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中银康享3个月定期开放债券(007712)

2024-11-22     1.12920.0798%
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净值发布日期 单位净值 累计净值
2024-11-221.12921.2624
2024-11-151.12831.2615
2024-11-121.13181.2650
2024-11-111.13221.2654
2024-11-081.12891.2621
2024-11-011.12351.2567
2024-10-251.12431.2575
2024-10-181.12221.2554
2024-10-111.11331.2465
2024-09-301.11431.2475
2024-09-271.10841.2416
2024-09-201.09871.2319
2024-09-131.09681.2300
2024-09-061.09801.2312
2024-08-301.09721.2304
2024-08-231.09461.2278
2024-08-161.09561.2288
2024-08-091.09851.2317
2024-08-081.09981.2330
2024-08-071.10081.2340
2024-08-021.09981.2330
2024-07-261.09611.2293
2024-07-191.09541.2286
2024-07-121.09501.2282
2024-07-051.09611.2293
2024-06-301.09751.2307
2024-06-281.09741.2306
2024-06-211.09671.2299
2024-06-141.09911.2323
2024-06-071.09791.2311
2024-05-311.09761.2308