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

海富通瑞鑫30天持有期债券C(020235)

2025-10-14     1.03190.0097%
 查询其他基金该项数据
净值发布日期 单位净值 累计净值
2025-10-141.03191.0319
2025-10-131.03181.0318
2025-10-101.03061.0306
2025-10-091.03031.0303
2025-09-301.02991.0299
2025-09-291.02981.0298
2025-09-261.02971.0297
2025-09-251.02971.0297
2025-09-241.02971.0297
2025-09-231.03001.0300
2025-09-221.03011.0301
2025-09-191.03021.0302
2025-09-181.03031.0303
2025-09-171.03031.0303
2025-09-161.03021.0302
2025-09-151.03021.0302
2025-09-121.03011.0301
2025-09-111.03011.0301
2025-09-101.03001.0300
2025-09-091.03021.0302
2025-09-081.03031.0303
2025-09-051.03041.0304
2025-09-041.03051.0305
2025-09-031.03041.0304
2025-09-021.03021.0302
2025-09-011.03011.0301
2025-08-291.03001.0300
2025-08-281.02991.0299
2025-08-271.03001.0300
2025-08-261.02991.0299
2025-08-251.02951.0295
2025-08-221.02911.0291
2025-08-211.02901.0290
2025-08-201.02821.0282
2025-08-191.02841.0284
2025-08-181.02851.0285
2025-08-151.02811.0281
2025-08-141.02861.0286
2025-08-131.02861.0286
2025-08-121.02861.0286
2025-08-111.02881.0288
2025-08-081.02891.0289
2025-08-071.02881.0288
2025-08-061.02871.0287
2025-08-051.02871.0287
2025-08-041.02861.0286
2025-08-011.02851.0285
2025-07-311.02841.0284
2025-07-301.02811.0281
2025-07-291.02791.0279
2025-07-281.02811.0281
2025-07-251.02801.0280
2025-07-241.02791.0279
2025-07-231.02811.0281
2025-07-221.02821.0282
2025-07-211.02831.0283
2025-07-181.02831.0283
2025-07-171.02821.0282
2025-07-161.02821.0282
2025-07-151.02811.0281
2025-07-141.02791.0279
2025-07-111.02801.0280
2025-07-101.02811.0281
2025-07-091.02821.0282
2025-07-081.02811.0281
2025-07-071.02821.0282
2025-07-041.02811.0281
2025-07-031.02801.0280
2025-07-021.02801.0280
2025-07-011.02761.0276
2025-06-301.02691.0269