银华华茂定开债券(005529)关注
1.0488+0.18%更新于 2025-08-01
银华华茂定开债券净值统计
2025年0.76%1.79%-0.88%
2024年-1.71%2.63%-6.44%
2023年3.41%3.61%-0.34%
2022年-0.07%3.52%-3.9%
2021年-1.09%1.86%-3.04%
该基金暂时不参与净值数据统计
其他基金
009420宝盈祥明一年定开混合C混合12526/1302312526/13023-0.17%-0.55%-0.24% 015881中欧小盘成长混合C混合457/13023457/13023-0.04%8.23%18.41% 004340泰康兴泰回报沪港深混合A混合8883/130238883/13023-0.45%0.67%1.14% 019240华泰柏瑞中证1000指数增强A指数1100/130231100/130230.01%7.45%13.11% 002885大摩万众创新混合A混合1134/130231134/13023-1.15%8.24%14.34% 015704易米开泰混合C混合2938/130232938/130230.12%5.52%4.94% 016450南方新材料股票发起C股票5229/130235229/13023-2.3%2.05%8.23% 519652银河鑫利混合A混合8973/130238973/13023--0.99%1.35% 013640光大中证500指数增强C指数4524/130234524/13023-1.55%4.04%9.34% 011646国泰核心价值两年持有期股票C股票3901/130233901/13023-1.83%3.77%5.08%