一周净值基金表现基金经理手记:下半年债市机会仍需等待东吴基金程涛:十年铸剑收益为上基金每年都会分红吗?基金分红越多越好?保现金分红和红利再投选哪个分红方式更好?基金数据东吴视点2017年8月28日总第622期东吴动态常见问题扫一扫关注东吴基金微信2017年8月28日总第622期期期期一周净值基金名称2017-8-212017-8-222017-8-232017-8-242017-8-25单位累计单位累计单位累计单位累计单位累计净值净值净值净值净值净值净值净值净值净值东吴嘉禾优势0.86652.58650.86152.58150.85492.57490.84542.56540.85702.5770东吴价值成长0.76721.83000.77731.84010.77121.83400.76941.83220.77861.8414东吴行业轮动0.78840.86840.78030.86030.77750.85750.77320.85320.78170.8617东吴进取策略1.00531.52530.99561.51560.99151.51150.98761.50760.99711.5171东吴新经济0.97301.36300.95901.34900.95001.34000.94401.33400.95001.3400东吴新产业精选1.65201.65201.65801.65801.64901.64901.63401.63401.65101.6510东吴内需增长1.09801.67801.09601.67601.09601.67601.09201.67201.09801.6780东吴配臵优化1.31501.31501.31201.31201.31001.31001.30501.30501.31101.3110东吴阿尔法1.17601.17601.17601.17601.17001.17001.16501.16501.17001.1700东吴新趋势0.70500.70500.69600.69600.69400.69400.68100.68100.68200.6820东吴移动互联A1.12601.12601.12001.12001.11801.11801.10701.10701.11601.1160东吴移动互联C1.12001.12001.11401.11401.11101.11101.10001.10001.11001.1100东吴国企改革1.01801.01801.01101.01101.01001.01001.00401.00401.01701.0170东吴安盈量化1.01701.01701.01101.01101.01101.01101.00501.00501.01301.0130东吴安鑫量化1.06801.06801.06901.06901.07201.07201.07001.07001.07801.0780东吴智慧医疗0.89200.89200.88800.88800.88600.88600.87900.87900.88500.8850东吴安享量化1.15301.57301.15201.57201.15101.57101.14801.56801.15401.5740东吴深证1001.21701.21701.21501.21501.21601.21601.21001.21001.22301.2230东吴中证新兴1.22401.22401.21801.21801.21001.21001.20201.20201.21301.2130东吴鼎利(LOF)1.05101.34701.05101.34701.05101.34701.05101.34701.05101.3470东吴中证可转债0.93700.91100.93700.91100.93500.90900.93100.90500.94100.9150可转债A1.03301.17001.03301.17001.03301.17001.03301.17001.03301.1700可转债B0.7130...