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基金费率

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基金概况

财务数据

泰康润颐63个月定开债券(007600)

2025-02-28     1.07570.0651%
份额变动
变动日期 总份额 较上期增减 较成立时增减
2024-12-31798,999.710.000.00
2024-09-30798,999.710.000.00
2024-06-30798,999.710.000.00
2024-03-31798,999.710.000.00
2023-12-31798,999.710.000.00
2023-09-30798,999.710.000.00
2023-06-30798,999.710.000.00
2023-03-31798,999.710.000.00
2022-12-31798,999.710.000.00
2022-09-30798,999.710.000.00
2022-06-30798,999.710.000.00
2022-03-31798,999.710.000.00
2021-12-31798,999.710.000.00
2021-09-30798,999.710.000.00
2021-06-30798,999.710.000.00
2021-03-31798,999.710.000.00
2020-12-31798,999.710.000.00
2020-09-30798,999.710.000.00
2020-07-27798,999.71----