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基金名称基金代码净值日期 单位净值累计净值日涨跌幅
南华瑞盈混合发起A 004845 2025-09-02 1.3749 1.3749 0.28%
南华瑞盈混合发起C 004846 2025-09-02 1.3921 1.3921 0.28%
南华丰淳混合A 005296 2025-09-02 1.7260 1.9048 2.08%
南华丰淳混合C 005297 2025-09-02 1.6409 1.8125 2.08%
南华丰汇混合A 015245 2025-09-02 1.8048 1.8048 -1.32%
南华丰汇混合C 021526 2025-09-02 1.7924 1.7924 -1.32%
南华丰元量化选股混合A 020117 2025-09-02 1.3821 1.3821 -1.11%
南华丰元量化选股混合C 020118 2025-09-02 1.3711 1.3711 -1.11%
南华同业存单指数7天持有 019984 2025-09-02 1.0196 1.0196 0.00%
南华丰睿量化选股混合A 021995 2025-09-02 1.1836 1.1836 -1.20%
南华丰睿量化选股混合C 021996 2025-09-02 1.1786 1.1786 -1.21%
南华丰利量化选股混合A 023365 2025-09-02 1.0975 1.0975 -0.83%
南华丰利量化选股混合C 023366 2025-09-02 1.0947 1.0947 -0.84%
南华瑞扬纯债债券A 005047 2025-09-02 1.1314 1.1314 0.03%
南华瑞扬纯债债券C 005048 2025-09-02 1.0884 1.0884 0.02%
南华瑞恒中短债债券A 005513 2025-09-02 1.0797 1.5397 0.01%
南华瑞恒中短债债券C 005514 2025-09-02 1.0706 1.5306 0.01%
南华瑞鑫定期开放债券 005625 2025-09-02 1.0426 1.2612 0.04%
南华瑞元定期开放债券 006667 2025-09-02 1.0576 1.2656 0.03%
南华价值启航纯债债券A 007189 2025-09-02 1.3504 2.5895 -0.04%
南华价值启航纯债债券C 007190 2025-09-02 1.3611 2.6139 -0.04%
南华瑞泽债券A 008345 2025-09-02 1.1205 1.2205 -0.99%
南华瑞泽债券C 008346 2025-09-02 1.0984 1.1984 -0.99%
南华瑞泰39个月定开A 010278 2025-09-02 1.0033 1.1516 0.00%
南华瑞泰39个月定开C 010279 2025-09-02 1.0025 1.1425 0.00%
南华瑞利债券A 011464 2025-09-02 1.0855 1.4585 -0.01%
南华瑞利债券C 011465 2025-09-02 1.0804 1.4104 0.00%
南华瑞诚一年定开债券发起式 015851 2025-09-02 1.0630 1.1068 0.00%
南华瑞富一年定开债券发起式 017928 2025-09-02 1.0384 1.0794 0.04%
南华瑞享纯债A 020701 2025-09-02 1.0220 1.0421 0.01%
南华瑞享纯债C 020702 2025-09-02 1.0208 1.0393 0.01%
南华中证杭州湾区ETF联接A 007842 2025-09-02 1.0096 1.0096 -1.52%
南华中证杭州湾区ETF联接C 007843 2025-09-02 0.9881 0.9881 -1.52%
南华中证杭州湾区ETF [申购赎回清单] 512870 2025-09-02 1.3649 1.3649 -1.59%