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)

2026-06-05     1.00230.0200%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2026-06-051.00231.1971
2026-05-291.00211.1969
2026-05-221.00191.1967
2026-05-211.00191.1967
2026-05-201.00191.1967
2026-05-191.00181.1966
2026-05-181.00181.1966
2026-05-151.00171.1965
2026-05-141.00171.1965
2026-05-081.01531.1963
2026-04-301.01481.1958
2026-04-241.01431.1953
2026-04-171.01351.1945
2026-04-101.01241.1934
2026-04-031.01151.1925
2026-03-271.01101.1920
2026-03-201.01061.1916
2026-03-131.01011.1911
2026-03-061.00961.1906
2026-02-271.00891.1899
2026-02-131.00781.1888
2026-02-061.00731.1883
2026-01-301.00681.1878
2026-01-231.00621.1872
2026-01-161.00571.1867
2026-01-091.00511.1861
2025-12-311.00451.1855
2025-12-261.00411.1851
2025-12-191.00351.1845