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申万菱信稳益宝债券C(015175)

2024-10-11     1.07200.0934%
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净值发布日期 单位净值 累计净值
2024-10-101.07101.0910
2024-10-091.07001.0900
2024-10-081.07301.0930
2024-09-301.07501.0950
2024-09-271.07801.0980
2024-09-261.07901.0990
2024-09-251.07901.0990
2024-09-241.07901.0990
2024-09-231.07901.0990
2024-09-201.07901.0990
2024-09-191.07901.0990
2024-09-181.08001.1000
2024-09-131.07901.0990
2024-09-121.07901.0990
2024-09-111.07901.0990
2024-09-101.07901.0990
2024-09-091.07901.0990
2024-09-061.07901.0990
2024-09-051.07901.0990
2024-09-041.07901.0990
2024-09-031.07901.0990
2024-09-021.07801.0980
2024-08-301.07801.0980
2024-08-291.07801.0980
2024-08-281.07701.0970
2024-08-271.07701.0970
2024-08-261.07801.0980
2024-08-231.07901.0990
2024-08-221.07901.0990
2024-08-211.07901.0990
2024-08-201.07901.0990
2024-08-191.07901.0990
2024-08-161.07901.0990
2024-08-151.07901.0990
2024-08-141.07901.0990
2024-08-131.07901.0990
2024-08-121.07901.0990
2024-08-091.08001.1000
2024-08-081.08001.1000
2024-08-071.08001.1000
2024-08-061.08001.1000
2024-08-051.08001.1000
2024-08-021.08001.1000
2024-08-011.08001.1000
2024-07-311.07901.0990
2024-07-301.07901.0990
2024-07-291.07901.0990
2024-07-261.07901.0990
2024-07-251.07801.0980
2024-07-241.07801.0980
2024-07-231.07701.0970
2024-07-221.07701.0970
2024-07-191.07601.0960
2024-07-181.07601.0960
2024-07-171.07601.0960
2024-07-161.07601.0960
2024-07-151.07601.0960
2024-07-121.07501.0950
2024-07-111.07501.0950
2024-07-101.07501.0950
2024-07-091.07501.0950
2024-07-081.07501.0950
2024-07-051.07501.0950
2024-07-041.07501.0950
2024-07-031.07501.0950
2024-07-021.07501.0950
2024-07-011.07401.0940
2024-06-301.07401.0940
2024-06-281.07401.0940
2024-06-271.07401.0940
2024-06-261.07401.0940
2024-06-251.07401.0940
2024-06-241.07301.0930
2024-06-211.07301.0930
2024-06-201.07401.0940
2024-06-191.07401.0940
2024-06-181.07401.0940
2024-06-171.07401.0940
2024-06-141.07301.0930
2024-06-131.07301.0930
2024-06-121.07301.0930
2024-06-111.07301.0930
2024-06-071.07301.0930
2024-06-061.07301.0930
2024-06-051.07301.0930
2024-06-041.07301.0930
2024-06-031.07301.0930
2024-05-311.07301.0930
2024-05-301.07301.0930
2024-05-291.07301.0930
2024-05-281.07201.0920
2024-05-271.07201.0920
2024-05-241.07201.0920
2024-05-231.07201.0920
2024-05-221.07201.0920
2024-05-211.07201.0920
2024-05-201.07201.0920
2024-05-171.07101.0910
2024-05-161.07101.0910
2024-05-151.07101.0910
2024-05-141.07101.0910
2024-05-131.07001.0900
2024-05-101.09001.0900
2024-05-091.09001.0900
2024-05-081.09001.0900
2024-05-071.09001.0900
2024-05-061.08901.0890
2024-04-301.08801.0880
2024-04-291.08801.0880
2024-04-261.08901.0890
2024-04-251.09001.0900
2024-04-241.09001.0900
2024-04-231.09001.0900
2024-04-221.09001.0900
2024-04-191.08901.0890
2024-04-181.08901.0890
2024-04-171.08901.0890
2024-04-161.08801.0880
2024-04-151.08801.0880