日期:2023-07-20 13:00:38作者:人气:1
003625最新基金净值,净值日期成立日期
你的基金已经成立5年了,截止到12月25日,收益率涨了16.64%,单位净值为1.49元。
请看以下资料:
日期单位净值累计净值
1.融通新蓝筹净值趋势1.51041.11581.0271.074.23-1.22141.69240.626.3021.163.60404.00
2.富国天盛88.8699每10份分红1元,成立日期2005-10-10
3.宝康债券投资2,000元每10份分红0.5元,成立日期200**2,2,4,9,8,9,13,16,21,22,22,23,32,44,39,52,62,73,81,94,91,96,94,95,97,99,99,99,99,100,156,00,501,00,050.
4.交银增利A/B净值趋势1.13430.9941.1287.04-3.18-0.66140.6458.2357.31-1.39240.69
5.海富通纯债债券A净值1.54541.401.0922.1010.19-0.870.3864.632.1693.51
6.工银双利债券A净值1.54201.180.510.221.270.37-0.491.242.3809.8219.814.14
7.工银双利债券B净值1.54281.250.120.300.163.22-0.610.302.76%
8.工银恒利分级债券净值1.19601.16471.16-0.211.18-0.710.392.1620.6633.35
9.工银聚福定期开放债券,0002.9991.0524.155.71-0.564.1821.9815
10.安信永瑞定开债券A净值1.1851.1871.07-1.431.16-1.190.10-0.43观察
11.诺安双利债券净值1.03511.1061.106-0.571.098至11.1024.1790
12.鹏华丰泽债券(LOF)净值1.1561.07-0.411.09-0.631.0620.1446
13.鹏华信用增利债券(LOF)净值1.1571.06-0.490.14-0.611.0971.054
14.鹏华普天债券A净值1.1341.1480.210.160.200.240.12818.412.582
15.鹏华普天收益混合(LOF