近一月兴银汇裕定开债基金净值查询
查询指定日期范围兴银汇裕定开债008406净值及计算阶段收益
| 净值日期 |
基金名称 |
净值 |
增长率 |
| 2025-12-17 |
兴银汇裕定开债 |
1.0442 |
0.06% |
| 2025-12-16 |
兴银汇裕定开债 |
1.0436 |
0.01% |
| 2025-12-15 |
兴银汇裕定开债 |
1.0435 |
-0.07% |
| 2025-12-12 |
兴银汇裕定开债 |
1.0442 |
-0.03% |
| 2025-12-11 |
兴银汇裕定开债 |
1.0445 |
0.05% |
| 2025-12-10 |
兴银汇裕定开债 |
1.0440 |
0.03% |
| 2025-12-09 |
兴银汇裕定开债 |
1.0437 |
0.04% |
| 2025-12-08 |
兴银汇裕定开债 |
1.0433 |
-0.03% |
| 2025-12-05 |
兴银汇裕定开债 |
1.0436 |
0.01% |
| 2025-12-04 |
兴银汇裕定开债 |
1.0435 |
-0.12% |
| 2025-12-03 |
兴银汇裕定开债 |
1.0448 |
-0.05% |
| 2025-12-02 |
兴银汇裕定开债 |
1.0453 |
-0.04% |
| 2025-12-01 |
兴银汇裕定开债 |
1.0457 |
0.00% |
| 2025-11-28 |
兴银汇裕定开债 |
1.0457 |
0.03% |
| 2025-11-27 |
兴银汇裕定开债 |
1.0454 |
-0.05% |
| 2025-11-26 |
兴银汇裕定开债 |
1.0459 |
-0.09% |
| 2025-11-25 |
兴银汇裕定开债 |
1.0468 |
-0.05% |
| 2025-11-24 |
兴银汇裕定开债 |
1.0473 |
0.00% |
| 2025-11-21 |
兴银汇裕定开债 |
1.0473 |
-0.03% |
| 2025-11-20 |
兴银汇裕定开债 |
1.0476 |
-0.01% |
| 2025-11-19 |
兴银汇裕定开债 |
1.0477 |
0.00% |
| 2025-11-18 |
兴银汇裕定开债 |
1.0477 |
0.01% |