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)

2025-01-27     1.00570.0099%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-01-271.00571.1567
2025-01-241.00561.1566
2025-01-171.00511.1561
2025-01-101.00461.1556
2025-01-031.00411.1551
2024-12-311.00391.1549
2024-12-271.00361.1546
2024-12-201.00301.1540
2024-12-131.00251.1535
2024-12-061.02191.1529
2024-11-291.02141.1524
2024-11-221.02081.1518
2024-11-151.02001.1510
2024-11-081.01951.1505
2024-11-011.01891.1499
2024-10-251.01841.1494
2024-10-181.01781.1488
2024-10-111.01731.1483
2024-09-301.01651.1475
2024-09-271.01631.1473
2024-09-201.01581.1468
2024-09-131.01531.1463
2024-09-061.01471.1457
2024-08-301.01421.1452
2024-08-231.01371.1447
2024-08-161.01311.1441
2024-08-091.01261.1436
2024-08-021.01211.1431