657    2.414      113          国寿安保基金
000509    广发钱袋子货币A                0.659    2.442      156          广发基金        
000528    工银薪金货币A类                0.712    2.717      162          工银瑞信基金
000533    永赢货币                              0.953    2.751      205          永赢基金        
000539    中银活期宝货币                  0.683    2.476      1006        中银基金        
000540    国金金腾通货币A                0.800    2.840      205          国金基金        
000542    上银慧财宝货币A                0.668    2.410      132          上银基金        
000548    鹏华聚财通                          0.601    2.295      8              鹏华基金        
000559    诺安天天宝A                        0.651    2.400      454          诺安基金        
000569    鹏华增值宝货币                  0.661    2.430      214          鹏华基金        
000575    兴全添利宝货币                  0.569    2.695      660          兴全基金
000576    中邮货币A                            0.501    1.874      1              中邮创业基金
000581    嘉实活钱包货币A                0.597    2.462      141          嘉实基金        
000588    招商招钱宝A                        0.625    2.234      1436        招商基金        
000599    信诚薪金宝                          0.641    2.683      301          中信保诚基金
000600    汇添富和聚宝                      0.710    2.643      211          汇添富基金管
000602    富国安益                              0.687    2.554      87            富国基金        
000604    银华多利宝A                        0.683    2.548      187          银华基金管理
000615    长城工资宝A                        0.688    2.328      38            长城基金        
000618    嘉实薪金宝                          0.659    2.394      239          嘉实基金        
000620    易方达现金增利A                0.723    2.680      277          易方达基金    
000626    大成丰财宝货币A                0.706    2.625      141          大成基金        
000638    富国富钱包                          0.642    2.374      348          富国基金        
000640    诺安理财宝A                        0.715    2.583      59            诺安基金        
000644    招商招金宝A                        0.648    2.428      11            招商基金        
000645    华夏薪金宝                          0.674    2.484      180          华夏基金        
000647    易基财富快线A                    0.664    2.539      319          易方达基金    
000657    银华活钱宝A                        0.000    0.000      474          银华基金管理
000677    工银现金快线                      0.729    2.700      215          工银瑞信基金
000681    信达慧管家A                        0.585    2.781      57            信达澳银基金
000686    建信嘉薪宝A                        0.748    2.758      15            建信基金管理
000687    南方薪金宝                          0.702    2.588      145          南方基金管理
000693    建信现金添利A                    0.735    2.716      3005        建信基金管理
000699    中银薪钱包                          0.755    2.713      73            中银基金        
000701    景顺景丰A                            0.647    2.440      120          景顺长城基金
000704    易基天天增利A                    0.519    1.975      12            易方达基金    
000709    华安汇财通                          0.697    2.578      146          华安基金        
000710    交银现金宝A                        0.609    2.243      73            交银施罗德基
000712    上投天添宝A                        0.533    1.962      7              上投摩根基金
000721    兴业货币A                            1.451    2.703      70            兴业基金        
000724    大成添利宝A                        0.659    2.439      305          大成基金        
000730    博时现金宝A                        0.699    2.651      467          博时基金        
000734    博时天天A                            0.609    2.232      12            博时基金        
000738    中信建投货币A                    0.558    2.026      0              中信建投基金
000748    广发活期宝A                        0.949    2.903      483          广发基金        
000750    安信现金增利A                    0.547    1.963      2              安信基金管理
000759    平安财富宝                          0.759    2.705      587          平安基金        
000760    工银财富货币A                    0.623    2.311      11            工银瑞信基金
000771    诺安聚鑫宝A                        0.598    2.214      150          诺安基金        
000773    万家现金宝A                        0.648    2.424      114          万家基金        
000789    易基龙宝A                            0.644    2.422      19            易方达基金    
000797    方正金小宝                          0.742    2.749      135          方正富邦基金
000816    南方理财金A                        0.612    2.334      67            南方基金管理
000829    易方达天天发A                    0.655    2.437      215          易方达基金    
000836    国投钱多宝A                        0.773    3.270      21            国投瑞银基金
000847    中融货币A                            0.581    2.773      143          中融基金        
000848    工银添益快线                      0.738    2.907      1072        工银瑞信基金
000855    上投天添盈A                        0.660    2.304      80            上投摩根基金
000860    银华惠增利                          0.754    2.796      128          银华基金管理
000868    国投增利宝A                        0.619    2.235      53            国投瑞银基金
000871    北信宜投宝A                        0.444    1.654      80            北信瑞丰基金
000873    华安现金宝A                        0.650    2.387      75            华安基金        
000882    中金现金管家A                    0.560    2.138      95            中金基金        
000895    国寿薪金宝                          0.704    2.581      343          国寿安保基金
000901    国开货币A                            0.618    2.399      1              国开泰富基金
000903    新华活期添利A                    0.689    2.527      98            新华基金管理
000905    鹏华安盈宝                          0.806    2.945      263          鹏华基金        
000907    农银红利日结A                    0.744    2.509      1025        农银汇理基金
000912    英大现金宝                          0.526    4.151      9              英大基金        
000917    嘉实快线货币A                    0.869    2.946      558          嘉实基金        
000921    中邮现金驿站A                    0.651    2.299      36            中邮创业基金
000981    北信现金添利A                    0.363    1.983      9              北信瑞丰基金
001006    中信建投凤凰A                    0.636    2.129      3              中信建投基金
001010    易基增金宝                          0.646    2.316      52            易方达基金    
001026    诺安理财宝C                        0.716    2.581                      诺安基金        
001077    华夏现金宝A                        0.656    2.434      100          华夏基金        
001094    国投添利宝A                        0.651    2.466      260          国投瑞银基金
001096    国寿聚宝盆                          0.729    2.664      13            国寿安保基金
001101    银华惠添益                          0.582    2.186      4              银华基金管理
001211    中欧滚钱宝A                        0.667    2.493      992          中欧基金        
001232    嘉合货币A                            0.657    2.205      162          嘉合基金        
001234    国金众赢货币                      1.073    2.990      220          国金基金        
001308    博时外服货币                      0.736    2.531      57            博时基金        
001386    天弘弘运宝A                        0.998    2.927      162          天弘基金        
001401    德邦如意                              0.662    2.659      25            德邦基金        
001477    泰康薪意保A                        0.620    2.259      205          泰康资产管理
001526    鑫元安鑫宝A                        1.433    3.468      38            鑫元基金        
001529    天弘云商宝                          0.680    2.497      1139        天弘基金        
001624    兴业添天盈A                        0.720    2.719      10            兴业基金        
001666    鹏华添利宝                          0.722    2.700      1422        鹏华基金        
001697    恒丰宝货币A                        0.550    2.054      1              大成基金        
001820    兴全天添益A                        0.741    2.668      212          兴全基金
001826    国寿增金宝                          0.584    2.479      129          国寿安保基金
001842    九泰日添金A                        0.569    2.176      12            九泰基金        
001870    前海开源货币A                    0.512    2.081      179          前海开源基金
001894    泰达活期友A                        1.160    2.575      2              泰达宏利基金
001909    创金货币                              2.194    3.029      53            创金合信基金
001916    新沃通宝A                            1.491    3.001      38            新沃基金        
001925    兴业鑫天盈A                        2.714    3.441      54            兴业基金        
001929    华夏收益A                            2.239    3.276      69            华夏基金        
001931    国寿鑫钱包                          1.759    3.250      114          国寿安保基金
001937    兴银现金增利                      0.685    2.473      24            兴银基金管理
001973    光大信耀钱包A                    0.675    2.500      52            光大保德信基
001981    富国收益宝A                        0.842    2.413      321          富国基金        
001987    东方金元宝                          0.663    2.471      10            东方基金管理
001991    农银汇理天天利A                0.557    2.039      2              农银汇理基金
002077    浙商日添利A                        0.515    1.885      1              浙商基金        
002184    泓德泓利A                            0.623    2.273      3              泓德基金        
002195    中银现金货币                      0.803    2.359      147          中银基金        
002200    大成慧成A                            0.448    1.718      0              大成基金        
002243    东方金证通                          0.660    2.404      8              东方基金管理
002247    新疆海盈货币A                    0.644    2.377      50            新疆前海联合
002260    中信添鑫宝                          0.578    2.171      112          中信建投基金
002298    招商招福宝A                        0.683    2.467      0              招商基金        
002318    鹏华添利A                            0.545    2.016      0              鹏华基金        
002324    南方日添益A                        0.652    2.430      115          南方基金管理
002646    中科沃土货币A                    0.608    2.244      1              中科沃土基金
002672    诺德货币A                            0.620    2.238      119          诺德基金        
002679    工银安盈货币A                    0.640    2.351      27            工银瑞信基金
002709    红塔人人宝A                        0.576    2.826      44            红塔红土基金
002733    上银慧盈利                          0.764    2.815      31            上银基金        
002758    建信现金增利                      0.768    2.886      977          建信基金管理
002759    东兴安盈宝A                        0.567    1.921      65            东兴证券股份
002788    融通现金宝A                        0.626    2.949      22            融通基金        
002852    财富宝A                                0.751    2.735      110          招商基金        
002883    华润元大现金通A                0.589    2.246      7              华润元大基金
002889    交银天利宝A                        1.670    2.670      11            交银施罗德基
002894    华夏天利A                            0.634    2.333      98            华夏基金        
002912    兴业稳天盈A                        0.728    2.477      455          兴业基金        
002936    华夏沃利A                            0.718    3.020      12            华夏基金        
002957    财通宝A                                0.565    2.083      88            财通基金        
002960    博时合利货币                      0.549    2.048      0              博时基金        
003003    华夏现金增利货币A            0.680    2.328      577          华夏基金        
003022    建信现金添益                      0.764    2.931      279          建信基金管理
003034    平安日鑫A                            0.762    2.902      11            平安基金        
003042    交银活期通货币A                0.672    2.351      374          交银施罗德基
003206    博时合鑫                              0.750    2.788      169          博时基金        
003228    浦银日日鑫A                        0.632    2.374      293          浦银安盛基金
003246    华泰天添宝A                        0.672    2.579      271          华泰柏瑞基金
003252    大成添益A                            0.615    2.278      30            大成基金        
003316    中银现金管家A                    0.604    2.162      94            中银国际证券
003363    长江乐享A                            0.617    2.225      67            长江证券(上  
003388    招商招益宝A                        0.459    1.697      0              招商基金        
003391    建信天添益A                        1.008    2.795      63            建信基金管理
003398    太平日日金A                        0.587    2.129      38            太平基金        
003402    安信活期宝A                        0.731    2.640      40            安信基金管理
003422    国寿添利货币A                    0.578    2.196      140          国寿安保基金
003460    嘉实现金宝                          0.454    1.933      1              嘉实基金        
003465    平安金管家                          0.723    2.643      100          平安基金        
003467    富荣货币A                            0.628    2.644      25            富荣基金        
003473    南方天天利A                        0.745    2.737      1247        南方基金管理
003478    民生腾元宝A                        0.550    2.015      0              民生加银基金
003479    鑫管家A                                1.286    2.493      280          财通证券资产
003482    交银天鑫宝A                        0.663    2.434      102          交银施罗德基
003515    国泰利是宝                          0.668    2.521      1290        国泰基金        
003525    兴银现金收益                      0.709    2.777      20            兴银基金管理
003534    浦银日日丰A                        0.714    2.628      111          浦银安盛基金
003537    招商招利宝A                        0.766    2.813      242          招商基金        
003585    先锋现金宝                          0.619    2.243      8              先锋基金        
003588    东吴增鑫宝A                        0.670    2.341      69            东吴基金        
003678    中融现金增利A                    0.701    2.638      347          中融基金        
003711    泰达京元宝A                        0.666    2.673      144          泰达宏利基金
003752    工银如意货币A                    0.695    2.589      659          工银瑞信基金
003874    浙商日添金A                        0.688    2.548      104          浙商基金        
003968    交银天益宝A                        0.631    2.372      59            交银施罗德基
003997    泓德添利货币A                    0.730    2.352      6              泓德基金        
004039    中欧骏泰                              0.731    2.699      136          中欧基金        
004056    华夏惠利A                            0.635    2.424      73            华夏基金        
004060    博时兴盛                              0.539    2.144      0              博时基金        
004072    金元金通宝A                        0.598    2.225      19            金元顺安基金
004077    金信民发货币A                    0.637    2.385      3              金信基金        
004097    农银日日鑫A                        0.665    2.477      48            农银汇理基金
004120    国富安享货币                      0.595    2.200      83            国海富兰克林
004121    兴银现金添利                      0.600    2.709      9              兴银基金管理
004133    中航航行宝                          0.560    2.156      1              中航基金        
004137    博时合惠B                            0.794    3.026      856          博时基金        
004151    先锋日添利A                        0.585    2.158      7              先锋基金        
004169    万家现金A                            0.650    2.411      107          万家基金        
004173    嘉实增益宝                          0.911    2.069      61            嘉实基金        
004178    圆信永丰丰润A                    0.594    2.520      19            圆信永丰基金
004185    江信增利货币A                    0.585    2.263      5              江信基金        
004198    华富天益货币A                    0.641    2.356      287          华富基金        
004216    兴业安润货币A                    0.725    2.558      531          兴业基金        
004261    招商招禧宝A                        0.729    2.704      70            招商基金        
004282    博时兴荣                              0.743    2.622      57            博时基金        
004285    华富天盈A                            0.596    2.211      1              华富基金        
004330    太平日日鑫A                        0.631    2.331      36            太平基金        
004368    前海聚财宝A                        1.126    2.778      6              前海开源基金
004372    金鹰增益货币A                    0.937    2.717      133          金鹰基金        
004449    上银慧增利                          0.738    2.635      339          上银基金        
004473    前海开源尊享A                                                  0              前海开源基金
004493    华泰保兴货币A                    0.589    2.218      53            华泰保兴基金
004501    嘉实现金添利                      1.006    2.789      719          嘉实基金        
004502    中银如意宝A                        0.599    2.140      0              中银基金        
004545    永赢天天利                          1.293    2.975      313          永赢基金        
004684    鹏华盈余宝A                        0.432    1.569      0              鹏华基金        
004699    前海联合汇盈A                    0.606    2.360      3              新疆前海联合
004717    万家天添宝A                        0.658    2.430      93            万家基金        
004770    海富通添益货币A                0.669    2.456      261          海富通基金    
004776    鹏华金元宝                          0.764    2.792      431          鹏华基金        
004786    汇添金货币A                        0.552    2.051      4              渤海汇金证券
004860    华泰紫金零钱宝                  0.638    2.509      2              华泰证券(上  
004861    泰康现金管家A                    0.641    2.779      23            泰康资产管理
004865    格林日鑫月熠A                    0.567    2.122      12            格林基金        
004896    鹏华兴鑫宝                          0.725    2.688      113          鹏华基金        
004903    人保货币A                            0.681    2.378      204          中国人保资产
004967    红土创新货币A                    0.335    1.888      91            红土创新基金
004970    南方天天宝A                        0.692    2.405      102          南方基金管理
004972    长城收益宝A                        0.767    2.731      55            长城基金        
004983    鹏扬现金通利A                    0.527    2.214      58            鹏扬基金        
004985    博时合晶                              0.529    2.094      0              博时基金        
005002    交银天运宝A                        0.490    1.744      0              交银施罗德基
005016    长江优享A                            0.592    2.229      6              长江证券(上  
005020    信诚智惠金                          0.645    2.389      0              中信保诚基金
005056    东方红货币A                        0.545    2.002      15            上海东方证券
005134    长信长金通A                        0.660    2.707      77            长信基金管理
005150    红土创新优淳A                    0.646    1.852      7              红土创新基金
020007    国泰货币                              0.721    2.681      17            国泰基金        
020031    国泰现金A                            0.622    2.347      0              国泰基金        
040003    华安富利A                            0.581    2.209      51            华安基金        
040038    华安日日鑫A                        0.674    2.475      1600        华安基金        
050003    博时现金A                            0.650    2.392      1798        博时基金        
070008    嘉实货币A                            0.907    2.599      372          嘉实基金        
070028    嘉实安心A                            0.470    1.683      16            嘉实基金        
080011    长盛货币A                            0.619    2.307      78            长盛基金        
090005    大成货币A                            0.557    2.070      3              大成基金        
090022    大成现金A                            0.608    2.248      326          大成基金        
100025    富国天时A                            0.813    2.370      247          富国基金        
110006    易基货币A                            0.438    2.080      370          易方达基金    
121011    国投货币                              0.711    2.726      94            国投瑞银基金
150005    银河银富                              0.647    2.387      225          银河基金        
150988    银河钱包货币A                    1.165    2.916      152          银河基金        
159001    保证金A                                0.467    1.701      0              易方达基金    
159003    招商快线A                            0.550    2.186      0              招商基金        
159005    添富快钱A                            0.636    2.151      0              汇添富基金管
160606    鹏华货币A                            0.663    2.349      36            鹏华基金        
161608    融通货币A                            0.632    2.303      239          融通基金        
161622    融通汇财宝A                        0.610    2.399      378          融通基金        
162206    泰达宏利货币A                    0.910    2.491      14            泰达宏利基金
163802    中银货币A                            0.355    1.779      18            中银基金        
166014    中欧货币A                            0.533    1.872      50            中欧基金        
180008    银华货币A                            0.612    2.310      419          银华基金管理
200003    长城货币A                            0.705    2.428      514          长城基金        
202301    南方现金A                            0.817    2.547      524          南方基金管理
202307    南方收益宝A                        0.709    2.594      111          南方基金管理
210012    金鹰货币A                            0.651    2.447      226          金鹰基金        
213009    宝盈货币A                            0.782    2.333      89            宝盈基金        
217004    招商现金A                            0.611    2.376      207          招商基金        
240006    华宝货币A                            0.674    2.462      47            华宝基金        
253050    国联安货币A                        0.587    2.315      88            国联安基金    
260102    景顺货币A                            0.429    1.539      4              景顺长城基金
270004    广发货币A                            0.630    2.277      141          广发基金        
288101    华夏货币A                            0.588    2.704      161          华夏基金        
290001    泰信天天A                            0.549    2.055      2              泰信基金        
310338    收益宝A                                0.554    2.076      66            申万菱信基金
320002    诺安货币A                            0.530    2.050      19            诺安基金        
340005    兴全货币A                            0.744    2.672      272          兴全基金
350004    天治货币                              0.556    2.021      1              天治基金        
360003    光大货币                              0.517    1.878      50            光大保德信基
370010    上投货币A                            0.576    2.060      720          上投摩根基金
392001    中海货币A                            0.643    2.336      53            中海基金        
400005    东方金账簿货币A                0.985    2.467      66            东方基金管理
410002    华富货币A                            0.546    1.756      42            华富基金        
420006    天弘货币A                            0.815    2.537      101          天弘基金        
460006    华泰货币A                            0.639    2.312      45            华泰柏瑞基金
482002    工银货币                              0.687    2.573      1806        工银瑞信基金
511650    华夏快线                              0.621    2.167      0              华夏基金        
511670    华泰天金                              0.743    2.781      22            华泰证券(上  
511830    华泰货币                              0.586    2.116      0              华泰柏瑞基金
511860    博时货币                              0.559    2.122      0              博时基金        
511930    中融日盈A                            0.548    2.082      13            中融基金        
519505    海富货币A                            0.606    2.264      163          海富通基金    
519508    万家货币A                            0.605    2.212      206          万家基金        
519509    浦银货币A                            0.674    2.533      345          浦银安盛基金
519511    万家日日薪A                        0.434    1.684      0              万家基金        
519518    添富货币A                            0.714    2.640      288          汇添富基金管
519566    浦银日日盈A                        0.967    2.076      87            浦银安盛基金
519588    交银货币A                            0.565    1.959      6              交银施罗德基
519800    华夏保证金A                        0.500    1.750      215          华夏基金        
519808    嘉实宝A/B                            0.442    1.537      132          嘉实基金        
519858    广发现金宝场内货币          0.553    2.022      4              广发基金        
519878    国保A                                    0.549    2.036      587          国寿安保基金
519888    添富快线                              0.498    2.072      19998      汇添富基金管
519898    现金宝A                                0.479    1.756      497          大成基金        
519999    长信利息A                            0.805    2.219      117          长信基金管理
530002    建信货币A                            0.655    2.660      40            建信基金管理
540011    汇丰货币A                            0.564    1.951      117          汇丰晋信基金
550010    信诚货币A                            0.525    1.944      66            中信保诚基金
560001    益民货币                              0.407    1.681      0              益民基金        
583001    东吴货币A                            0.657    2.411      49            东吴基金        
620010    金顺金元宝A                        0.802    2.498      118          金元顺安基金
630012    华商现金增利A                    0.516    2.008      7              华商基金        
660007    农银货币                              0.639    2.389      99            农银汇理基金
675031    西部利得天添鑫A                0.655    2.477      3              西部利得基金
675061    西部天添富A                        0.675    2.495      233          西部利得基金
675071    西部天添金A                        0.764    2.639      3              西部利得基金
690010    民生现金A                            0.631    2.292      38            民生加银基金
710501    安达货币A                            0.507    1.948      8              富安达基金    
730003    方正货币A                            0.620    2.216      10            方正富邦基金
740601    长安货币A                            0.518    1.881      53            长安基金        
750006    安信现金A                            0.627    2.250      50            安信基金管理
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