海富通瑞兴3个月定开债券A(012012)关注
1.0418+0.04%更新于 2025-12-19

整体排名 10695/12749
债券 1662/3175
海富通瑞兴3个月定开债券A净值统计
2025年1.38%2.25%-0.93%
2024年0.67%4.36%-4.26%
2023年0.81%2.48%-1.87%
2022年0.27%3.28%-3.88%
仅供参考,如有错误请反馈
其他基金
013851中信建投低碳成长混合A混合12526/1274912526/12749-0.99%-2.42%-4.24% 501209银华富久食品饮料精选混合(LOF)A混合12557/1274912557/127491.47%-1.5%-6.92% 018860嘉实产业优选混合(LOF)C混合6490/127496490/127492.55%0.92%3.45% 502048易方达上证50指数(LOF)A指数5567/127495567/127491.05%2.37%4.12% 001239长盛国企改革混合混合258/12749258/127490.96%12.68%2.1% 013855嘉实品质发现混合A混合1379/127491379/127490.23%4.03%0.44% 001446招商丰泽混合C混合5779/127495779/127490.67%2.08%0.98% 009121广发招享混合A混合7882/127497882/127490.19%0.35%-0.76% 519606国泰金鑫股票A股票190/12749190/127491.23%16.68%3.44% 002390招商安德灵活配置混合C混合4115/127494115/12749-0.24%5.89%3.85%