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中银添盛39个月定期开放债券(009255)

2025-03-21     1.00750.0497%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-03-211.00751.1400
2025-03-141.00701.1395
2025-03-071.00651.1390
2025-02-281.00611.1386
2025-02-211.00561.1381
2025-02-181.00541.1379
2025-02-141.03521.1377
2025-02-071.03471.1372
2025-01-271.03411.1366
2025-01-241.03391.1364
2025-01-171.03361.1361
2025-01-101.03321.1357
2025-01-031.03271.1352
2024-12-311.03251.1350
2024-12-271.03221.1347
2024-12-201.03171.1342
2024-12-131.03131.1338
2024-12-061.03081.1333
2024-11-291.03031.1328
2024-11-221.02931.1318
2024-11-151.02881.1313
2024-11-081.02771.1302
2024-11-011.02671.1292
2024-10-251.02621.1287
2024-10-181.02531.1278
2024-10-111.02481.1273
2024-09-301.02421.1267
2024-09-271.02401.1265