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

汇添富稳福60天滚动持有中短债A(014594)

2025-07-24     1.0942-0.0365%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-07-241.09421.0962
2025-07-231.09461.0966
2025-07-221.09491.0969
2025-07-211.09501.0970
2025-07-181.09501.0970
2025-07-171.09491.0969
2025-07-161.09481.0968
2025-07-151.09471.0967
2025-07-141.09451.0965
2025-07-111.09451.0965
2025-07-101.09461.0966
2025-07-091.09471.0967
2025-07-081.09471.0967
2025-07-071.09471.0967
2025-07-041.09441.0964
2025-07-031.09421.0962
2025-07-021.09391.0959
2025-07-011.09371.0957
2025-06-301.09351.0955
2025-06-271.09341.0954
2025-06-261.09331.0953
2025-06-251.09331.0953
2025-06-241.09341.0954
2025-06-231.09351.0955
2025-06-201.09341.0954
2025-06-191.09331.0953
2025-06-181.09321.0952
2025-06-171.09311.0951
2025-06-161.09301.0950
2025-06-131.09281.0948
2025-06-121.09281.0948
2025-06-111.09271.0947
2025-06-101.09261.0946
2025-06-091.09261.0946
2025-06-061.09231.0943
2025-06-051.09221.0942
2025-06-041.09221.0942
2025-06-031.09221.0942
2025-05-301.09201.0940
2025-05-291.09191.0939
2025-05-281.09201.0940
2025-05-271.09211.0941
2025-05-261.09211.0941
2025-05-231.09191.0939
2025-05-221.09191.0939
2025-05-211.09181.0938
2025-05-201.09171.0937
2025-05-191.09161.0936
2025-05-161.09141.0934
2025-05-151.09151.0935
2025-05-141.09131.0933
2025-05-131.09121.0932
2025-05-121.09101.0930
2025-05-091.09101.0930
2025-05-081.09071.0927
2025-05-071.09041.0924
2025-05-061.09031.0923
2025-04-301.08991.0919
2025-04-291.08981.0918
2025-04-281.08961.0916
2025-04-251.08941.0914
2025-04-241.08941.0914
2025-04-231.08941.0914
2025-04-221.08951.0915
2025-04-211.08931.0913
2025-04-181.08921.0912
2025-04-171.08921.0912
2025-04-161.08911.0911
2025-04-151.08911.0911
2025-04-141.08911.0911
2025-04-111.08901.0910
2025-04-101.08891.0909
2025-04-091.08891.0909
2025-04-081.08891.0909
2025-04-071.08891.0909
2025-04-031.08821.0902
2025-04-021.08781.0898
2025-04-011.08761.0896
2025-03-311.08761.0896
2025-03-281.08741.0894
2025-03-271.08731.0893
2025-03-261.08721.0892
2025-03-251.08711.0891
2025-03-241.08691.0889
2025-03-211.08661.0886
2025-03-201.08641.0884
2025-03-191.08621.0882
2025-03-181.08601.0880
2025-03-171.08591.0879
2025-03-141.08581.0878
2025-03-131.08551.0875
2025-03-121.08531.0873
2025-03-111.08521.0872
2025-03-101.08531.0873
2025-03-071.08521.0872
2025-03-061.08551.0875
2025-03-051.08551.0875
2025-03-041.08541.0874
2025-03-031.08521.0872
2025-02-281.08491.0869
2025-02-271.08491.0869
2025-02-261.08501.0870
2025-02-251.08491.0869
2025-02-241.08501.0870
2025-02-211.08531.0873
2025-02-201.08551.0875
2025-02-191.08571.0877
2025-02-181.08571.0877
2025-02-171.08601.0880
2025-02-141.08601.0880
2025-02-131.08621.0882
2025-02-121.08621.0882
2025-02-111.08621.0882
2025-02-101.08621.0882
2025-02-071.08621.0882
2025-02-061.08601.0880
2025-02-051.08581.0878
2025-01-271.08531.0873