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基金代码 基金简称 净值日期 单位净值 累计净值 近一月 近三月 近 ...
018059兴合锦安利率债A2024-09-19 2.0044 2.8214 0.46% 0.66% 0.60% 183.60% 2.33% 183.63% ...
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今日热点
Alabama mass shooting
Daylight saving time
Ga. suspect's mom indicted
San Francisco homelessness
Released after guilty plea
Biden hosts 'Quad' summit
Pandas leaving for China
Suns broadcaster dies
Drug price challenge revived
No. 1 at box office again
CA firefighter held for arson
Former WA governor dies
Donlon's homes searched
J&J unit files for bankruptcy
ISR raids Al Jazeera office
Boeing defense chief exits
CA bill to protect kids online
TN abortion law blocked
SC 1st execution in 13 years
Robinson loses key staff
California plastic bag ban
Iran coal mine blast
Sesame Place suit verdict
Hezbollah rockets hit Israel
Free COVID-19 tests
Economic speech this week
Dolphins legend Morris dies
PM Modi visits US
Trump to campaign in MI
No govt. shutdown for now
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