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中银添盛39个月定期开放债券(009255)

2024-11-29     1.03030.0972%
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净值发布日期 单位净值 累计净值
2024-11-291.03031.1328
2024-11-221.02931.1318
2024-11-151.02881.1313
2024-11-081.02771.1302
2024-11-011.02671.1292
2024-10-251.02621.1287
2024-10-181.02531.1278
2024-10-111.02481.1273
2024-09-301.02421.1267
2024-09-271.02401.1265
2024-09-201.02361.1261
2024-09-131.02311.1256
2024-09-061.02261.1251
2024-08-301.02221.1247
2024-08-231.02171.1242
2024-08-161.02121.1237
2024-08-091.02081.1233
2024-08-021.02031.1228
2024-07-261.01981.1223
2024-07-191.01941.1219
2024-07-121.01891.1214
2024-07-051.01841.1209
2024-06-301.01811.1206
2024-06-281.01801.1205
2024-06-211.01751.1200
2024-06-141.01711.1196
2024-06-071.01661.1191