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

诺安浙享定开发起式债券(005655)

2026-02-06     1.09200.0550%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2026-02-061.09201.2749
2026-01-301.09141.2743
2026-01-231.09111.2740
2026-01-161.08991.2728
2026-01-091.08871.2716
2025-12-311.08801.2709
2025-12-261.08781.2707
2025-12-191.08701.2699
2025-12-121.08601.2689
2025-12-051.08491.2678
2025-11-281.08581.2687
2025-11-241.08691.2698
2025-11-211.08691.2698
2025-11-141.08661.2695
2025-11-071.10001.2689
2025-10-311.09991.2688
2025-10-241.09671.2656
2025-10-171.09551.2644
2025-10-101.09291.2618
2025-09-301.09171.2606
2025-09-261.09081.2597
2025-09-191.09411.2630
2025-09-121.09351.2624
2025-09-051.09621.2651
2025-08-291.09511.2640
2025-08-221.09381.2627
2025-08-211.09381.2627
2025-08-201.09341.2623