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)

2025-06-30     1.05800.0378%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-06-301.05801.2200
2025-06-271.05761.2196
2025-06-201.05691.2189
2025-06-131.05611.2181
2025-06-061.05531.2173
2025-05-301.05451.2165
2025-05-231.05371.2157
2025-05-161.05291.2149
2025-05-091.05211.2141
2025-04-301.05121.2132
2025-04-251.05061.2126
2025-04-181.04981.2118
2025-04-111.04911.2111
2025-04-031.04821.2102
2025-03-281.04751.2095
2025-03-211.05081.2088
2025-03-141.05001.2080
2025-03-071.04931.2073
2025-02-281.04851.2065
2025-02-211.04781.2058
2025-02-141.04701.2050
2025-02-071.04631.2043
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