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基金名稱[代碼] 凈值日期單位凈值累計凈值日漲跌 近一月今年以來成立以來 操作
淳厚信睿A
[008186]
2025-08-29 3.3141 3.3141 1.23% 14.35% 63.79% 231.41% 購買
淳厚信睿C
[008187]
2025-08-29 3.2240 3.2240 1.23% 14.31% 63.25% 222.40% 購買
淳厚信澤A
[007811]
2025-08-29 2.2553 2.2553 -1.73% 6.19% 22.39% 125.53% 購買
淳厚信澤C
[007812]
2025-08-29 2.1901 2.1901 -1.74% 6.15% 21.96% 119.01% 購買
淳厚欣享A
[009931]
2025-08-29 2.1636 2.1636 1.18% 13.70% 57.31% 116.36% 購買
淳厚欣享C
[009939]
2025-08-29 2.1101 2.1101 1.17% 13.65% 56.78% 111.01% 購買
淳厚欣頤
[010551]
2025-08-29 1.3422 1.3422 0.87% 7.33% 15.16% 34.22% 購買
淳厚鑫悅混合A
[012454]
2025-08-29 0.9640 0.9640 2.35% 11.61% 59.02% -3.60% 購買
淳厚鑫悅混合C
[012455]
2025-08-29 0.9459 0.9459 2.34% 11.57% 58.52% -5.41% 購買
淳厚鑫淳
[011346]
2025-08-29 0.9520 0.9520 1.87% 10.48% 50.04% -4.80% 購買
淳厚時代優選混合A
[014235]
2025-08-29 0.9387 0.9387 0.60% 14.04% 23.40% -6.13% 購買
淳厚時代優選混合C
[014236]
2025-08-29 0.9215 0.9215 0.60% 13.99% 23.00% -7.85% 購買
淳厚中證同業存單AAA指 數7天持有期
[015647]
2025-08-29 1.0575 1.0575 0.01% 0.07% 0.61% 5.75% 購買
淳厚利加混合A
[011563]
2025-08-29 1.1533 1.1533 0.30% 3.55% 11.71% 15.33% 購買
淳厚利加混合C
[011564]
2025-08-29 1.1379 1.1379 0.31% 3.52% 11.30% 13.79% 購買
淳厚優加一年持有混合A
[017107]
2025-03-07 1.1060 1.1060 0.19% 0.88% 3.05% 10.60% 購買
淳厚優加一年持有混合C
[017108]
2025-03-07 1.0966 1.0966 0.18% 0.86% 2.97% 9.66% 購買
淳厚添益債券A
[017498]
2025-08-29 1.1925 1.1925 0.29% 2.33% 9.41% 19.25% 購買
淳厚添益債券C
[017499]
2025-08-29 1.1817 1.1817 0.30% 2.29% 9.13% 18.17% 購買
淳厚中短債A
[008587]
2025-08-29 1.0708 1.1508 0.02% 0.03% 0.42% 15.60% 購買
淳厚中短債C
[008588]
2025-08-29 1.0668 1.1368 0.03% 0.02% 0.26% 14.05% 購買
淳厚益加債券A
[010513]
2025-08-29 1.2235 1.2235 -0.12% 1.15% 7.21% 22.35% 購買
淳厚益加債券C
[010514]
2025-08-29 1.2011 1.2011 -0.12% 1.12% 6.94% 20.11% 購買
淳厚穩惠債券A
[007738]
2025-08-29 1.0100 1.1988 -0.01% -0.05% 0.68% 20.86% 購買
淳厚穩惠債券C
[007739]
2025-08-29 1.0166 1.1782 -0.01% -0.08% 0.38% 18.66% 購買
淳厚穩鑫債券A
[007930]
2025-08-29 1.0204 1.1511 0.00% 0.08% 0.49% 15.80% 購買
淳厚穩鑫債券C
[007931]
2025-08-29 1.0268 1.3076 0.00% 0.06% 0.29% 32.88% 購買
淳厚穩寧6個月定開債
[013008]
2025-08-29 1.0365 1.0860 0.01% 0.07% 0.49% 8.85% 購買
淳厚瑞和債券A
[016986]
2025-08-29 1.0161 1.1081 0.00% 0.08% 1.07% 11.15% 購買
淳厚瑞和債券C
[016987]
2025-08-29 1.0240 1.0948 0.00% 0.06% 0.65% 9.85% 購買
淳厚安裕 87 個月定開債
[009583]
2025-08-29 1.0593 1.2083 -- 0.35% 2.79% 22.63% 購買
淳厚安心87個月定開債
[010627]
2025-08-29 1.0656 1.2056 -- 0.36% 2.90% 22.31% 購買
淳厚穩榮一年定開債發起
[015263]
2025-08-29 1.0310 1.1550 0.01% -0.08% 2.70% 16.26% 購買
淳厚穩嘉債券A
[009434]
2025-01-23 1.0724 1.1874 0.00% -0.07% -0.07% 19.76% 購買
淳厚穩嘉債券C
[009435]
2025-01-23 1.0753 1.1803 -0.01% -0.09% -0.09% 18.95% 購買
淳厚中債1-3年政金債指數
[015966]
2025-03-10 1.0522 1.0822 -0.02% -0.03% -0.19% 8.33% 購買
淳厚穩悅A
[010258]
2025-02-07 1.0710 1.1360 0.01% 0.05% 0.01% 14.15% 購買
淳厚穩悅C
[010259]
2025-02-07 1.0791 1.1490 0.01% 0.05% 0.00% 14.96% 購買
淳厚瑞明債券A
[018520]
2025-03-11 1.0428 1.0428 -0.01% 0.02% 0.01% 4.28% 購買
淳厚瑞明債券C
[018521]
2025-03-11 0.6576 0.6576 -0.02% 0.02% -0.05% -34.24% 購買
淳厚穩豐債券A
[014288]
2025-03-14 1.0407 1.0632 -0.01% 0.03% 0.07% 6.41% 購買
淳厚穩豐債券C
[014289]
2025-03-14 1.0465 1.0669 -0.01% 0.02% 0.01% 6.75% 購買
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淳厚現代服務業A
[011349]
2025-08-29 1.2489 1.2489 1.09% 8.48% 19.57% 24.89% 購買
淳厚現代服務業C
[011350]
2025-08-29 1.2188 1.2188 1.09% 8.42% 19.09% 21.88% 購買
基金名稱[代碼]凈值日期 每萬份收益七日年化收益率 操作
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