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(%)银华鑫锐灵活配置混合(LOF)A1618342024-12-100.49-1.218.24银华鑫峰混合C0153062024-12-100.44-0.808.46银华鑫峰混合A0153052024-12-100.44-0.788.90银华鑫利一年持有期混合0123702024-12-090.25-1.668.65银华鑫盛灵活配置混合(LOF)A5010222024-12-090.27-1.408.00银华鑫盛灵活配置混合(LOF)C0140482024-12-090.27-1.427.58银华鑫锐灵活配置混合(LOF)C0143492024-12-090.25-1.797.07