博时安祺6个月定开债A(003239)关注
1.0252+0.05%更新于 2025-08-08
博时安祺6个月定开债A净值统计
2025年-1.48%0.87%-2.2%
2024年-0.15%2.49%-4.26%
2023年0.81%1.81%-1.53%
2022年2.09%2.51%-0.81%
2021年-0.81%3.29%-4.49%
该基金暂时不参与净值数据统计
其他基金
016021华安优嘉精选混合A混合4901/130214901/130212.38%5.62%12.4% 011257交银鸿光一年混合C混合9477/130219477/130210.55%1.21%2.26% 017571华夏中证新能源ETF发起式联接A指数6305/130216305/130211.45%2.46%9.98% 160322华夏港股通精选股票发起式(LOF)A股票4759/130214759/130210.68%3.43%6.75% 012328天弘中证新能源指数增强A指数5294/130215294/130211.44%3.03%11.22% 008903广发科技先锋混合混合5565/130215565/130210.87%3.64%5.33% 017757银河新动能混合C混合4126/130214126/130210.46%5.25%9.08% 012461东财龙头家电指数A指数6754/130216754/130211.36%2.3%1.77% 009354浙商科创一个月滚动持有混合C混合855/13021855/130211.38%9.82%16.21% 012762华泰柏瑞上证红利ETF联接C指数7771/130217771/130211.64%0.24%5.12%