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

中银新回报混合C(010172)

2025-01-27     1.71800.0582%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-01-271.71801.7180
2025-01-241.71701.7170
2025-01-231.71601.7160
2025-01-221.71601.7160
2025-01-211.71601.7160
2025-01-201.71601.7160
2025-01-171.71601.7160
2025-01-161.71701.7170
2025-01-151.71701.7170
2025-01-141.71701.7170
2025-01-131.71501.7150
2025-01-101.71701.7170
2025-01-091.72001.7200
2025-01-081.72201.7220
2025-01-071.72101.7210
2025-01-061.72101.7210
2025-01-031.72001.7200
2025-01-021.72001.7200
2024-12-311.72101.7210
2024-12-301.72001.7200
2024-12-271.71901.7190
2024-12-261.71801.7180
2024-12-251.71901.7190
2024-12-241.71901.7190
2024-12-231.71701.7170
2024-12-201.71701.7170
2024-12-191.71601.7160
2024-12-181.71701.7170
2024-12-171.71701.7170
2024-12-161.71901.7190
2024-12-131.71701.7170
2024-12-121.71601.7160
2024-12-111.71401.7140
2024-12-101.71401.7140
2024-12-091.71101.7110
2024-12-061.71101.7110
2024-12-051.71001.7100
2024-12-041.70901.7090
2024-12-031.70801.7080
2024-12-021.70601.7060
2024-11-291.70201.7020
2024-11-281.69901.6990
2024-11-271.69901.6990
2024-11-261.69601.6960
2024-11-251.69601.6960
2024-11-221.69501.6950
2024-11-211.69801.6980
2024-11-201.69801.6980
2024-11-191.69701.6970
2024-11-181.69601.6960
2024-11-151.69601.6960
2024-11-141.69901.6990
2024-11-131.70101.7010
2024-11-121.69901.6990
2024-11-111.70101.7010
2024-11-081.70001.7000
2024-11-071.70101.7010
2024-11-061.69801.6980
2024-11-051.69701.6970
2024-11-041.69501.6950
2024-11-011.69301.6930
2024-10-311.69101.6910
2024-10-301.69101.6910
2024-10-291.69101.6910
2024-10-281.69201.6920
2024-10-251.69201.6920
2024-10-241.69301.6930
2024-10-231.69501.6950
2024-10-221.69701.6970
2024-10-211.69801.6980
2024-10-181.69901.6990
2024-10-171.69701.6970
2024-10-161.69801.6980
2024-10-151.69701.6970
2024-10-141.69801.6980
2024-10-111.69101.6910
2024-10-101.68701.6870
2024-10-091.68001.6800
2024-10-081.69601.6960
2024-09-301.69201.6920
2024-09-271.69201.6920
2024-09-261.69501.6950
2024-09-251.69301.6930
2024-09-241.69201.6920
2024-09-231.68901.6890
2024-09-201.68801.6880
2024-09-191.68901.6890
2024-09-181.68801.6880
2024-09-131.68801.6880
2024-09-121.68701.6870
2024-09-111.68601.6860
2024-09-101.69001.6900
2024-09-091.68901.6890
2024-09-061.69001.6900
2024-09-051.69001.6900
2024-09-041.69001.6900
2024-09-031.69001.6900
2024-09-021.69101.6910
2024-08-301.68801.6880
2024-08-291.68801.6880
2024-08-281.68901.6890
2024-08-271.68901.6890
2024-08-261.69201.6920
2024-08-231.69401.6940
2024-08-221.69501.6950
2024-08-211.69401.6940
2024-08-201.69501.6950
2024-08-191.69601.6960
2024-08-161.69301.6930
2024-08-151.69301.6930
2024-08-141.69201.6920
2024-08-131.69001.6900
2024-08-121.69001.6900
2024-08-091.69301.6930
2024-08-081.69501.6950
2024-08-071.69601.6960
2024-08-061.69501.6950
2024-08-051.69701.6970