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基金费率

投资组合

基金概况

财务数据

建信鑫诚90天持有期债券C(021343)

2025-03-31     1.00660.0298%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-03-311.00661.0066
2025-03-281.00631.0063
2025-03-271.00621.0062
2025-03-261.00601.0060
2025-03-251.00571.0057
2025-03-241.00541.0054
2025-03-211.00501.0050
2025-03-201.00471.0047
2025-03-191.00391.0039
2025-03-181.00361.0036
2025-03-171.00341.0034
2025-03-141.00361.0036
2025-03-131.00341.0034
2025-03-121.00301.0030
2025-03-111.00261.0026
2025-03-101.00321.0032
2025-03-071.00341.0034
2025-03-061.00411.0041
2025-03-051.00431.0043
2025-03-041.00431.0043
2025-03-031.00411.0041
2025-02-281.00371.0037
2025-02-271.00371.0037
2025-02-261.00401.0040
2025-02-251.00391.0039
2025-02-241.00401.0040
2025-02-211.00461.0046
2025-02-201.00511.0051
2025-02-191.00551.0055
2025-02-181.00531.0053
2025-02-171.00561.0056
2025-02-141.00581.0058
2025-02-131.00601.0060
2025-02-121.00601.0060
2025-02-111.00591.0059
2025-02-101.00601.0060
2025-02-071.00611.0061
2025-02-061.00591.0059
2025-02-051.00571.0057
2025-01-271.00521.0052
2025-01-241.00461.0046
2025-01-171.00451.0045
2025-01-101.00471.0047
2025-01-031.00481.0048
2024-12-311.00421.0042
2024-12-271.00361.0036
2024-12-201.00321.0032
2024-12-131.00291.0029
2024-12-061.00201.0020
2024-11-291.00111.0011
2024-11-221.00071.0007
2024-11-151.00041.0004
2024-11-081.00011.0001
2024-11-051.00001.0000