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诺安浙享定开发起式债券(005655)

2023-05-26     1.05000.0953%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2023-05-261.05001.1839
2023-05-191.04901.1829
2023-05-121.04851.1824
2023-05-051.04721.1811
2023-04-281.04571.1796
2023-04-211.04461.1785
2023-04-181.04361.1775
2023-04-171.04371.1776
2023-04-141.04341.1773
2023-04-131.04321.1771
2023-04-071.04221.1761
2023-03-311.04151.1754
2023-03-241.04061.1745
2023-03-171.03951.1734
2023-03-101.03881.1727
2023-03-031.08341.1706
2023-02-241.08321.1704
2023-02-171.08361.1708
2023-02-101.08111.1683
2023-02-031.07801.1652
2023-01-201.07531.1625
2023-01-131.07561.1628
2023-01-121.07591.1631
2023-01-111.07551.1627
2023-01-101.07581.1630
2023-01-091.07641.1636
2023-01-061.07641.1636
2023-01-051.07661.1638
2023-01-041.07601.1632
2023-01-031.07501.1622
2022-12-311.07391.1611
2022-12-301.07391.1611
2022-12-291.07321.1604
2022-12-281.07221.1594
2022-12-231.07151.1587
2022-12-161.06701.1542
2022-12-091.09831.1578