热搜: 投资者 港股开户 中欧医疗健康混合A 兴全趋势 富国天惠
各种基金交易渠道费用对比,最高相差300倍
近一年中银瑞福浮动净值型货币C基金净值查询
速查: 近一周 近一月 近一季 近一年 今年以来
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查询指定日期范围007709净值及计算阶段收益
近一年007709基金累计收益率1.32%
净值日期 基金名称 净值 增长率
2024-05-08 103.3296 0.00%
2024-05-07 103.3286 0.01%
2024-05-06 103.3223 0.01%
2024-04-30 103.3135 0.01%
2024-04-29 103.3005 0.00%
2024-04-26 103.3020 0.00%
2024-04-25 103.3058 0.00%
2024-04-24 103.3046 0.00%
2024-04-23 103.3052 0.00%
2024-04-22 103.3082 0.01%
2024-04-19 103.3002 0.00%
2024-04-18 103.2952 0.00%
2024-04-17 103.2921 0.00%
2024-04-16 103.2903 -0.01%
2024-04-15 103.2960 0.80%
2024-04-12 103.2915 0.80%
2024-04-11 103.2865 0.79%
2024-04-10 103.2850 0.79%
2024-04-09 103.2835 0.79%
2024-04-08 103.2842 0.79%
2024-04-03 103.2715 0.78%
2024-04-02 103.2613 0.77%
2024-04-01 103.2534 0.76%
2024-03-29 103.2423 0.75%
2024-03-28 103.2365 0.74%
2024-03-27 103.2346 0.74%
2024-03-26 103.2295 0.74%
2024-03-25 103.2273 0.73%
2024-03-22 103.2191 0.73%
2024-03-21 103.2159 0.72%
2024-03-20 103.2145 0.72%
2024-03-19 103.2110 0.72%
2024-03-18 103.2077 0.72%
2024-03-15 103.2027 0.71%
2024-03-14 103.1993 0.71%
2024-03-13 103.2003 0.71%
2024-03-12 103.2031 0.71%
2024-03-11 103.2046 0.71%
2024-03-08 103.1970 0.70%
2024-03-07 103.1967 0.70%
2024-03-06 103.1931 0.70%
2024-03-05 103.1897 0.70%
2024-03-04 103.1878 0.70%
2024-03-01 103.1826 0.69%
2024-02-29 103.1825 0.69%
2024-02-28 103.1803 0.69%
2024-02-27 103.1767 0.69%
2024-02-26 103.1731 0.68%
2024-02-23 103.1642 0.67%
2024-02-22 103.1628 0.67%
2024-02-21 103.1641 0.67%
2024-02-20 103.1592 0.67%
2024-02-19 103.1557 0.66%
2024-02-08 103.1239 0.63%
2024-02-07 103.1137 0.62%
2024-02-06 103.1054 0.62%
2024-02-05 103.1072 0.62%
2024-02-02 103.0960 0.61%
2024-02-01 103.0928 0.60%
2024-01-31 103.0919 0.60%
2024-01-30 103.0895 0.60%
2024-01-29 103.0800 0.59%
2024-01-26 103.0692 0.58%
2024-01-25 103.0650 0.58%
2024-01-24 103.0626 0.57%
2024-01-23 103.0585 0.57%
2024-01-22 103.0562 0.57%
2024-01-19 103.0531 0.56%
2024-01-18 103.0505 0.56%
2024-01-17 103.0447 0.56%
2024-01-16 103.0444 0.56%
2024-01-15 103.0404 0.55%
2024-01-12 103.0379 0.55%
2024-01-11 103.0357 0.55%
2024-01-10 103.0374 0.55%
2024-01-09 103.0336 0.55%
2024-01-08 103.0317 0.54%
2024-01-05 103.0219 0.53%
2024-01-04 103.0199 0.53%
2024-01-03 103.0180 0.53%
2024-01-02 103.0251 0.54%
2023-12-29 103.0000 0.51%
2023-12-28 102.9778 0.49%
2023-12-27 102.9548 0.47%
2023-12-26 102.9253 0.44%
2023-12-25 102.9120 0.43%
2023-12-22 102.8872 0.40%
2023-12-21 102.8778 0.39%
2023-12-20 102.8771 0.39%
2023-12-19 102.8728 0.39%
2023-12-18 102.8650 0.38%
2023-12-15 102.8416 0.36%
2023-12-14 102.8361 0.35%
2023-12-13 102.8282 0.34%
2023-12-12 102.8192 0.34%
2023-12-11 102.8121 0.33%
2023-12-08 102.7914 0.31%
2023-12-07 102.7899 0.31%
2023-12-06 102.7824 0.30%
2023-12-05 102.7767 0.29%
2023-12-04 102.7728 0.29%
2023-12-01 102.7556 0.27%
2023-11-30 102.7477 0.27%
2023-11-29 102.7291 0.25%
2023-11-28 102.7212 0.24%
2023-11-27 102.7151 0.23%
2023-11-24 102.6969 0.22%
2023-11-23 102.6898 0.21%
2023-11-22 102.6827 0.20%
2023-11-20 102.6738 0.19%
2023-11-17 102.6560 0.18%
2023-11-16 102.6507 0.17%
2023-11-15 102.6440 0.17%
2023-11-14 102.6375 0.16%
2023-11-13 102.6307 0.15%
2023-11-10 102.6121 0.13%
2023-11-09 102.6071 0.13%
2023-11-08 102.6022 0.12%
2023-11-07 102.5973 0.12%
2023-11-06 102.5945 0.12%
2023-11-03 102.5810 0.10%
2023-11-02 102.5694 0.09%
2023-11-01 102.5583 0.08%
2023-10-31 102.5420 0.07%
2023-10-30 102.5470 0.07%
2023-10-27 102.5194 0.04%
2023-10-26 102.5165 0.04%
2023-10-25 102.5093 0.03%
2023-10-24 102.4970 0.02%
2023-10-23 102.4975 0.02%
2023-10-20 102.4776 0.00%
2023-10-19 102.4747 0.00%
2023-10-18 102.4770 0.00%
2023-10-17 102.4723 0.00%
2023-10-16 102.4711 0.02%
2023-10-13 102.4533 0.00%
2023-10-12 102.4497 0.00%
2023-10-11 102.4456 0.00%
2023-10-10 102.4457 -0.01%
2023-10-09 102.4599 0.08%
2023-09-28 102.3758 0.01%
2023-09-27 102.3647 0.00%
2023-09-26 102.3627 0.00%
2023-09-25 102.3603 0.02%
2023-09-22 102.3434 0.01%
2023-09-21 102.3377 0.01%
2023-09-20 102.3250 0.00%
2023-09-19 102.3212 0.00%
2023-09-18 102.3229 0.01%
2023-09-15 102.3083 0.01%
2023-09-14 102.2993 0.01%
2023-09-13 102.2938 0.00%
2023-09-12 102.2902 0.01%
2023-09-11 102.2847 0.01%
2023-09-08 102.2741 0.00%
2023-09-07 102.2691 0.00%
2023-09-06 102.2677 0.00%
2023-09-05 102.2666 0.00%
2023-09-04 102.2639 0.02%
2023-09-01 102.2413 0.01%
2023-08-31 102.2321 0.01%
2023-08-30 102.2248 0.01%
2023-08-29 102.2175 0.00%
2023-08-28 102.2212 0.01%
2023-08-25 102.2081 0.00%
2023-08-24 102.2088 0.00%
2023-08-23 102.2043 0.00%
2023-08-22 102.1993 -0.01%
2023-08-21 102.2048 -0.02%
2023-08-18 102.2220 -0.01%
2023-08-17 102.2352 -0.09%
2023-08-16 102.2412 -0.08%
2023-08-15 102.2473 -0.08%
2023-08-14 102.2533 -0.07%
2023-08-11 102.2798 -0.05%
2023-08-10 102.2883 -0.04%
2023-08-09 102.2993 -0.03%
2023-08-08 102.3110 -0.02%
2023-08-07 102.3196 -0.01%
2023-08-04 102.3257 0.00%
2023-08-03 102.3300 0.00%
2023-08-02 102.3267 0.00%
2023-08-01 102.3235 0.00%
2023-07-31 102.3265 0.01%
2023-07-28 102.3208 0.00%
2023-07-27 102.3195 0.00%
2023-07-26 102.3200 0.00%
2023-07-25 102.3186 0.00%
2023-07-24 102.3169 0.00%
2023-07-21 102.3159 0.00%
2023-07-20 102.3145 0.00%
2023-07-19 102.3128 0.00%
2023-07-18 102.3096 0.00%
2023-07-17 102.3079 0.00%
2023-07-14 102.3037 0.00%
2023-07-13 102.3041 0.00%
2023-07-12 102.3064 0.00%
2023-07-11 102.3074 0.00%
2023-07-10 102.3085 -0.01%
2023-07-07 102.3207 0.01%
2023-07-06 102.3126 0.00%
2023-07-05 102.3136 0.00%
2023-07-04 102.3147 0.00%
2023-07-03 102.3159 0.01%
2023-06-30 102.3059 0.01%
2023-06-29 102.2964 0.00%
2023-06-28 102.2975 0.00%
2023-06-27 102.2985 -0.01%
2023-06-26 102.3086 -0.01%
2023-06-21 102.3138 -0.01%
2023-06-20 102.3195 0.00%
2023-06-19 102.3176 0.01%
2023-06-16 102.3120 0.00%
2023-06-15 102.3112 0.00%
2023-06-14 102.3091 0.00%
2023-06-13 102.3051 0.00%
2023-06-12 102.3012 0.01%
2023-06-09 102.2892 0.00%
2023-06-08 102.2852 0.00%
2023-06-07 102.2815 0.00%
2023-06-06 102.2792 0.01%
2023-06-05 102.2703 0.01%
2023-06-02 102.2552 0.01%
2023-06-01 102.2497 0.00%
2023-05-31 102.2457 0.00%
2023-05-30 102.2414 0.00%
2023-05-29 102.2372 0.01%
2023-05-26 102.2243 0.00%
2023-05-25 102.2201 0.00%
2023-05-24 102.2158 0.01%
2023-05-23 102.2101 0.01%
2023-05-22 102.1978 0.02%
2023-05-19 102.1823 0.01%
2023-05-18 102.1766 0.00%
2023-05-17 102.1746 0.00%
2023-05-16 102.1710 0.00%
2023-05-15 102.1670 0.01%
2023-05-12 102.1552 0.00%
2023-05-11 102.1529 0.01%
2023-05-10 102.1438 0.01%
2023-05-09 102.1372 0.00%
中银基金旗下基金涨幅榜
基金名称 净值 增长率
中银港股通优势成长股票 0.5979 0.72%
中银创新医疗混合A 1.3080 0.50%
中银双息回报混合A 1.5771 0.31%
中银新财富混合A 1.0730 0.19%
中银丰荣定期开放债券 1.1200 0.19%
中银稳进策略混合A 1.3534 0.10%
中银新财富混合C 1.0720 0.09%
中银多策略混合A 1.3570 0.07%
中银誉享一年定期开放债券发起式 1.0229 0.06%
中银新回报混合A 1.6860 0.06%
货币型-浮动净值基金涨幅榜
基金名称 净值 增长率
111.7223 0.01%
108.9198 0.01%
103.3296 0.00%
103.3296 0.00%
105.7488 0.00%
107.1941 0.00%
109.3836 0.00%
110.1106 0.00%