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国联睿享86个月定开债券C(008049)

2026-08-28     1.09420.0274%
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净值发布日期 单位净值 累计净值
2026-08-281.09421.2642
2026-08-211.09391.2639
2026-08-141.09361.2636
2026-08-071.09321.2632
2026-07-311.09271.2627
2026-07-241.09221.2622
2026-07-171.09171.2617
2026-07-101.09101.2610
2026-07-031.09031.2603
2026-06-301.09001.2600
2026-06-261.08961.2596
2026-06-181.08891.2589
2026-06-121.08831.2583
2026-06-051.08761.2576
2026-05-291.08691.2569
2026-05-221.08621.2562
2026-05-151.08551.2555
2026-05-081.08481.2548
2026-04-301.08401.2540
2026-04-241.08341.2534
2026-04-171.08261.2526
2026-04-101.08191.2519
2026-04-031.08121.2512
2026-03-271.08041.2504
2026-03-201.07971.2497
2026-03-131.07891.2489
2026-03-061.07821.2482