导航

| 净值日期 | 基金名称 | 净值 | 增长率 |
| 2025-02-27 | 1.0141 | -0.01% | |
| 2025-02-26 | 1.0142 | 0.00% | |
| 2025-02-25 | 1.0142 | 0.00% | |
| 2025-02-24 | 1.0142 | -0.01% | |
| 2025-02-21 | 1.0143 | 0.00% | |
| 2025-02-20 | 1.0143 | 0.00% | |
| 2025-02-19 | 1.0143 | -0.03% | |
| 2025-02-18 | 1.0146 | -0.02% | |
| 2025-02-17 | 1.0148 | 0.00% | |
| 2025-02-14 | 1.0148 | -0.05% | |
| 2025-02-13 | 1.0153 | -0.01% | |
| 2025-02-12 | 1.0154 | -0.01% | |
| 2025-02-11 | 1.0155 | 0.00% | |
| 2025-02-10 | 1.0155 | -0.03% | |
| 2025-02-07 | 1.0158 | 0.00% | |
| 2025-02-06 | 1.0158 | 0.02% | |
| 2025-02-05 | 1.0156 | 0.02% | |
| 2025-01-27 | 1.0154 | 0.07% | |
| 2025-01-22 | 1.0152 | 0.01% | |
| 2025-01-14 | 1.0154 | 0.00% | |
| 2025-01-13 | 1.0154 | -0.03% | |
| 2025-01-10 | 1.0157 | -0.01% | |
| 2025-01-09 | 1.0158 | -0.07% | |
| 2025-01-08 | 1.0165 | -0.06% | |
| 2025-01-07 | 1.0171 | -0.02% | |
| 2025-01-06 | 1.0173 | -0.02% | |
| 2025-01-03 | 1.0175 | 0.00% | |
| 2025-01-02 | 1.0175 | -0.32% | |
| 2024-12-31 | 1.0208 | -0.23% |
| 基金名称 | 净值 | 增长率 |
| 天弘普利90天持有债券A | 1.0000 | 100.00% |
| 天弘普利90天持有债券C | 1.0000 | 100.00% |
| 华商丰利增强定开A | 2.1790 | 3.30% |
| 华商丰利增强定开C | 2.0980 | 3.29% |
| 华商瑞鑫 | 2.0290 | 2.81% |
| 前海联合添鑫债券A | 1.2795 | 0.97% |
| 汇添富稳元回报债券发起式A | 1.0951 | 0.96% |
| 汇添富稳元回报债券发起式C | 1.0867 | 0.96% |
| 前海联合添鑫债券C | 1.2109 | 0.95% |
| 博时恒耀债券A | 1.0961 | 0.85% |