Authorization: Bearer ********************{"pageSize":10,"pageNum":1,"secondClassification":["BROAD_BASED_INDEX"],"firstClassification":"","sortField":"","sortType":0}curl --location --request POST '/ma/bondWindVaneIndex/customer/follow' \
--header 'Authorization: Bearer <token>' \
--header 'Content-Type: application/json' \
--data-raw '{"pageSize":10,"pageNum":1,"secondClassification":["BROAD_BASED_INDEX"],"firstClassification":"","sortField":"","sortType":0}'{
"ret": 0,
"msg": "success",
"err": null,
"data": {
"riseDateTime": "05-21",
"eggDateTime": "05-22",
"pageList": {
"totalCount": 21,
"totalPage": 3,
"currentPage": 1,
"list": [
{
"fundCode": "000975",
"shortName": "华夏MSCI中国A股国际通ETF联接A",
"fundDate": "0",
"fundDateValue": null,
"dayRise": null,
"monthRise": null,
"threeMonthRise": null,
"sixMonthRise": null,
"thisYearRise": null,
"yearRise": null,
"staredYearRise": null,
"netWorthDate": "0",
"netWorthDateValue": null,
"eggs": null,
"followStatus": "follow",
"dailyReturn": null,
"betValue": null,
"betTime": null,
"estimate": "Y"
},
{
"fundCode": "007540",
"shortName": "华泰保兴安悦债券A",
"fundDate": "20240918",
"fundDateValue": "1726588800000",
"dayRise": 0.46,
"monthRise": 2.66,
"threeMonthRise": 4.97,
"sixMonthRise": 6.51,
"thisYearRise": 10.93,
"yearRise": 13.17,
"staredYearRise": 4.5808,
"netWorthDate": "20240918",
"netWorthDateValue": "1726588800000",
"eggs": null,
"followStatus": "follow",
"dailyReturn": 0.4562,
"betValue": -0.1043,
"betTime": null,
"estimate": "N"
},
{
"fundCode": "020741",
"shortName": "华泰保兴安悦债券C",
"fundDate": "20240918",
"fundDateValue": "1726588800000",
"dayRise": 0.44,
"monthRise": 2.63,
"threeMonthRise": 4.92,
"sixMonthRise": 6.44,
"thisYearRise": 8.18,
"yearRise": null,
"staredYearRise": 13.6738,
"netWorthDate": "20240918",
"netWorthDateValue": "1726588800000",
"eggs": null,
"followStatus": "follow",
"dailyReturn": 0.4388,
"betValue": -0.1043,
"betTime": null,
"estimate": "N"
},
{
"fundCode": "000086",
"shortName": "南方稳利1年持有期债券A",
"fundDate": "20240918",
"fundDateValue": "1726588800000",
"dayRise": 0.11,
"monthRise": 0.21,
"threeMonthRise": 0.56,
"sixMonthRise": 1.38,
"thisYearRise": 2.74,
"yearRise": 4.03,
"staredYearRise": 4.6857,
"netWorthDate": "20240918",
"netWorthDateValue": "1726588800000",
"eggs": null,
"followStatus": "follow",
"dailyReturn": 0.1138,
"betValue": -0.0015,
"betTime": null,
"estimate": "N"
},
{
"fundCode": "000200",
"shortName": "博时岁岁增利一年持有期债券金A",
"fundDate": "20240918",
"fundDateValue": "1726588800000",
"dayRise": 0.07,
"monthRise": 0.14,
"threeMonthRise": 0.63,
"sixMonthRise": 1.88,
"thisYearRise": 3.19,
"yearRise": 4.44,
"staredYearRise": 5.2723,
"netWorthDate": "20240918",
"netWorthDateValue": "1726588800000",
"eggs": null,
"followStatus": "follow",
"dailyReturn": 0.0651,
"betValue": -0.0018,
"betTime": null,
"estimate": "N"
},
{
"fundCode": "004356",
"shortName": "嘉实6个月理财债券E",
"fundDate": "20240918",
"fundDateValue": "1726588800000",
"dayRise": 0.02,
"monthRise": 0.14,
"threeMonthRise": 0.44,
"sixMonthRise": 1.27,
"thisYearRise": 1.55,
"yearRise": 2.55,
"staredYearRise": 1.3972,
"netWorthDate": "20240918",
"netWorthDateValue": "1726588800000",
"eggs": null,
"followStatus": "follow",
"dailyReturn": 0.0198,
"betValue": 0.0013,
"betTime": null,
"estimate": "N"
},
{
"fundCode": "003900",
"shortName": "交银施罗德瑞鑫六个月持有期混合A",
"fundDate": "20240918",
"fundDateValue": "1726588800000",
"dayRise": 0.07,
"monthRise": -0.27,
"threeMonthRise": -1.00,
"sixMonthRise": -0.34,
"thisYearRise": -0.33,
"yearRise": -1.23,
"staredYearRise": 6.7543,
"netWorthDate": "20240918",
"netWorthDateValue": "1726588800000",
"eggs": null,
"followStatus": "follow",
"dailyReturn": 0.0723,
"betValue": -0.0094,
"betTime": null,
"estimate": "N"
},
{
"fundCode": "003441",
"shortName": "招商招享纯债C",
"fundDate": "20240918",
"fundDateValue": "1726588800000",
"dayRise": 0.05,
"monthRise": 0.14,
"threeMonthRise": 0.70,
"sixMonthRise": 1.91,
"thisYearRise": 2.17,
"yearRise": null,
"staredYearRise": 0.2864,
"netWorthDate": "20240918",
"netWorthDateValue": "1726588800000",
"eggs": null,
"followStatus": "follow",
"dailyReturn": 0.0490,
"betValue": -0.0005,
"betTime": null,
"estimate": "N"
},
{
"fundCode": "003400",
"shortName": "建信恒瑞债券",
"fundDate": "20240918",
"fundDateValue": "1726588800000",
"dayRise": 0.08,
"monthRise": 0.30,
"threeMonthRise": 0.80,
"sixMonthRise": 1.93,
"thisYearRise": 3.10,
"yearRise": 4.20,
"staredYearRise": 3.4153,
"netWorthDate": "20240918",
"netWorthDateValue": "1726588800000",
"eggs": null,
"followStatus": "follow",
"dailyReturn": 0.0848,
"betValue": -0.0041,
"betTime": null,
"estimate": "N"
},
{
"fundCode": "003259",
"shortName": "博时聚利纯债3个月定开发起式",
"fundDate": "20240918",
"fundDateValue": "1726588800000",
"dayRise": 0.08,
"monthRise": 0.41,
"threeMonthRise": 0.99,
"sixMonthRise": 2.04,
"thisYearRise": 2.93,
"yearRise": 3.81,
"staredYearRise": 3.6951,
"netWorthDate": "20240918",
"netWorthDateValue": "1726588800000",
"eggs": null,
"followStatus": "follow",
"dailyReturn": 0.0755,
"betValue": -0.0193,
"betTime": null,
"estimate": "N"
}
]
}
},
"ok": true
}