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)

2024-07-26     1.01150.0495%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2024-07-261.01151.1425
2024-07-191.01101.1420
2024-07-121.01051.1415
2024-07-051.00991.1409
2024-06-301.00961.1406
2024-06-281.00941.1404
2024-06-211.00891.1399
2024-06-141.00841.1394
2024-06-071.01791.1389
2024-05-311.01731.1383
2024-05-241.01681.1378
2024-05-171.01631.1373
2024-05-101.01571.1367
2024-04-301.01501.1360
2024-04-261.01471.1357
2024-04-191.01361.1346
2024-04-121.01241.1334
2024-04-031.01131.1323
2024-03-291.01091.1319
2024-03-221.01041.1314
2024-03-151.01001.1310
2024-03-081.00941.1304
2024-03-011.00871.1297
2024-02-231.00821.1292
2024-02-081.00721.1282
2024-02-021.00681.1278