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

兴业30天滚动持有中短债C(015918)

2023-12-08     1.04320.0000%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2023-12-071.04321.0432
2023-12-061.04321.0432
2023-12-051.04321.0432
2023-12-041.04321.0432
2023-12-011.04311.0431
2023-11-301.04301.0430
2023-11-291.04291.0429
2023-11-281.04301.0430
2023-11-271.04301.0430
2023-11-241.04301.0430
2023-11-231.04301.0430
2023-11-221.04311.0431
2023-11-211.04301.0430
2023-11-201.04291.0429
2023-11-171.04281.0428
2023-11-161.04271.0427
2023-11-151.04261.0426
2023-11-141.04241.0424
2023-11-131.04241.0424
2023-11-101.04221.0422
2023-11-091.04211.0421
2023-11-081.04201.0420
2023-11-071.04191.0419
2023-11-061.04181.0418
2023-11-031.04161.0416
2023-11-021.04151.0415
2023-11-011.04131.0413
2023-10-311.04121.0412
2023-10-301.04111.0411
2023-10-271.04081.0408
2023-10-261.04081.0408
2023-10-251.04061.0406
2023-10-241.04051.0405
2023-10-231.04071.0407
2023-10-201.04051.0405
2023-10-191.04051.0405
2023-10-181.04071.0407
2023-10-171.04071.0407
2023-10-161.04071.0407
2023-10-131.04051.0405
2023-10-121.04041.0404
2023-10-111.04041.0404
2023-10-101.04041.0404
2023-10-091.04041.0404
2023-09-281.03941.0394
2023-09-271.03901.0390
2023-09-261.03901.0390
2023-09-251.03921.0392
2023-09-221.03911.0391
2023-09-211.03901.0390
2023-09-201.03881.0388
2023-09-191.03881.0388
2023-09-181.03881.0388
2023-09-151.03871.0387
2023-09-141.03861.0386
2023-09-131.03841.0384
2023-09-121.03811.0381
2023-09-111.03811.0381
2023-09-081.03841.0384
2023-09-071.03871.0387
2023-09-061.03921.0392
2023-09-051.03941.0394
2023-09-041.03941.0394
2023-09-011.03951.0395
2023-08-311.03951.0395
2023-08-301.03941.0394
2023-08-291.03941.0394
2023-08-281.03951.0395
2023-08-251.03951.0395
2023-08-241.03951.0395
2023-08-231.03951.0395
2023-08-221.03941.0394
2023-08-211.03931.0393
2023-08-181.03911.0391
2023-08-171.03901.0390
2023-08-161.03891.0389
2023-08-151.03871.0387
2023-08-141.03851.0385
2023-08-111.03811.0381
2023-08-101.03801.0380
2023-08-091.03791.0379
2023-08-081.03781.0378
2023-08-071.03761.0376
2023-08-041.03731.0373
2023-08-031.03711.0371
2023-08-021.03701.0370
2023-08-011.03681.0368
2023-07-311.03671.0367
2023-07-281.03661.0366
2023-07-271.03661.0366
2023-07-261.03641.0364
2023-07-251.03641.0364
2023-07-241.03661.0366
2023-07-211.03641.0364
2023-07-201.03631.0363
2023-07-191.03621.0362
2023-07-181.03611.0361
2023-07-171.03601.0360
2023-07-141.03571.0357
2023-07-131.03561.0356
2023-07-121.03551.0355
2023-07-111.03551.0355
2023-07-101.03531.0353
2023-07-071.03511.0351
2023-07-061.03501.0350
2023-07-051.03481.0348
2023-07-041.03471.0347
2023-07-031.03451.0345
2023-06-301.03431.0343
2023-06-291.03411.0341
2023-06-281.03401.0340
2023-06-271.03401.0340
2023-06-261.03401.0340
2023-06-211.03371.0337
2023-06-201.03361.0336
2023-06-191.03361.0336
2023-06-161.03371.0337
2023-06-151.03381.0338
2023-06-141.03381.0338
2023-06-131.03371.0337