东吴增利债券C582202基金净值

基金净值 > 东吴增利债券C582202基金今天净值查询 > 来源:互联网 更新时间:2024-05-20 04:56

东吴增利债券C582202今天基金净值

今天

  • 东吴增利债券C582202今天盘中实时净值估算图

  • 东吴增利债券C582202今天累计收益图

东吴增利债券C582202基金净值走势图

东吴增利债券C582202基金历史净值明细

日期时间 单位净值七日年化收益率累计净值万份收益
202007171.0961.406
202007161.09491.4049
202007151.09461.4046
202007141.09481.4048
202007131.09481.4048
202007101.0951.405
202007091.09511.4051
202007081.09521.4052
202007071.0951.405
202007061.17171.4817
202007031.17181.4818
202007021.18551.4955
202007011.18471.4947
202006301.18481.4948
202006291.18461.4946
202006241.18461.4946
202006231.18391.4939
202006221.18451.4945
202006191.1851.495
202006181.20821.5182
202006171.20821.5182
202006161.20891.5189
202006151.20921.5192
202006121.20891.5189
202006111.20811.5181
202006101.20791.5179
202006091.20851.5185
202006081.20821.5182
202006051.24311.5531
202006041.24431.5543
202006031.24451.5545
202006021.24621.5562
202006011.24741.5574
202005291.24691.5569
202005281.2471.557
202005271.24691.5569
202005261.24771.5577
202005251.24911.5591
202005221.24981.5598
202005211.24961.5596
202005201.24981.5598
202005191.29131.6013
202005181.29161.6016
202005151.2921.602
202005141.29211.6021
202005131.29251.6025
202005121.29241.6024
202005111.29211.6021
202005081.29291.6029
202005071.29251.6025

东吴增利债券C582202基金季/年度涨幅图

东吴增利债券C582202年度的基金持仓股票一览

相关推荐:582202东吴增利债券C基金吧档案东吴增利债券C582202天天基金网今天基金净值查询东吴增利债券C582202新浪网今天基金净值查询

猜你喜欢:易方达裕丰回报债券000171基金净值 华润元大现金收益货币B000325基金净值 工银新增益混合001721基金净值 博时裕利纯债债券002698基金净值 先锋聚优A004726基金净值 北信瑞丰鼎利债券C005193基金净值 南方全天候策略(FOF)C005216基金净值 浦银安盛双债增强债券A006466基金净值 国寿安保泰荣纯债债券007215基金净值 广发高股息优享混合A008704基金净值 富国中证科技50策略ETF联接C008750基金净值 鹏华地产分级A150192基金净值

声明:582202东吴增利债券C基金今天净值查询数据,是网上搜集而来,仅提供参考,不构成投资建议,自己投资盈利亏损与本站无关

本站文章关键字: 582202基金今天净值查询 东吴增利债券C基金净值查询 582202基金净值 东吴增利债券C基金净值

本站东吴增利债券C582202基金净值查询网址:http://www.173757.com/jz582202/