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

安信现金增利货币C(019078)

2024-05-07     0.3386
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2024-05-070.33861.4420
2024-05-060.60531.4540
2024-05-051.80261.3210
2024-04-300.36131.8500
2024-04-290.35311.8600
2024-04-280.68281.9860
2024-04-261.36482.0140
2024-04-250.40751.5530
2024-04-240.34701.5410
2024-04-230.38021.5750
2024-04-220.58851.6060
2024-04-210.73551.5040
2024-04-190.49751.5390
2024-04-180.38401.4830
2024-04-170.41151.4940
2024-04-160.43931.4860
2024-04-150.39441.5000
2024-04-140.80241.5890
2024-04-120.39141.6920
2024-04-110.40431.7490
2024-04-100.39631.7990
2024-04-090.46591.9070
2024-04-080.56251.9400
2024-04-071.99431.9250
2024-04-030.59932.1030
2024-04-020.52852.0710
2024-04-010.53422.1750
2024-03-311.13782.7480
2024-03-290.55972.6700
2024-03-280.63152.6800
2024-03-270.53982.6550
2024-03-260.72372.6360
2024-03-251.60762.4990
2024-03-240.99043.1760
2024-03-220.57893.1030
2024-03-210.58483.0210
2024-03-200.50402.9300
2024-03-190.46832.8860
2024-03-182.87092.8790
2024-03-170.85471.6420
2024-03-150.42501.6450
2024-03-140.41681.6640
2024-03-130.42111.7150
2024-03-120.45561.7430
2024-03-110.54941.8370
2024-03-100.86151.8500
2024-03-080.46031.8640
2024-03-070.51382.1140
2024-03-060.47382.0930
2024-03-050.63142.1010
2024-03-040.57532.2090
2024-03-030.88792.2530
2024-03-010.92932.3010
2024-02-290.47562.0600
2024-02-280.48882.2060
2024-02-270.83402.2000
2024-02-260.65792.3750
2024-02-250.97812.2830
2024-02-230.47662.3090
2024-02-220.74892.3290
2024-02-210.47902.2030
2024-02-201.16122.2220
2024-02-190.48481.8770
2024-02-185.13571.8920
2024-02-080.50842.3210
2024-02-070.57702.5420
2024-02-060.61122.6320
2024-02-050.82022.6250
2024-02-041.19522.5010
2024-02-020.68812.5070
2024-02-010.92192.4590
2024-01-310.74582.2840
2024-01-300.59742.2020
2024-01-290.58892.2070
2024-01-281.20752.2090
2024-01-260.59842.2100
2024-01-250.59232.2090
2024-01-240.59212.2110
2024-01-230.60752.2110
2024-01-220.59212.1930
2024-01-211.20972.1970
2024-01-190.59722.1810
2024-01-180.59632.1750
2024-01-170.59132.1700
2024-01-160.57442.1780
2024-01-150.59882.1900
2024-01-141.17992.1980
2024-01-120.58562.2480
2024-01-110.58812.2710
2024-01-100.60562.2950
2024-01-090.59712.3570
2024-01-080.61422.4490
2024-01-071.27222.5440
2024-01-050.62942.7180
2024-01-040.63263.0480
2024-01-030.72193.1330
2024-01-020.76923.1060
2024-01-010.79343.0580
2023-12-311.59732.9470
2023-12-291.24372.7350
2023-12-280.79122.3890
2023-12-270.67142.3930
2023-12-260.67992.3660
2023-12-250.58692.2980
2023-12-241.20182.2540
2023-12-220.59622.1910
2023-12-210.79932.1560
2023-12-200.62112.0170
2023-12-190.55202.4490
2023-12-180.50463.2650
2023-12-171.08443.2450
2023-12-150.52983.1850
2023-12-140.53723.1550
2023-12-131.43323.1190
2023-12-122.07292.6080
2023-12-110.46801.7560
2023-12-100.97181.7990
2023-12-080.47471.9350
2023-12-070.47022.0090
2023-12-060.48052.0680