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

国联睿享86个月定开债券C(008049)

2026-01-16     1.07270.0746%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2026-01-161.07271.2427
2026-01-091.07191.2419
2025-12-311.07091.2409
2025-12-261.07031.2403
2025-12-191.06951.2395
2025-12-121.07271.2387
2025-12-051.07191.2379
2025-11-281.07111.2371
2025-11-211.07031.2363
2025-11-141.06951.2355
2025-11-071.06871.2347
2025-10-311.06791.2339
2025-10-241.06711.2331
2025-10-171.06631.2323
2025-10-101.06551.2315
2025-09-301.06441.2304
2025-09-261.06401.2300
2025-09-191.06721.2292
2025-09-121.06641.2284
2025-09-051.06561.2276
2025-08-291.06481.2268
2025-08-221.06401.2260
2025-08-151.06321.2252
2025-08-081.06241.2244
2025-08-011.06161.2236
2025-07-251.06081.2228