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(%)长信先优债券A0048852024-12-090.36-0.584.09长信先优债券C0168202024-12-090.35-0.604.06长信利发债券5199332024-12-090.33-0.804.46长信乐信混合A0046082024-12-090.321.193.86长信先锐混合C0089182024-12-09-0.02-0.434.87长信先锐混合A5199372024-12-09-0.03-0.434.92长信乐信混合C0046092024-12-090.311.163.59