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中金鑫福87个月债券(008102)

2023-06-02     1.01480.0789%
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净值发布日期 单位净值 累计净值
2023-06-021.01481.1123
2023-05-261.01401.1115
2023-05-191.01311.1106
2023-05-121.01231.1098
2023-05-051.01151.1090
2023-04-281.01071.1082
2023-04-211.01001.1075
2023-04-141.00921.1067
2023-04-071.00841.1059
2023-03-311.00771.1052
2023-03-241.00701.1045
2023-03-171.00621.1037
2023-03-101.01451.1030
2023-03-031.01361.1021
2023-02-241.01291.1014
2023-02-171.01211.1006
2023-02-101.01131.0998
2023-02-031.01061.0991
2023-01-201.00921.0977
2023-01-131.00841.0969
2023-01-061.00751.0960
2022-12-311.00701.0955
2022-12-301.00691.0954
2022-12-231.00621.0947
2022-12-161.00551.0940
2022-12-091.01961.0931