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金基速查 - 基金速查網(wǎng) - 開(kāi)放式基金數(shù)據(jù)大全,每日基金凈值查詢

創(chuàng)金合信匯益純債一年定開(kāi)債C(創(chuàng)金合信匯益純債一年定開(kāi)債券C)基金凈值查詢(005783)

今天最新凈值 1.0483 0.0001 0.0100% 2025-05-16
盤中實(shí)時(shí)估值(僅供參考) %
今年以來(lái)創(chuàng)金合信匯益純債一年定開(kāi)債C|創(chuàng)金合信匯益純債一年定開(kāi)債券C基金凈值查詢
基金歷史凈值按日期查詢: -
今年以來(lái),創(chuàng)金合信匯益純債一年定開(kāi)債C(005783)基金累計(jì)收益率0.71%
凈值日期 基金代碼 基金名稱 最新單位凈值 最新累計(jì)凈值 上期單位凈值 上期累計(jì)凈值 當(dāng)日增長(zhǎng)值 當(dāng)日增長(zhǎng)率
2025-05-16 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0483 1.2861 1.0482 1.2860 0.0001 0.01%
2025-05-09 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0482 1.2860 1.0462 1.2840 0.0020 0.19%
2025-04-30 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0462 1.2840 1.0453 1.2831 0.0009 0.09%
2025-04-25 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0453 1.2831 1.0461 1.2839 -0.0008 -0.08%
2025-04-18 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0461 1.2839 1.0459 1.2837 0.0002 0.02%
2025-04-11 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0459 1.2837 1.0442 1.2820 0.0017 0.16%
2025-04-03 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0442 1.2820 1.0416 1.2794 0.0026 0.25%
2025-03-28 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0416 1.2794 1.0393 1.2771 0.0023 0.22%
2025-03-21 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0393 1.2771 1.0381 1.2759 0.0012 0.12%
2025-03-14 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0381 1.2759 1.0380 1.2758 0.0001 0.01%
2025-03-07 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0380 1.2758 1.0387 1.2765 -0.0007 -0.07%
2025-02-28 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0387 1.2765 1.0409 1.2787 -0.0022 -0.21%
2025-02-21 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0409 1.2787 1.0433 1.2811 -0.0024 -0.23%
2025-02-14 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0433 1.2811 1.0438 1.2816 -0.0005 -0.05%
2025-02-07 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0438 1.2816 1.0423 1.2801 0.0015 0.14%
2025-01-27 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0423 1.2801 1.0416 1.2794 0.0007 0.07%
2025-01-17 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0425 1.2803 1.0430 1.2808 -0.0005 -0.05%
2025-01-10 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0430 1.2808 1.0431 1.2809 -0.0001 -0.01%
2025-01-03 005783 創(chuàng)金合信匯益純債一年定開(kāi)債C 1.0431 1.2809 1.0409 1.2787 0.0022 0.21%
債券型-長(zhǎng)債基金漲幅榜
基金名稱 單位凈值 日增長(zhǎng)率
紅塔紅土瑞景純債A 1.0155 0.18%
紅塔紅土瑞景純債C 1.0149 0.18%
中航瑞華ESG一年定開(kāi)債發(fā)起A 1.0382 0.18%
中航瑞華ESG一年定開(kāi)債發(fā)起C 1.0298 0.18%
中航瑞融ESG一年定開(kāi)債發(fā)起A 1.0502 0.16%
銀河家盈債券 1.1285 0.11%
中航瑞晨87個(gè)月定開(kāi)債C 1.0302 0.10%
南方金利定開(kāi) 1.0200 0.10%
建信安心C 1.0770 0.09%
中海純債A 1.1630 0.09%