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基金概况

财务数据

工银新得益混合(002006)

2024-04-19     1.4170-0.1409%
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净值发布日期 单位净值 累计净值
2024-04-181.41901.4190
2024-04-171.41701.4170
2024-04-161.41201.4120
2024-04-151.41601.4160
2024-04-121.40601.4060
2024-04-111.40901.4090
2024-04-101.40901.4090
2024-04-091.41101.4110
2024-04-081.41301.4130
2024-04-031.41501.4150
2024-04-021.41401.4140
2024-04-011.41701.4170
2024-03-291.41001.4100
2024-03-281.40501.4050
2024-03-271.40301.4030
2024-03-261.40601.4060
2024-03-251.40501.4050
2024-03-221.40601.4060
2024-03-211.40701.4070
2024-03-201.40701.4070
2024-03-191.40701.4070
2024-03-181.40901.4090
2024-03-151.40601.4060
2024-03-141.40401.4040
2024-03-131.40301.4030
2024-03-121.40501.4050
2024-03-111.40501.4050
2024-03-081.40101.4010
2024-03-071.39801.3980
2024-03-061.40001.4000
2024-03-051.40201.4020
2024-03-041.40001.4000
2024-03-011.39901.3990
2024-02-291.39601.3960
2024-02-281.38501.3850
2024-02-271.39201.3920
2024-02-261.38501.3850
2024-02-231.39001.3900
2024-02-221.38801.3880
2024-02-211.38501.3850
2024-02-201.37901.3790
2024-02-191.37701.3770
2024-02-081.37301.3730
2024-02-071.36901.3690
2024-02-061.36501.3650
2024-02-051.35101.3510
2024-02-021.34901.3490
2024-02-011.35501.3550
2024-01-311.35401.3540
2024-01-301.35801.3580
2024-01-291.36401.3640
2024-01-261.36801.3680
2024-01-251.37101.3710
2024-01-241.36301.3630
2024-01-231.35801.3580
2024-01-221.35701.3570
2024-01-191.36401.3640
2024-01-181.36301.3630
2024-01-171.35901.3590
2024-01-161.36801.3680
2024-01-151.36601.3660
2024-01-121.36601.3660
2024-01-111.36801.3680
2024-01-101.36501.3650
2024-01-091.36801.3680
2024-01-081.36601.3660
2024-01-051.37401.3740
2024-01-041.37501.3750
2024-01-031.37901.3790
2024-01-021.38101.3810
2023-12-311.38601.3860
2023-12-291.38601.3860
2023-12-281.38301.3830
2023-12-271.37501.3750
2023-12-261.37001.3700
2023-12-251.37301.3730
2023-12-221.37501.3750
2023-12-211.37601.3760
2023-12-201.37201.3720
2023-12-191.37501.3750
2023-12-181.37401.3740
2023-12-151.37501.3750
2023-12-141.37701.3770
2023-12-131.37801.3780
2023-12-121.38301.3830
2023-12-111.38201.3820
2023-12-081.37701.3770
2023-12-071.37501.3750
2023-12-061.37901.3790
2023-12-051.37901.3790
2023-12-041.38701.3870
2023-12-011.39101.3910
2023-11-301.39201.3920
2023-11-291.39001.3900
2023-11-281.39301.3930
2023-11-271.39201.3920
2023-11-241.39201.3920
2023-11-231.39601.3960
2023-11-221.39401.3940
2023-11-211.39901.3990
2023-11-201.39901.3990
2023-11-171.39901.3990
2023-11-161.39901.3990
2023-11-151.40301.4030
2023-11-141.40201.4020
2023-11-131.40101.4010
2023-11-101.40101.4010
2023-11-091.40301.4030
2023-11-081.40601.4060
2023-11-071.40701.4070
2023-11-061.40901.4090
2023-11-031.40101.4010
2023-11-021.39601.3960
2023-11-011.40001.4000
2023-10-311.40301.4030
2023-10-301.40301.4030
2023-10-271.39701.3970
2023-10-261.39101.3910
2023-10-251.38901.3890
2023-10-241.38501.3850