建信睿兴纯债债券(006791)关注
1.0289+0.03%更新于 2025-08-01

整体排名 11396/13023
债券 2539/3245
建信睿兴纯债债券净值统计
2025年-3.23%1.26%-4.3%
2024年4.1%4.11%-0.44%
2023年1.05%2.21%-1.43%
2022年-5.5%1.55%-7.38%
2021年0.61%3.02%-3.65%
仅供参考,如有错误请反馈
其他基金
009705南方景气驱动混合C混合5120/130235120/13023-1.75%0.42%2.6% 001928华夏消费升级灵活配置混合C混合12528/1302312528/13023-1.79%1.39%-0.65% 006197华夏中证央企ETF联接C指数9406/130239406/13023-1.98%1.88%4.17% 519056海富通内需热点混合混合3253/130233253/13023-0.27%1.41%5.78% 012608信澳领先智选混合混合2461/130232461/13023-0.73%4.13%7.47% 011843民生加银内核驱动混合A混合2425/130232425/13023-0.97%5.31%17.93% 015903博时优质精选混合C混合2205/130232205/13023-1.53%5.11%11.17% 161715招商大宗商品(LOF)指数4694/130234694/13023-2.98%6.95%12.46% 015976光大保德信数字经济主题混合A混合3257/130233257/13023-0.83%5.29%6.96% 009801长盛制造精选混合C混合2524/130232524/13023-1.3%4.66%10.47%