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中银添盛39个月定期开放债券(009255)

2024-04-19     1.01330.0395%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2024-04-191.01331.1158
2024-04-121.01291.1154
2024-04-031.01231.1148
2024-03-291.01201.1145
2024-03-221.01151.1140
2024-03-151.01111.1136
2024-03-081.01061.1131
2024-03-011.01021.1127
2024-02-231.00971.1122
2024-02-081.00871.1112
2024-02-021.00831.1108
2024-01-261.00791.1104
2024-01-191.00751.1100
2024-01-121.00701.1095
2024-01-051.00661.1091
2023-12-311.00631.1088
2023-12-291.00631.1088
2023-12-221.00591.1084
2023-12-151.00551.1080
2023-12-081.00501.1075
2023-12-011.00461.1071
2023-11-241.00431.1068
2023-11-171.00391.1064
2023-11-101.00351.1060
2023-11-031.00321.1057