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各种基金交易渠道费用对比,最高相差300倍
今年以来兴全恒祥88个月定开债券基金净值查询
速查: 近一周 近一月 近一季 近一年 今年以来
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查询指定日期范围兴全恒祥88个月定开债券009666净值及计算阶段收益
今年以来009666基金累计收益率0.89%
净值日期 基金名称 净值 增长率
2024-04-26 兴全恒祥88个月定开债券 1.0054 0.01%
2024-04-25 兴全恒祥88个月定开债券 1.0053 0.02%
2024-04-24 兴全恒祥88个月定开债券 1.0051 0.01%
2024-04-23 兴全恒祥88个月定开债券 1.0050 0.01%
2024-04-22 兴全恒祥88个月定开债券 1.0049 0.04%
2024-04-19 兴全恒祥88个月定开债券 1.0045 0.01%
2024-04-18 兴全恒祥88个月定开债券 1.0044 0.01%
2024-04-17 兴全恒祥88个月定开债券 1.0043 0.01%
2024-04-16 兴全恒祥88个月定开债券 1.0042 0.01%
2024-04-15 兴全恒祥88个月定开债券 1.0041 0.04%
2024-04-12 兴全恒祥88个月定开债券 1.0037 0.01%
2024-04-11 兴全恒祥88个月定开债券 1.0036 0.01%
2024-04-10 兴全恒祥88个月定开债券 1.0035 0.02%
2024-04-09 兴全恒祥88个月定开债券 1.0033 0.01%
2024-04-08 兴全恒祥88个月定开债券 1.0032 0.06%
2024-04-03 兴全恒祥88个月定开债券 1.0026 0.01%
2024-04-02 兴全恒祥88个月定开债券 1.0025 0.01%
2024-04-01 兴全恒祥88个月定开债券 1.0024 0.03%
2024-03-29 兴全恒祥88个月定开债券 1.0021 0.02%
2024-03-28 兴全恒祥88个月定开债券 1.0019 0.01%
2024-03-27 兴全恒祥88个月定开债券 1.0018 0.01%
2024-03-26 兴全恒祥88个月定开债券 1.0017 0.01%
2024-03-25 兴全恒祥88个月定开债券 1.0016 0.04%
2024-03-22 兴全恒祥88个月定开债券 1.0012 0.01%
2024-03-21 兴全恒祥88个月定开债券 1.0121 0.01%
2024-03-20 兴全恒祥88个月定开债券 1.0120 0.01%
2024-03-19 兴全恒祥88个月定开债券 1.0119 0.01%
2024-03-18 兴全恒祥88个月定开债券 1.0118 0.04%
2024-03-15 兴全恒祥88个月定开债券 1.0114 0.01%
2024-03-14 兴全恒祥88个月定开债券 1.0113 0.01%
2024-03-13 兴全恒祥88个月定开债券 1.0112 0.02%
2024-03-12 兴全恒祥88个月定开债券 1.0110 0.01%
2024-03-11 兴全恒祥88个月定开债券 1.0109 0.03%
2024-03-08 兴全恒祥88个月定开债券 1.0106 0.02%
2024-03-07 兴全恒祥88个月定开债券 1.0104 0.01%
2024-03-06 兴全恒祥88个月定开债券 1.0103 0.01%
2024-03-05 兴全恒祥88个月定开债券 1.0102 0.01%
2024-03-04 兴全恒祥88个月定开债券 1.0101 0.04%
2024-03-01 兴全恒祥88个月定开债券 1.0097 0.01%
2024-02-29 兴全恒祥88个月定开债券 1.0096 0.01%
2024-02-28 兴全恒祥88个月定开债券 1.0095 0.02%
2024-02-27 兴全恒祥88个月定开债券 1.0093 0.01%
2024-02-26 兴全恒祥88个月定开债券 1.0092 0.03%
2024-02-23 兴全恒祥88个月定开债券 1.0089 0.02%
2024-02-22 兴全恒祥88个月定开债券 1.0087 0.01%
2024-02-21 兴全恒祥88个月定开债券 1.0086 0.01%
2024-02-20 兴全恒祥88个月定开债券 1.0085 0.01%
2024-02-19 兴全恒祥88个月定开债券 1.0084 0.13%
2024-02-08 兴全恒祥88个月定开债券 1.0071 0.01%
2024-02-07 兴全恒祥88个月定开债券 1.0070 0.01%
2024-02-06 兴全恒祥88个月定开债券 1.0069 0.01%
2024-02-05 兴全恒祥88个月定开债券 1.0068 0.04%
2024-02-02 兴全恒祥88个月定开债券 1.0064 0.01%
2024-02-01 兴全恒祥88个月定开债券 1.0063 0.01%
2024-01-31 兴全恒祥88个月定开债券 1.0062 0.01%
2024-01-30 兴全恒祥88个月定开债券 1.0061 0.02%
2024-01-29 兴全恒祥88个月定开债券 1.0059 0.03%
2024-01-26 兴全恒祥88个月定开债券 1.0056 0.01%
2024-01-25 兴全恒祥88个月定开债券 1.0055 0.01%
2024-01-24 兴全恒祥88个月定开债券 1.0054 0.02%
2024-01-23 兴全恒祥88个月定开债券 1.0052 0.01%
2024-01-22 兴全恒祥88个月定开债券 1.0051 0.03%
2024-01-19 兴全恒祥88个月定开债券 1.0048 0.02%
2024-01-18 兴全恒祥88个月定开债券 1.0046 0.01%
2024-01-17 兴全恒祥88个月定开债券 1.0045 0.01%
2024-01-16 兴全恒祥88个月定开债券 1.0044 0.01%
2024-01-15 兴全恒祥88个月定开债券 1.0043 0.04%
2024-01-12 兴全恒祥88个月定开债券 1.0039 0.01%
2024-01-11 兴全恒祥88个月定开债券 1.0038 0.01%
2024-01-10 兴全恒祥88个月定开债券 1.0037 0.01%
2024-01-09 兴全恒祥88个月定开债券 1.0036 0.02%
2024-01-08 兴全恒祥88个月定开债券 1.0034 0.03%
2024-01-05 兴全恒祥88个月定开债券 1.0031 0.02%
2024-01-04 兴全恒祥88个月定开债券 1.0029 0.01%
2024-01-03 兴全恒祥88个月定开债券 1.0028 0.01%
2024-01-02 兴全恒祥88个月定开债券 1.0027 0.04%
兴证全球基金旗下基金涨幅榜
基金名称 净值 增长率
兴全沪港深两年持有混合 0.6188 2.94%
兴全合兴LOF 0.6124 2.60%
兴全合远两年持有混合C 0.6546 1.87%
兴全合远两年持有混合A 0.6665 1.86%
兴全合丰三年持有混合 0.5770 1.80%
兴证全球合衡三年持有混合C 0.7035 1.78%
兴证全球合衡三年持有混合A 0.7083 1.77%
兴证全球合瑞混合A 0.8079 1.66%
兴证全球合瑞混合C 0.8000 1.65%
兴全中证800六个月持有指数A 0.9357 1.07%
基金涨幅榜
基金名称 净值 增长率
中庚港股通价值18个月封闭股票 0.8509 10.43%
信澳博见成长一年定期开放混合A 0.9540 9.15%
信澳博见成长一年定期开放混合C 0.9486 9.13%
新华安享多裕定开混合 0.8447 8.74%
华泰柏瑞新经济沪港深混合A 0.9479 6.20%
华泰柏瑞新经济沪港深混合C 0.9421 6.20%
香港证券 0.9449 6.19%
东财数字经济混合发起式A 0.9672 6.16%
东财数字经济混合发起式C 0.9507 6.16%
证券基金 0.8696 6.00%