12月4日博时新能源主题混合A净值下跌1.52%
基金名称基金代码截止日期周净值增长率(%)月净值增长率(%)年净值增长率(%)博时优享回报混合A0157492024-12-040.50-0.327.30博时优享回报混合C0157502024-12-040.50-0.376.77博时移动互联主题混合C0127802024-12-040.30-0.962.75博时移动互联主题混合A0127792024-12-040.31-0.923.35博时互联网主题混合0011252024-12-040.09-0.3611.05博时专精特新主题混合C0142332024-12-042.658.050.25博时专精特新主题混合A0142322024-12-042.678.090.75博时创业板两年定开混合1605292024-12-040.330.506.42博时新能源主题混合A0131032024-12-04-0.770.2213.68博时新能源主题混合C0131042024-12-04-0.780.1713.02
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