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

东吴添瑞三个月定开债券C(018417)

2025-07-11     1.1185-0.1161%
 查询其他基金该项数据
报表日期 报表类别 净值增长率 业绩比较基准收益率 收益率差异 净值增长率标准差 业绩比较基准收益率标准差 标准差差异
2025-03-31近三个月-1.8300-1.1900-0.64000.42000.11000.3100
2025-03-31近六个月5.05001.02004.03000.37000.11000.2600
2025-03-31近一年6.31002.35003.96000.28000.10000.1800
2025-03-31成立至今10.69004.37006.32000.22000.08000.1400
2024-12-31近三个月7.02002.23004.79000.32000.09000.2300
2024-12-31近三个月7.02002.23004.79000.32000.09000.2300
2024-12-31近六个月6.90002.50004.40000.26000.10000.1600
2024-12-31近六个月6.90002.50004.40000.26000.10000.1600
2024-12-31近一年11.60004.98006.62000.20000.09000.1100
2024-12-31近一年11.60004.98006.62000.20000.09000.1100
2024-12-31成立至今12.76005.63007.13000.17000.08000.0900
2024-12-31成立至今12.76005.63007.13000.17000.08000.0900
2024-09-30近三个月-0.10000.2600-0.36000.18000.10000.0800
2024-09-30近六个月1.20001.3200-0.12000.13000.09000.0400
2024-09-30近一年5.26003.53001.73000.12000.07000.0500
2024-09-30成立至今5.37003.32002.05000.11000.07000.0400
2024-06-30近一个月0.56000.6500-0.09000.03000.03000.0000
2024-06-30近三个月1.31001.06000.25000.07000.07000.0000
2024-06-30近三个月1.31001.06000.25000.07000.07000.0000
2024-06-30近六个月4.39002.42001.97000.11000.07000.0400
2024-06-30近六个月4.39002.42001.97000.11000.07000.0400
2024-06-30成立至今5.48003.06002.42000.09000.06000.0300
2024-06-30成立至今5.48003.06002.42000.09000.06000.0300
2024-03-31近三个月3.05001.35001.70000.15000.06000.0900
2024-03-31近六个月4.02002.18001.84000.11000.05000.0600
2024-03-31成立至今4.12001.98002.14000.09000.05000.0400
2023-12-31近三个月0.94000.82000.12000.05000.04000.0100
2023-12-31近三个月0.94000.82000.12000.05000.04000.0100
2023-12-31成立至今1.04000.62000.42000.05000.05000.0000
2023-12-31成立至今1.04000.62000.42000.05000.05000.0000
2023-09-30成立至今0.1000-0.20000.30000.04000.0500-0.0100