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诺安浙享定开发起式债券(005655)

2024-04-30     1.0898-0.0367%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2024-04-301.08981.2237
2024-04-261.09021.2241
2024-04-251.09071.2246
2024-04-241.09081.2247
2024-04-191.09031.2242
2024-04-121.08851.2224
2024-04-031.08641.2203
2024-03-291.08561.2195
2024-03-221.08461.2185
2024-03-151.08361.2175
2024-03-081.08321.2171
2024-03-011.08191.2158
2024-02-231.08081.2147
2024-02-081.07861.2125
2024-02-021.07771.2116
2024-01-261.07521.2091
2024-01-241.07471.2086
2024-01-231.07461.2085
2024-01-191.07421.2081
2024-01-121.07311.2070
2024-01-051.07241.2063
2023-12-311.07181.2057
2023-12-291.07161.2055
2023-12-221.06901.2029
2023-12-151.06751.2014
2023-12-081.06571.1996
2023-12-011.06611.2000
2023-11-241.06621.2001
2023-11-171.06631.2002
2023-11-101.06521.1991