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

南方恒泽18个月封闭式债券C(017808)

2024-04-22     1.00970.0198%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2024-04-221.00971.0300
2024-04-191.00951.0298
2024-04-181.00941.0297
2024-04-171.00931.0296
2024-04-161.00921.0295
2024-04-151.00921.0295
2024-04-121.00901.0293
2024-04-111.00891.0292
2024-04-101.00881.0291
2024-04-091.00871.0290
2024-04-081.00861.0289
2024-04-031.00831.0286
2024-04-021.00811.0284
2024-04-011.00801.0283
2024-03-291.00791.0282
2024-03-281.00781.0281
2024-03-271.00771.0280
2024-03-261.00771.0280
2024-03-251.00761.0279
2024-03-221.00751.0278
2024-03-211.00751.0278
2024-03-201.00741.0277
2024-03-191.00741.0277
2024-03-181.00731.0276
2024-03-151.00711.0274
2024-03-141.00701.0273
2024-03-131.00701.0273
2024-03-121.00711.0274
2024-03-111.00721.0275
2024-03-081.00711.0274
2024-03-071.00711.0274
2024-03-061.00701.0273
2024-03-051.00691.0272
2024-03-041.00691.0272
2024-03-011.00681.0271
2024-02-291.00681.0271
2024-02-281.00671.0270
2024-02-271.00671.0270
2024-02-261.00661.0269
2024-02-231.00651.0268
2024-02-221.00631.0266
2024-02-211.00621.0265
2024-02-201.00601.0263
2024-02-191.00591.0262
2024-02-081.00531.0256
2024-02-071.00521.0255
2024-02-061.00511.0254
2024-02-051.00511.0254
2024-02-021.00481.0251
2024-02-011.00481.0251
2024-01-311.00471.0250
2024-01-301.00461.0249
2024-01-291.00441.0247
2024-01-261.00421.0245
2024-01-251.00421.0245
2024-01-241.00401.0243
2024-01-231.00401.0243
2024-01-221.00401.0243
2024-01-191.00371.0240
2024-01-181.00361.0239
2024-01-171.00341.0237
2024-01-161.00331.0236
2024-01-151.01441.0237
2024-01-121.01421.0235
2024-01-111.01421.0235
2024-01-101.01421.0235
2024-01-091.01421.0235
2024-01-081.01401.0233
2024-01-051.01381.0231
2024-01-041.01361.0229
2024-01-031.01351.0228
2024-01-021.01341.0227
2023-12-311.01341.0227
2023-12-291.01331.0226
2023-12-281.01311.0224
2023-12-271.01291.0222
2023-12-261.01261.0219
2023-12-251.01231.0216
2023-12-221.01211.0214
2023-12-211.01191.0212
2023-12-201.01181.0211
2023-12-191.01191.0212
2023-12-181.01191.0212
2023-12-151.01161.0209
2023-12-141.01131.0206
2023-12-131.01111.0204
2023-12-121.01081.0201
2023-12-111.01081.0201
2023-12-081.01051.0198
2023-12-071.01041.0197
2023-12-061.01031.0196
2023-12-051.01031.0196
2023-12-041.01041.0197
2023-12-011.01041.0197
2023-11-301.01031.0196
2023-11-291.01011.0194
2023-11-281.01011.0194
2023-11-271.01001.0193
2023-11-241.01011.0194
2023-11-231.01001.0193
2023-11-221.01021.0195
2023-11-211.01031.0196
2023-11-201.01041.0197
2023-11-171.01021.0195
2023-11-161.01011.0194
2023-11-151.00981.0191
2023-11-141.00961.0189
2023-11-131.00961.0189
2023-11-101.00931.0186
2023-11-091.00921.0185
2023-11-081.00901.0183
2023-11-071.00901.0183
2023-11-061.00901.0183
2023-11-031.00881.0181
2023-11-021.00861.0179
2023-11-011.00831.0176
2023-10-311.00821.0175
2023-10-301.00791.0172
2023-10-271.00771.0170