近一季恒生前海恒颐五年定开债券C基金净值查询
查询指定日期范围恒生前海恒颐五年定开债C009304净值及计算阶段收益
净值日期 |
基金名称 |
净值 |
增长率 |
2024-04-30 |
恒生前海恒颐五年定开债C |
1.0041 |
0.04% |
2024-04-26 |
恒生前海恒颐五年定开债C |
1.0037 |
0.08% |
2024-04-19 |
恒生前海恒颐五年定开债C |
1.0029 |
0.07% |
2024-04-12 |
恒生前海恒颐五年定开债C |
1.0022 |
0.10% |
2024-04-03 |
恒生前海恒颐五年定开债C |
1.0012 |
0.04% |
2024-03-27 |
恒生前海恒颐五年定开债C |
1.0091 |
0.89% |
2024-03-26 |
恒生前海恒颐五年定开债C |
1.0091 |
0.00% |
2024-03-25 |
恒生前海恒颐五年定开债C |
1.0091 |
0.00% |
2024-03-22 |
恒生前海恒颐五年定开债C |
1.0091 |
0.08% |
2024-03-21 |
恒生前海恒颐五年定开债C |
1.0083 |
0.00% |
2024-03-20 |
恒生前海恒颐五年定开债C |
1.0083 |
0.00% |
2024-03-19 |
恒生前海恒颐五年定开债C |
1.0083 |
0.00% |
2024-03-18 |
恒生前海恒颐五年定开债C |
1.0083 |
0.00% |
2024-03-15 |
恒生前海恒颐五年定开债C |
1.0083 |
0.07% |
2024-03-14 |
恒生前海恒颐五年定开债C |
1.0076 |
0.00% |
2024-03-13 |
恒生前海恒颐五年定开债C |
1.0076 |
0.00% |
2024-03-12 |
恒生前海恒颐五年定开债C |
1.0076 |
0.00% |
2024-03-11 |
恒生前海恒颐五年定开债C |
1.0076 |
0.00% |
2024-03-08 |
恒生前海恒颐五年定开债C |
1.0076 |
0.08% |
2024-03-07 |
恒生前海恒颐五年定开债C |
1.0068 |
0.00% |
2024-03-06 |
恒生前海恒颐五年定开债C |
1.0068 |
0.00% |
2024-03-05 |
恒生前海恒颐五年定开债C |
1.0068 |
0.00% |
2024-03-04 |
恒生前海恒颐五年定开债C |
1.0068 |
0.00% |
2024-03-01 |
恒生前海恒颐五年定开债C |
1.0068 |
0.07% |
2024-02-29 |
恒生前海恒颐五年定开债C |
1.0061 |
0.00% |
2024-02-28 |
恒生前海恒颐五年定开债C |
1.0061 |
0.00% |
2024-02-27 |
恒生前海恒颐五年定开债C |
1.0061 |
0.00% |
2024-02-26 |
恒生前海恒颐五年定开债C |
1.0061 |
0.00% |
2024-02-23 |
恒生前海恒颐五年定开债C |
1.0061 |
0.15% |
2024-02-22 |
恒生前海恒颐五年定开债C |
1.0046 |
0.00% |
2024-02-21 |
恒生前海恒颐五年定开债C |
1.0046 |
0.00% |
2024-02-20 |
恒生前海恒颐五年定开债C |
1.0046 |
0.00% |
2024-02-19 |
恒生前海恒颐五年定开债C |
1.0046 |
0.00% |