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

财通裕泰87个月定开债券(010502)

2026-03-27     1.15410.0087%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2026-03-271.15411.2391
2026-03-261.15401.2390
2026-03-251.15391.2389
2026-03-241.15371.2387
2026-03-231.15361.2386
2026-03-201.15321.2382
2026-03-191.15301.2380
2026-03-181.15291.2379
2026-03-171.15271.2377
2026-03-161.15261.2376
2026-03-131.15221.2372
2026-03-121.15201.2370
2026-03-111.15191.2369
2026-03-101.15181.2368
2026-03-091.15161.2366
2026-03-061.15121.2362
2026-03-051.15111.2361
2026-03-041.15091.2359
2026-03-031.15081.2358
2026-03-021.15061.2356
2026-02-271.15021.2352
2026-02-261.15011.2351
2026-02-251.15001.2350
2026-02-241.14981.2348
2026-02-131.14831.2333
2026-02-121.14821.2332
2026-02-111.14811.2331
2026-02-101.14791.2329
2026-02-091.14781.2328
2026-02-061.14741.2324
2026-02-051.14721.2322
2026-02-041.14711.2321
2026-02-031.14701.2320
2026-02-021.14681.2318
2026-01-301.14641.2314
2026-01-291.14631.2313
2026-01-281.14611.2311
2026-01-271.14601.2310
2026-01-261.14591.2309
2026-01-231.14551.2305
2026-01-221.14531.2303
2026-01-211.14521.2302
2026-01-201.14511.2301
2026-01-191.14491.2299
2026-01-161.14451.2295
2026-01-151.14441.2294
2026-01-141.14421.2292
2026-01-131.14411.2291
2026-01-121.14401.2290
2026-01-091.14361.2286
2026-01-081.14341.2284
2026-01-071.14331.2283
2026-01-061.14311.2281
2026-01-051.14301.2280
2025-12-311.14231.2273
2025-12-301.14221.2272
2025-12-291.14211.2271
2025-12-261.14171.2267
2025-12-251.14151.2265
2025-12-241.14141.2264
2025-12-231.14131.2263
2025-12-221.14111.2261
2025-12-191.14071.2257
2025-12-181.14061.2256
2025-12-171.14051.2255
2025-12-161.14031.2253
2025-12-151.14021.2252
2025-12-121.13981.2248
2025-12-111.13961.2246
2025-12-101.13951.2245
2025-12-091.13941.2244
2025-12-081.13921.2242
2025-12-051.13881.2238
2025-12-041.13871.2237
2025-12-031.13851.2235
2025-12-021.13841.2234
2025-12-011.13831.2233
2025-11-281.13791.2229
2025-11-271.13771.2227
2025-11-261.13761.2226
2025-11-251.13741.2224
2025-11-241.13731.2223
2025-11-211.13691.2219
2025-11-201.13681.2218
2025-11-191.13661.2216
2025-11-181.13651.2215
2025-11-171.13641.2214
2025-11-141.13591.2209
2025-11-131.13581.2208
2025-11-121.13571.2207
2025-11-111.13551.2205
2025-11-101.13541.2204
2025-11-071.13501.2200
2025-11-061.13491.2199
2025-11-051.13471.2197
2025-11-041.13461.2196
2025-11-031.13441.2194
2025-10-311.13401.2190
2025-10-301.13391.2189
2025-10-291.13381.2188
2025-10-281.13361.2186
2025-10-271.13351.2185
2025-10-241.13311.2181
2025-10-231.13291.2179
2025-10-221.13281.2178
2025-10-211.13271.2177
2025-10-201.13251.2175
2025-10-171.13211.2171
2025-10-161.13201.2170
2025-10-151.13181.2168
2025-10-141.13171.2167
2025-10-131.13161.2166
2025-10-101.13121.2162
2025-10-091.13101.2160