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

中银康享3个月定期开放债券(007712)

2024-04-19     1.08980.1746%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2024-04-191.08981.2230
2024-04-121.08791.2211
2024-04-031.08511.2183
2024-03-291.08171.2149
2024-03-221.08211.2153
2024-03-151.07811.2113
2024-03-081.07641.2096
2024-03-011.07651.2097
2024-02-231.07801.2112
2024-02-081.07051.2037
2024-02-021.06421.1974
2024-02-011.06411.1973
2024-01-311.06371.1969
2024-01-301.06451.1977
2024-01-261.06641.1996
2024-01-191.06351.1967
2024-01-121.06511.1983
2024-01-051.06481.1980
2023-12-311.06541.1986
2023-12-291.06541.1986
2023-12-221.05751.1907
2023-12-151.05741.1906
2023-12-081.05731.1905
2023-12-011.05661.1898
2023-11-241.05701.1902
2023-11-171.05901.1922
2023-11-101.05911.1923
2023-11-031.05841.1916
2023-10-301.05891.1921
2023-10-271.05841.1916