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财务数据

财通裕泰87个月定开债券(010502)

2025-04-03     1.10550.0634%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-04-111.10661.1916
2025-04-031.10551.1905
2025-03-281.10481.1898
2025-03-211.10391.1889
2025-03-141.10291.1879
2025-03-071.10201.1870
2025-02-281.10111.1861
2025-02-211.10031.1853
2025-02-141.09941.1844
2025-02-071.09851.1835
2025-01-271.09741.1824
2025-01-241.09711.1821
2025-01-171.09641.1814
2025-01-101.09551.1805
2025-01-031.09461.1796
2024-12-311.09431.1793
2024-12-271.09381.1788
2024-12-201.09281.1778
2024-12-131.09191.1769
2024-12-061.09101.1760
2024-11-291.09011.1751
2024-11-221.08921.1742
2024-11-151.08821.1732
2024-11-081.08731.1723
2024-11-011.08641.1714
2024-10-251.08551.1705
2024-10-181.08461.1696