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

国投瑞银恒睿添利债券C(019399)

2024-05-13     1.01840.0295%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2024-05-101.01811.0181
2024-05-091.01811.0181
2024-05-081.01821.0182
2024-05-071.01801.0180
2024-05-061.01741.0174
2024-04-301.01671.0167
2024-04-291.01641.0164
2024-04-261.01721.0172
2024-04-251.01771.0177
2024-04-241.01781.0178
2024-04-231.01821.0182
2024-04-221.01781.0178
2024-04-191.01741.0174
2024-04-181.01701.0170
2024-04-171.01671.0167
2024-04-161.01651.0165
2024-04-151.01641.0164
2024-04-121.01621.0162
2024-04-111.01581.0158
2024-04-101.01541.0154
2024-04-091.01541.0154
2024-04-081.01511.0151
2024-04-031.01451.0145
2024-04-021.01421.0142
2024-04-011.01391.0139
2024-03-291.01391.0139
2024-03-281.01381.0138
2024-03-271.01361.0136
2024-03-261.01331.0133
2024-03-251.01331.0133
2024-03-221.01341.0134
2024-03-211.01331.0133
2024-03-201.01331.0133
2024-03-191.01311.0131
2024-03-181.01281.0128
2024-03-151.01261.0126
2024-03-141.01201.0120
2024-03-131.01161.0116
2024-03-121.01221.0122
2024-03-111.01241.0124
2024-03-081.01231.0123
2024-03-071.01231.0123
2024-03-061.01201.0120
2024-03-051.01181.0118
2024-03-041.01171.0117
2024-03-011.01161.0116
2024-02-291.01161.0116
2024-02-281.01121.0112
2024-02-271.01111.0111
2024-02-261.01061.0106
2024-02-231.01021.0102
2024-02-221.00961.0096
2024-02-211.00911.0091
2024-02-201.00881.0088
2024-02-191.00841.0084
2024-02-081.00771.0077
2024-02-071.00741.0074
2024-02-061.00721.0072
2024-02-051.00721.0072
2024-02-021.00701.0070
2024-02-011.00681.0068
2024-01-311.00641.0064
2024-01-301.00581.0058
2024-01-291.00541.0054
2024-01-261.00501.0050
2024-01-251.00481.0048
2024-01-241.00461.0046
2024-01-231.00421.0042
2024-01-221.00401.0040
2024-01-191.00351.0035
2024-01-181.00331.0033
2024-01-171.00321.0032
2024-01-161.00311.0031
2024-01-151.00301.0030
2024-01-121.00281.0028
2024-01-051.00201.0020
2023-12-311.00141.0014
2023-12-291.00121.0012
2023-12-221.00011.0001
2023-12-151.00011.0001
2023-12-141.00001.0000