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)

2025-09-30     1.09170.0825%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-09-301.09171.2606
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
2025-08-151.09571.2646
2025-08-081.09831.2672
2025-08-011.09701.2659
2025-07-251.09471.2636
2025-07-181.09871.2676
2025-07-111.09771.2666
2025-07-041.09841.2673
2025-06-301.09621.2651
2025-06-271.09621.2651
2025-06-201.09601.2649
2025-06-131.09491.2638
2025-06-061.09401.2629
2025-05-301.09311.2620
2025-05-231.09351.2624
2025-05-201.09301.2619
2025-05-191.09271.2616
2025-05-161.09231.2612
2025-05-091.09221.2611
2025-04-301.09031.2592
2025-04-251.08911.2580
2025-04-181.08981.2587
2025-04-111.08971.2586