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申万菱信稳益宝债券C(015175)

2026-02-27     1.07400.0000%
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净值发布日期 单位净值 累计净值
2026-02-271.07401.1460
2026-02-261.07401.1460
2026-02-251.07501.1470
2026-02-241.07601.1480
2026-02-131.07501.1470
2026-02-121.07501.1470
2026-02-111.07401.1460
2026-02-101.07401.1460
2026-02-091.07401.1460
2026-02-061.07301.1450
2026-02-051.07201.1440
2026-02-041.07101.1430
2026-02-031.07201.1440
2026-02-021.07101.1430
2026-01-301.07101.1430
2026-01-291.07201.1440
2026-01-281.07301.1450
2026-01-271.07201.1440
2026-01-261.07201.1440
2026-01-231.07201.1440
2026-01-221.07101.1430
2026-01-211.07101.1430
2026-01-201.07001.1420
2026-01-191.07001.1420
2026-01-161.07001.1420
2026-01-151.06901.1410
2026-01-141.06901.1410
2026-01-131.06901.1410
2026-01-121.06901.1410
2026-01-091.06801.1400
2026-01-081.06701.1390
2026-01-071.06601.1380
2026-01-061.06601.1380
2026-01-051.06501.1370
2025-12-311.06401.1360
2025-12-301.06401.1360
2025-12-291.06401.1360
2025-12-261.06501.1370
2025-12-251.06501.1370
2025-12-241.06501.1370
2025-12-231.06401.1360
2025-12-221.06401.1360
2025-12-191.06301.1350
2025-12-181.06301.1350
2025-12-171.06301.1350
2025-12-161.06201.1340
2025-12-151.06201.1340
2025-12-121.06201.1340
2025-12-111.06201.1340
2025-12-101.06201.1340
2025-12-091.06201.1340
2025-12-081.06201.1340
2025-12-051.06201.1340
2025-12-041.06101.1330
2025-12-031.06201.1340
2025-12-021.06201.1340
2025-12-011.06301.1350
2025-11-281.06301.1350
2025-11-271.06201.1340
2025-11-261.06301.1350
2025-11-251.06401.1360
2025-11-241.06401.1360
2025-11-211.11601.1360
2025-11-201.11701.1370
2025-11-191.11701.1370
2025-11-181.11701.1370
2025-11-171.11701.1370
2025-11-141.11701.1370
2025-11-131.11801.1380
2025-11-121.11701.1370
2025-11-111.11701.1370
2025-11-101.11701.1370
2025-11-071.11701.1370
2025-11-061.11701.1370
2025-11-051.11701.1370
2025-11-041.11601.1360
2025-11-031.11601.1360
2025-10-311.11601.1360
2025-10-301.11501.1350
2025-10-291.11501.1350
2025-10-281.11401.1340
2025-10-271.11301.1330
2025-10-241.11301.1330
2025-10-231.11201.1320
2025-10-221.11101.1310
2025-10-211.11101.1310
2025-10-201.11101.1310
2025-10-171.11101.1310
2025-10-161.11001.1300
2025-10-151.11001.1300
2025-10-141.10901.1290
2025-10-131.11001.1300
2025-10-101.10901.1290
2025-10-091.10901.1290
2025-09-301.10801.1280
2025-09-291.10801.1280
2025-09-261.10701.1270
2025-09-251.10701.1270
2025-09-241.10801.1280
2025-09-231.10901.1290
2025-09-221.10901.1290
2025-09-191.10901.1290
2025-09-181.11001.1300
2025-09-171.11001.1300
2025-09-161.10901.1290
2025-09-151.10901.1290
2025-09-121.10901.1290
2025-09-111.10901.1290
2025-09-101.10901.1290
2025-09-091.10901.1290
2025-09-081.11001.1300
2025-09-051.11001.1300
2025-09-041.11001.1300