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财务数据

财通裕泰87个月定期开放债券(010502)

2024-04-19     1.06150.0849%
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净值发布日期 单位净值 累计净值
2024-04-191.06151.1465
2024-04-121.06061.1456
2024-04-031.05941.1444
2024-03-291.05881.1438
2024-03-221.05801.1430
2024-03-151.05711.1421
2024-03-081.05621.1412
2024-03-011.05531.1403
2024-02-231.05441.1394
2024-02-081.05261.1376
2024-02-021.05191.1369
2024-01-261.05111.1361
2024-01-191.05031.1353
2024-01-121.04941.1344
2024-01-051.04861.1336
2023-12-311.04801.1330
2023-12-291.04781.1328
2023-12-221.04721.1322
2023-12-151.04641.1314
2023-12-081.04551.1305
2023-12-011.04481.1298
2023-11-241.04401.1290
2023-11-171.04321.1282
2023-11-101.04231.1273
2023-11-031.04151.1265