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创金合信润业央企债主题三个月定开债券A基金净值查询(022041)

今天最新净值 1.0202 0.0001 0.01% 2025-12-19
盘中实时估值(仅供参考) %
  • 累计净值:1.0202
  • 成立日期:2024-09-06
  • 基金类型:债券型-长债
  • 成立份额:
  • 最近份额:
  • 最近资产:10.16亿元
  • 基金公司:创金合信基金
  • 基金经理:成念良 黄佳祥 金莉
今年以来创金合信润业央企债主题三个月定开债券A基金净值查询
基金历史净值按日期查询: -
今年以来,创金合信润业央企债主题三个月定开债券A(022041)基金累计收益率0.96%
净值日期 基金代码 基金名称 最新单位净值 最新累计净值 上期单位净值 上期累计净值 当日增长值 当日增长率
2025-12-19 022041 创金合信润业央企债主题三个月定开债券A 1.0207 1.0207 1.0202 1.0202 0.0005 0.05%
2025-12-18 022041 创金合信润业央企债主题三个月定开债券A 1.0202 1.0202 1.0201 1.0201 0.0001 0.01%
2025-12-17 022041 创金合信润业央企债主题三个月定开债券A 1.0201 1.0201 1.0196 1.0196 0.0005 0.05%
2025-12-16 022041 创金合信润业央企债主题三个月定开债券A 1.0196 1.0196 1.0196 1.0196 0.0000 0.00%
2025-12-15 022041 创金合信润业央企债主题三个月定开债券A 1.0196 1.0196 1.0199 1.0199 -0.0003 -0.03%
2025-12-12 022041 创金合信润业央企债主题三个月定开债券A 1.0199 1.0199 1.0200 1.0200 -0.0001 -0.01%
2025-12-11 022041 创金合信润业央企债主题三个月定开债券A 1.0200 1.0200 1.0197 1.0197 0.0003 0.03%
2025-12-10 022041 创金合信润业央企债主题三个月定开债券A 1.0197 1.0197 1.0195 1.0195 0.0002 0.02%
2025-12-09 022041 创金合信润业央企债主题三个月定开债券A 1.0195 1.0195 1.0194 1.0194 0.0001 0.01%
2025-12-08 022041 创金合信润业央企债主题三个月定开债券A 1.0194 1.0194 1.0193 1.0193 0.0001 0.01%
2025-12-05 022041 创金合信润业央企债主题三个月定开债券A 1.0193 1.0193 1.0191 1.0191 0.0002 0.02%
2025-12-04 022041 创金合信润业央企债主题三个月定开债券A 1.0191 1.0191 1.0197 1.0197 -0.0006 -0.06%
2025-12-03 022041 创金合信润业央企债主题三个月定开债券A 1.0197 1.0197 1.0199 1.0199 -0.0002 -0.02%
2025-12-02 022041 创金合信润业央企债主题三个月定开债券A 1.0199 1.0199 1.0199 1.0199 0.0000 0.00%
2025-12-01 022041 创金合信润业央企债主题三个月定开债券A 1.0199 1.0199 1.0198 1.0198 0.0001 0.01%
2025-11-28 022041 创金合信润业央企债主题三个月定开债券A 1.0198 1.0198 1.0196 1.0196 0.0002 0.02%
2025-11-27 022041 创金合信润业央企债主题三个月定开债券A 1.0196 1.0196 1.0198 1.0198 -0.0002 -0.02%
2025-11-26 022041 创金合信润业央企债主题三个月定开债券A 1.0198 1.0198 1.0201 1.0201 -0.0003 -0.03%
2025-11-25 022041 创金合信润业央企债主题三个月定开债券A 1.0201 1.0201 1.0203 1.0203 -0.0002 -0.02%
2025-11-24 022041 创金合信润业央企债主题三个月定开债券A 1.0203 1.0203 1.0202 1.0202 0.0001 0.01%
2025-11-21 022041 创金合信润业央企债主题三个月定开债券A 1.0202 1.0202 1.0202 1.0202 0.0000 0.00%
2025-11-20 022041 创金合信润业央企债主题三个月定开债券A 1.0202 1.0202 1.0201 1.0201 0.0001 0.01%
2025-11-19 022041 创金合信润业央企债主题三个月定开债券A 1.0201 1.0201 1.0201 1.0201 0.0000 0.00%
2025-11-18 022041 创金合信润业央企债主题三个月定开债券A 1.0201 1.0201 1.0200 1.0200 0.0001 0.01%
2025-11-17 022041 创金合信润业央企债主题三个月定开债券A 1.0200 1.0200 1.0198 1.0198 0.0002 0.02%
2025-11-14 022041 创金合信润业央企债主题三个月定开债券A 1.0198 1.0198 1.0196 1.0196 0.0002 0.02%
2025-11-13 022041 创金合信润业央企债主题三个月定开债券A 1.0196 1.0196 1.0196 1.0196 0.0000 0.00%
2025-11-12 022041 创金合信润业央企债主题三个月定开债券A 1.0196 1.0196 1.0194 1.0194 0.0002 0.02%
2025-11-11 022041 创金合信润业央企债主题三个月定开债券A 1.0194 1.0194 1.0194 1.0194 0.0000 0.00%
2025-11-10 022041 创金合信润业央企债主题三个月定开债券A 1.0194 1.0194 1.0193 1.0193 0.0001 0.01%
2025-11-07 022041 创金合信润业央企债主题三个月定开债券A 1.0193 1.0193 1.0194 1.0194 -0.0001 -0.01%
2025-11-06 022041 创金合信润业央企债主题三个月定开债券A 1.0194 1.0194 1.0197 1.0197 -0.0003 -0.03%
2025-11-05 022041 创金合信润业央企债主题三个月定开债券A 1.0197 1.0197 1.0197 1.0197 0.0000 0.00%
2025-11-04 022041 创金合信润业央企债主题三个月定开债券A 1.0197 1.0197 1.0198 1.0198 -0.0001 -0.01%
2025-11-03 022041 创金合信润业央企债主题三个月定开债券A 1.0198 1.0198 1.0197 1.0197 0.0001 0.01%
2025-10-31 022041 创金合信润业央企债主题三个月定开债券A 1.0197 1.0197 1.0192 1.0192 0.0005 0.05%
2025-10-30 022041 创金合信润业央企债主题三个月定开债券A 1.0192 1.0192 1.0187 1.0187 0.0005 0.05%
2025-10-29 022041 创金合信润业央企债主题三个月定开债券A 1.0187 1.0187 1.0185 1.0185 0.0002 0.02%
2025-10-28 022041 创金合信润业央企债主题三个月定开债券A 1.0185 1.0185 1.0178 1.0178 0.0007 0.07%
2025-10-27 022041 创金合信润业央企债主题三个月定开债券A 1.0178 1.0178 1.0176 1.0176 0.0002 0.02%
2025-10-24 022041 创金合信润业央企债主题三个月定开债券A 1.0176 1.0176 1.0178 1.0178 -0.0002 -0.02%
2025-10-23 022041 创金合信润业央企债主题三个月定开债券A 1.0178 1.0178 1.0178 1.0178 0.0000 0.00%
2025-10-22 022041 创金合信润业央企债主题三个月定开债券A 1.0178 1.0178 1.0177 1.0177 0.0001 0.01%
2025-10-21 022041 创金合信润业央企债主题三个月定开债券A 1.0177 1.0177 1.0174 1.0174 0.0003 0.03%
2025-10-20 022041 创金合信润业央企债主题三个月定开债券A 1.0174 1.0174 1.0175 1.0175 -0.0001 -0.01%
2025-10-17 022041 创金合信润业央企债主题三个月定开债券A 1.0175 1.0175 1.0170 1.0170 0.0005 0.05%
2025-10-16 022041 创金合信润业央企债主题三个月定开债券A 1.0170 1.0170 1.0167 1.0167 0.0003 0.03%
2025-10-15 022041 创金合信润业央企债主题三个月定开债券A 1.0167 1.0167 1.0167 1.0167 0.0000 0.00%
2025-10-14 022041 创金合信润业央企债主题三个月定开债券A 1.0167 1.0167 1.0166 1.0166 0.0001 0.01%
2025-10-13 022041 创金合信润业央企债主题三个月定开债券A 1.0166 1.0166 1.0163 1.0163 0.0003 0.03%
2025-10-10 022041 创金合信润业央企债主题三个月定开债券A 1.0163 1.0163 1.0164 1.0164 -0.0001 -0.01%
2025-10-09 022041 创金合信润业央企债主题三个月定开债券A 1.0164 1.0164 1.0160 1.0160 0.0004 0.04%
2025-09-30 022041 创金合信润业央企债主题三个月定开债券A 1.0160 1.0160 1.0157 1.0157 0.0003 0.03%
2025-09-29 022041 创金合信润业央企债主题三个月定开债券A 1.0157 1.0157 1.0156 1.0156 0.0001 0.01%
2025-09-26 022041 创金合信润业央企债主题三个月定开债券A 1.0156 1.0156 1.0154 1.0154 0.0002 0.02%
2025-09-25 022041 创金合信润业央企债主题三个月定开债券A 1.0154 1.0154 1.0155 1.0155 -0.0001 -0.01%
2025-09-24 022041 创金合信润业央企债主题三个月定开债券A 1.0155 1.0155 1.0162 1.0162 -0.0007 -0.07%
2025-09-23 022041 创金合信润业央企债主题三个月定开债券A 1.0162 1.0162 1.0166 1.0166 -0.0004 -0.04%
2025-09-22 022041 创金合信润业央企债主题三个月定开债券A 1.0166 1.0166 1.0164 1.0164 0.0002 0.02%
2025-09-19 022041 创金合信润业央企债主题三个月定开债券A 1.0164 1.0164 1.0166 1.0166 -0.0002 -0.02%
2025-09-18 022041 创金合信润业央企债主题三个月定开债券A 1.0166 1.0166 1.0170 1.0170 -0.0004 -0.04%
2025-09-17 022041 创金合信润业央企债主题三个月定开债券A 1.0170 1.0170 1.0166 1.0166 0.0004 0.04%
2025-09-16 022041 创金合信润业央企债主题三个月定开债券A 1.0166 1.0166 1.0162 1.0162 0.0004 0.04%
2025-09-15 022041 创金合信润业央企债主题三个月定开债券A 1.0162 1.0162 1.0160 1.0160 0.0002 0.02%
2025-09-12 022041 创金合信润业央企债主题三个月定开债券A 1.0160 1.0160 1.0157 1.0157 0.0003 0.03%
2025-09-11 022041 创金合信润业央企债主题三个月定开债券A 1.0157 1.0157 1.0154 1.0154 0.0003 0.03%
2025-09-10 022041 创金合信润业央企债主题三个月定开债券A 1.0154 1.0154 1.0161 1.0161 -0.0007 -0.07%
2025-09-09 022041 创金合信润业央企债主题三个月定开债券A 1.0161 1.0161 1.0164 1.0164 -0.0003 -0.03%
2025-09-08 022041 创金合信润业央企债主题三个月定开债券A 1.0164 1.0164 1.0168 1.0168 -0.0004 -0.04%
2025-09-05 022041 创金合信润业央企债主题三个月定开债券A 1.0168 1.0168 1.0171 1.0171 -0.0003 -0.03%
2025-09-04 022041 创金合信润业央企债主题三个月定开债券A 1.0171 1.0171 1.0170 1.0170 0.0001 0.01%
2025-09-03 022041 创金合信润业央企债主题三个月定开债券A 1.0170 1.0170 1.0166 1.0166 0.0004 0.04%
2025-09-02 022041 创金合信润业央企债主题三个月定开债券A 1.0166 1.0166 1.0165 1.0165 0.0001 0.01%
2025-09-01 022041 创金合信润业央企债主题三个月定开债券A 1.0165 1.0165 1.0162 1.0162 0.0003 0.03%
2025-08-29 022041 创金合信润业央企债主题三个月定开债券A 1.0162 1.0162 1.0161 1.0161 0.0001 0.01%
2025-08-28 022041 创金合信润业央企债主题三个月定开债券A 1.0161 1.0161 1.0165 1.0165 -0.0004 -0.04%
2025-08-27 022041 创金合信润业央企债主题三个月定开债券A 1.0165 1.0165 1.0166 1.0166 -0.0001 -0.01%
2025-08-26 022041 创金合信润业央企债主题三个月定开债券A 1.0166 1.0166 1.0163 1.0163 0.0003 0.03%
2025-08-25 022041 创金合信润业央企债主题三个月定开债券A 1.0163 1.0163 1.0157 1.0157 0.0006 0.06%
2025-08-22 022041 创金合信润业央企债主题三个月定开债券A 1.0157 1.0157 1.0158 1.0158 -0.0001 -0.01%
2025-08-21 022041 创金合信润业央企债主题三个月定开债券A 1.0158 1.0158 1.0154 1.0154 0.0004 0.04%
2025-08-20 022041 创金合信润业央企债主题三个月定开债券A 1.0154 1.0154 1.0156 1.0156 -0.0002 -0.02%
2025-08-19 022041 创金合信润业央企债主题三个月定开债券A 1.0156 1.0156 1.0154 1.0154 0.0002 0.02%
2025-08-18 022041 创金合信润业央企债主题三个月定开债券A 1.0154 1.0154 1.0167 1.0167 -0.0013 -0.13%
2025-08-15 022041 创金合信润业央企债主题三个月定开债券A 1.0167 1.0167 1.0170 1.0170 -0.0003 -0.03%
2025-08-14 022041 创金合信润业央企债主题三个月定开债券A 1.0170 1.0170 1.0172 1.0172 -0.0002 -0.02%
2025-08-13 022041 创金合信润业央企债主题三个月定开债券A 1.0172 1.0172 1.0171 1.0171 0.0001 0.01%
2025-08-12 022041 创金合信润业央企债主题三个月定开债券A 1.0171 1.0171 1.0173 1.0173 -0.0002 -0.02%
2025-08-11 022041 创金合信润业央企债主题三个月定开债券A 1.0173 1.0173 1.0179 1.0179 -0.0006 -0.06%
2025-08-08 022041 创金合信润业央企债主题三个月定开债券A 1.0179 1.0179 1.0178 1.0178 0.0001 0.01%
2025-08-07 022041 创金合信润业央企债主题三个月定开债券A 1.0178 1.0178 1.0176 1.0176 0.0002 0.02%
2025-08-06 022041 创金合信润业央企债主题三个月定开债券A 1.0176 1.0176 1.0174 1.0174 0.0002 0.02%
2025-08-05 022041 创金合信润业央企债主题三个月定开债券A 1.0174 1.0174 1.0174 1.0174 0.0000 0.00%
2025-08-04 022041 创金合信润业央企债主题三个月定开债券A 1.0174 1.0174 1.0172 1.0172 0.0002 0.02%
2025-08-01 022041 创金合信润业央企债主题三个月定开债券A 1.0172 1.0172 1.0169 1.0169 0.0003 0.03%
2025-07-31 022041 创金合信润业央企债主题三个月定开债券A 1.0169 1.0169 1.0163 1.0163 0.0006 0.06%
2025-07-30 022041 创金合信润业央企债主题三个月定开债券A 1.0163 1.0163 1.0157 1.0157 0.0006 0.06%
2025-07-29 022041 创金合信润业央企债主题三个月定开债券A 1.0157 1.0157 1.0164 1.0164 -0.0007 -0.07%
2025-07-28 022041 创金合信润业央企债主题三个月定开债券A 1.0164 1.0164 1.0156 1.0156 0.0008 0.08%
2025-07-25 022041 创金合信润业央企债主题三个月定开债券A 1.0156 1.0156 1.0157 1.0157 -0.0001 -0.01%
2025-07-24 022041 创金合信润业央企债主题三个月定开债券A 1.0157 1.0157 1.0167 1.0167 -0.0010 -0.10%
2025-07-23 022041 创金合信润业央企债主题三个月定开债券A 1.0167 1.0167 1.0173 1.0173 -0.0006 -0.06%
2025-07-22 022041 创金合信润业央企债主题三个月定开债券A 1.0173 1.0173 1.0175 1.0175 -0.0002 -0.02%
2025-07-21 022041 创金合信润业央企债主题三个月定开债券A 1.0175 1.0175 1.0178 1.0178 -0.0003 -0.03%
2025-07-18 022041 创金合信润业央企债主题三个月定开债券A 1.0178 1.0178 1.0177 1.0177 0.0001 0.01%
2025-07-17 022041 创金合信润业央企债主题三个月定开债券A 1.0177 1.0177 1.0175 1.0175 0.0002 0.02%
2025-07-16 022041 创金合信润业央企债主题三个月定开债券A 1.0175 1.0175 1.0174 1.0174 0.0001 0.01%
2025-07-15 022041 创金合信润业央企债主题三个月定开债券A 1.0174 1.0174 1.0169 1.0169 0.0005 0.05%
2025-07-14 022041 创金合信润业央企债主题三个月定开债券A 1.0169 1.0169 1.0171 1.0171 -0.0002 -0.02%
2025-07-11 022041 创金合信润业央企债主题三个月定开债券A 1.0171 1.0171 1.0172 1.0172 -0.0001 -0.01%
2025-07-10 022041 创金合信润业央企债主题三个月定开债券A 1.0172 1.0172 1.0175 1.0175 -0.0003 -0.03%
2025-07-09 022041 创金合信润业央企债主题三个月定开债券A 1.0175 1.0175 1.0176 1.0176 -0.0001 -0.01%
2025-07-08 022041 创金合信润业央企债主题三个月定开债券A 1.0176 1.0176 1.0179 1.0179 -0.0003 -0.03%
2025-07-07 022041 创金合信润业央企债主题三个月定开债券A 1.0179 1.0179 1.0173 1.0173 0.0006 0.06%
2025-07-04 022041 创金合信润业央企债主题三个月定开债券A 1.0173 1.0173 1.0170 1.0170 0.0003 0.03%
2025-07-03 022041 创金合信润业央企债主题三个月定开债券A 1.0170 1.0170 1.0168 1.0168 0.0002 0.02%
2025-07-02 022041 创金合信润业央企债主题三个月定开债券A 1.0168 1.0168 1.0163 1.0163 0.0005 0.05%
2025-07-01 022041 创金合信润业央企债主题三个月定开债券A 1.0163 1.0163 1.0160 1.0160 0.0003 0.03%
2025-06-30 022041 创金合信润业央企债主题三个月定开债券A 1.0160 1.0160 1.0159 1.0159 0.0001 0.01%
2025-06-27 022041 创金合信润业央企债主题三个月定开债券A 1.0159 1.0159 1.0159 1.0159 0.0000 0.00%
2025-06-26 022041 创金合信润业央企债主题三个月定开债券A 1.0159 1.0159 1.0159 1.0159 0.0000 0.00%
2025-06-25 022041 创金合信润业央企债主题三个月定开债券A 1.0159 1.0159 1.0160 1.0160 -0.0001 -0.01%
2025-06-24 022041 创金合信润业央企债主题三个月定开债券A 1.0160 1.0160 1.0161 1.0161 -0.0001 -0.01%
2025-06-23 022041 创金合信润业央企债主题三个月定开债券A 1.0161 1.0161 1.0160 1.0160 0.0001 0.01%
2025-06-20 022041 创金合信润业央企债主题三个月定开债券A 1.0160 1.0160 1.0159 1.0159 0.0001 0.01%
2025-06-19 022041 创金合信润业央企债主题三个月定开债券A 1.0159 1.0159 1.0159 1.0159 0.0000 0.00%
2025-06-18 022041 创金合信润业央企债主题三个月定开债券A 1.0159 1.0159 1.0159 1.0159 0.0000 0.00%
2025-06-17 022041 创金合信润业央企债主题三个月定开债券A 1.0159 1.0159 1.0155 1.0155 0.0004 0.04%
2025-06-16 022041 创金合信润业央企债主题三个月定开债券A 1.0155 1.0155 1.0155 1.0155 0.0000 0.00%
2025-06-13 022041 创金合信润业央企债主题三个月定开债券A 1.0155 1.0155 1.0154 1.0154 0.0001 0.01%
2025-06-12 022041 创金合信润业央企债主题三个月定开债券A 1.0154 1.0154 1.0154 1.0154 0.0000 0.00%
2025-06-11 022041 创金合信润业央企债主题三个月定开债券A 1.0154 1.0154 1.0153 1.0153 0.0001 0.01%
2025-06-10 022041 创金合信润业央企债主题三个月定开债券A 1.0153 1.0153 1.0152 1.0152 0.0001 0.01%
2025-06-09 022041 创金合信润业央企债主题三个月定开债券A 1.0152 1.0152 1.0149 1.0149 0.0003 0.03%
2025-06-06 022041 创金合信润业央企债主题三个月定开债券A 1.0149 1.0149 1.0140 1.0140 0.0009 0.09%
2025-06-05 022041 创金合信润业央企债主题三个月定开债券A 1.0140 1.0140 1.0138 1.0138 0.0002 0.02%
2025-06-04 022041 创金合信润业央企债主题三个月定开债券A 1.0138 1.0138 1.0138 1.0138 0.0000 0.00%
2025-06-03 022041 创金合信润业央企债主题三个月定开债券A 1.0138 1.0138 1.0137 1.0137 0.0001 0.01%
2025-05-30 022041 创金合信润业央企债主题三个月定开债券A 1.0137 1.0137 1.0132 1.0132 0.0005 0.05%
2025-05-29 022041 创金合信润业央企债主题三个月定开债券A 1.0132 1.0132 1.0137 1.0137 -0.0005 -0.05%
2025-05-28 022041 创金合信润业央企债主题三个月定开债券A 1.0137 1.0137 1.0139 1.0139 -0.0002 -0.02%
2025-05-27 022041 创金合信润业央企债主题三个月定开债券A 1.0139 1.0139 1.0140 1.0140 -0.0001 -0.01%
2025-05-26 022041 创金合信润业央企债主题三个月定开债券A 1.0140 1.0140 1.0139 1.0139 0.0001 0.01%
2025-05-23 022041 创金合信润业央企债主题三个月定开债券A 1.0139 1.0139 1.0140 1.0140 -0.0001 -0.01%
2025-05-22 022041 创金合信润业央企债主题三个月定开债券A 1.0140 1.0140 1.0138 1.0138 0.0002 0.02%
2025-05-21 022041 创金合信润业央企债主题三个月定开债券A 1.0138 1.0138 1.0139 1.0139 -0.0001 -0.01%
2025-05-20 022041 创金合信润业央企债主题三个月定开债券A 1.0139 1.0139 1.0137 1.0137 0.0002 0.02%
2025-05-19 022041 创金合信润业央企债主题三个月定开债券A 1.0137 1.0137 1.0136 1.0136 0.0001 0.01%
2025-05-16 022041 创金合信润业央企债主题三个月定开债券A 1.0136 1.0136 1.0139 1.0139 -0.0003 -0.03%
2025-05-15 022041 创金合信润业央企债主题三个月定开债券A 1.0139 1.0139 1.0139 1.0139 0.0000 0.00%
2025-05-14 022041 创金合信润业央企债主题三个月定开债券A 1.0139 1.0139 1.0139 1.0139 0.0000 0.00%
2025-05-13 022041 创金合信润业央企债主题三个月定开债券A 1.0139 1.0139 1.0136 1.0136 0.0003 0.03%
2025-05-12 022041 创金合信润业央企债主题三个月定开债券A 1.0136 1.0136 1.0137 1.0137 -0.0001 -0.01%
2025-05-09 022041 创金合信润业央企债主题三个月定开债券A 1.0137 1.0137 1.0132 1.0132 0.0005 0.05%
2025-05-08 022041 创金合信润业央企债主题三个月定开债券A 1.0132 1.0132 1.0117 1.0117 0.0015 0.00%
2025-04-30 022041 创金合信润业央企债主题三个月定开债券A 1.0117 1.0117 1.0107 1.0107 0.0010 0.00%
2025-04-25 022041 创金合信润业央企债主题三个月定开债券A 1.0107 1.0107 1.0114 1.0114 -0.0007 0.00%
2025-04-18 022041 创金合信润业央企债主题三个月定开债券A 1.0114 1.0114 1.0112 1.0112 0.0002 0.00%
2025-04-11 022041 创金合信润业央企债主题三个月定开债券A 1.0112 1.0112 1.0096 1.0096 0.0016 0.00%
2025-04-03 022041 创金合信润业央企债主题三个月定开债券A 1.0096 1.0096 1.0068 1.0068 0.0028 0.00%
2025-03-28 022041 创金合信润业央企债主题三个月定开债券A 1.0068 1.0068 1.0056 1.0056 0.0012 0.00%
2025-03-21 022041 创金合信润业央企债主题三个月定开债券A 1.0056 1.0056 1.0047 1.0047 0.0009 0.00%
2025-03-19 022041 创金合信润业央企债主题三个月定开债券A 1.0047 1.0047 1.0044 1.0044 0.0003 0.03%
2025-03-18 022041 创金合信润业央企债主题三个月定开债券A 1.0044 1.0044 1.0040 1.0040 0.0004 0.04%
2025-03-17 022041 创金合信润业央企债主题三个月定开债券A 1.0040 1.0040 1.0046 1.0046 -0.0006 -0.06%
2025-03-14 022041 创金合信润业央企债主题三个月定开债券A 1.0046 1.0046 1.0042 1.0042 0.0004 0.04%
2025-03-13 022041 创金合信润业央企债主题三个月定开债券A 1.0042 1.0042 1.0036 1.0036 0.0006 0.06%
2025-03-12 022041 创金合信润业央企债主题三个月定开债券A 1.0036 1.0036 1.0038 1.0038 -0.0002 0.00%
2025-03-07 022041 创金合信润业央企债主题三个月定开债券A 1.0038 1.0038 1.0045 1.0045 -0.0007 0.00%
2025-02-28 022041 创金合信润业央企债主题三个月定开债券A 1.0045 1.0045 1.0057 1.0057 -0.0012 0.00%
2025-02-21 022041 创金合信润业央企债主题三个月定开债券A 1.0057 1.0057 1.0095 1.0095 -0.0038 0.00%
2025-02-14 022041 创金合信润业央企债主题三个月定开债券A 1.0095 1.0095 1.0113 1.0113 -0.0018 0.00%
2025-02-07 022041 创金合信润业央企债主题三个月定开债券A 1.0113 1.0113 1.0106 1.0106 0.0007 0.00%
2025-01-27 022041 创金合信润业央企债主题三个月定开债券A 1.0106 1.0106 1.0095 1.0095 0.0011 0.11%
2025-01-24 022041 创金合信润业央企债主题三个月定开债券A 1.0095 1.0095 1.0097 1.0097 -0.0002 0.00%
2025-01-17 022041 创金合信润业央企债主题三个月定开债券A 1.0097 1.0097 1.0102 1.0102 -0.0005 0.00%
2025-01-10 022041 创金合信润业央企债主题三个月定开债券A 1.0102 1.0102 1.0113 1.0113 -0.0011 0.00%
2025-01-03 022041 创金合信润业央企债主题三个月定开债券A 1.0113 1.0113 1.0104 1.0104 0.0009 0.09%
债券型-长债基金涨幅榜
基金名称 单位净值 日增长率
长盛恒盛利率债A 1.0880 1.05%
长盛恒盛利率债C 1.0781 1.05%
金元顺安泓泽债券 0.9728 0.56%
汇添富丰和纯债A 0.9884 0.48%
汇添富丰和纯债C 0.9798 0.48%
国泰添瑞一年定期开放债券 0.9876 0.45%
中信保诚稳悦债券D 1.0737 0.44%
建信利率债债券C 1.1254 0.44%
建信利率债债券A 1.1312 0.44%
中信保诚稳悦债券A 1.0730 0.44%