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

华宝宝惠债券(007957)

2025-12-31     1.00450.0398%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-12-311.00451.1855
2025-12-261.00411.1851
2025-12-191.00351.1845
2025-12-121.00291.1839
2025-12-051.00241.1834
2025-11-281.00181.1828
2025-11-211.01131.1823
2025-11-141.01051.1815
2025-11-071.00991.1809
2025-10-311.00931.1803
2025-10-241.00881.1798
2025-10-171.00821.1792
2025-10-101.00761.1786
2025-09-301.00681.1778
2025-09-261.00651.1775
2025-09-191.00591.1769
2025-09-121.00541.1764
2025-09-051.00481.1758
2025-08-291.00421.1752
2025-08-221.00371.1747
2025-08-151.00311.1741
2025-08-081.00251.1735
2025-08-011.00191.1729
2025-07-251.00141.1724
2025-07-181.01081.1718
2025-07-111.01021.1712