华夏恒益18个月定开债券(007591)关注
1.0008+0%更新于 2025-12-26

整体排名 10449/12727
债券 1399/3164
华夏恒益18个月定开债券净值统计
2025年-0.05%1.39%-1.47%
2024年-0.02%1.5%-1.4%
2023年0%1.33%-1.37%
2022年-0.05%1.86%-1.96%
2021年-0.08%1.76%-1.7%
仅供参考,如有错误请反馈
其他基金
160224国泰中证计算机主题ETF联接A指数6495/127276495/127271.44%-2.29%-8.28% 005764中欧潜力价值灵活配置混合C混合2006/127272006/127271.99%8.98%14.97% 002543长城久益混合A混合5313/127275313/127271.11%2.67%3.41% 005094万家臻选混合A混合509/12727509/12727-0.21%3.9%7.25% 016274华泰保兴鑫成优选混合A混合6621/127276621/127270.8%2.85%3.9% 015753上银鑫达灵活配置混合C混合5641/127275641/127271.31%2.18%3.65% 013384恒生前海高端制造混合C混合203/12727203/127274.13%12.3%13.05% 017630富国周期精选三年持有期混合A混合3222/127273222/127271.8%3.45%5.03% 012552天弘中证芯片产业ETF发起式联接A指数2286/127272286/127271.76%2.97%-3.87% 011098达诚宜创精选混合C混合8690/127278690/127270.11%-2.11%2.2%