行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

国联睿享86个月定开债券C(008049)

2025-01-27     1.04520.0287%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-01-271.04521.2032
2025-01-241.04491.2029
2025-01-171.04421.2022
2025-01-101.04351.2015
2025-01-031.04271.2007
2024-12-311.04241.2004
2024-12-271.04191.1999
2024-12-201.04121.1992
2024-12-131.04441.1984
2024-12-061.04361.1976
2024-11-291.04291.1969
2024-11-221.04211.1961
2024-11-151.04131.1953
2024-11-081.04051.1945
2024-11-011.03971.1937
2024-10-251.03901.1930
2024-10-181.03821.1922
2024-10-111.03741.1914
2024-09-301.03621.1902
2024-09-271.03591.1899
2024-09-201.03521.1892
2024-09-131.03941.1884
2024-09-061.03861.1876
2024-08-301.03791.1869
2024-08-231.03711.1861
2024-08-161.03631.1853
2024-08-091.03561.1846