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易方达(香港)精选债券基金A类(累积)港元
ISIN: HK0000672128
日涨跌幅(01-07)
+0.06%
单位净值(01-07)
108.48
基本资料
管理公司:
E Fund Management (HK) Co., Ltd
发行日期:
2021-03-24
基金规模:
307.82亿
投资板块:
--
地理分布:
--
管理费率:
+1.00%
近一月
近三月
近六月
近一年
近三年
近一周
+0.16%
近一月
+0.39%
近三月
+0.97%
近六月
+2.59%
今年以来
+0.16%
近一年
+7.46%
近二年
+5.17%
近三年
+15.17%
近五年
--
热议股票
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