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 名称代码最新价涨跌幅总资产时间
 Reliance Floating Rate Fund Short Term Plan Weekly0P0000.10.270+0.01%79.46B31/05 
 Reliance Floating Rate Fund - Short Term Plan - Gr0P0000.41.229+0.01%79.46B31/05 
 Reliance Floating Rate Fund Short Term Plan Daily 0P0000.10.262-0.01%79.46B31/05 
 Reliance Floating Rate Fund - Short Term Plan - Di0P0000.43.243+0.01%79.46B31/05 
 Reliance Floating Rate Fund Short Term Plan Direct0P0000.19.293+0.01%79.46B31/05 
 Reliance Floating Rate Fund Short Term Plan Direct0P0000.11.275+0.01%79.46B31/05 
 Reliance Floating Rate Fund Short Term Plan Divide0P0000.18.616+0.01%79.46B31/05 
 Reliance Floating Rate Fund Short Term Plan Direct0P0000.10.894+0.01%79.46B31/05 
 Reliance Floating Rate Fund Short Term Plan Monthl0P0000.11.078+0.01%79.46B31/05 
 Reliance Floating Rate Fund Short Term Plan Direct0P0000.10.273+0.01%79.46B31/05 
 Reliance Floating Rate Fund Short Term Plan Quarte0P0000.10.998+0.01%79.46B31/05 
 Reliance Floating Rate Fund Short Term Plan Direct0P0000.10.283-0.01%79.46B31/05 
 Nippon India Nivesh Lakshya Fund - Direct Plan - G0P0001.16.657+0.12%74.33B31/05 
 Reliance Money Manager Fund - Direct Plan - Bonus 0P0000.2,114.418+0.01%58.05B31/05 
 Reliance Money Manager Fund Direct Plan Weekly Div0P0000.1,009.560+0.01%58.05B31/05 
 Reliance Money Manager Fund Retail Quarterly Divid0P0000.1,026.015+0.01%58.05B31/05 
 Reliance Money Manager Fund - Direct Plan - Growth0P0000.3,639.924+0.01%58.05B31/05 
 Reliance Money Manager Fund Retail Daily Dividend 0P0000.1,008.959-0.01%58.05B31/05 
 Reliance Money Manager Fund - Bonus0P0000.2,005.296+0.01%58.05B31/05 
 Reliance Money Manager Fund Retail Weekly Dividend0P0000.1,009.553+0.01%58.05B31/05