- 2025-04-03 03:14:014月2日基金净值:华夏鼎昭利率债债券A最新净值1.007,涨0.06%
- 2025-04-03 03:14:014月2日基金净值:华夏鼎昭利率债债券A最新净值1.007,涨0.06%
- 2025-04-02 08:27:204月1日基金净值:华夏鼎昭利率债债券A最新净值1.0064
- 2025-04-02 08:27:204月1日基金净值:华夏鼎昭利率债债券A最新净值1.0064
- 2025-04-01 02:52:563月31日基金净值:华夏鼎昭利率债债券A最新净值1.0064,涨0.01%
- 2025-04-01 02:52:563月31日基金净值:华夏鼎昭利率债债券A最新净值1.0064,涨0.01%
- 2025-03-29 14:09:003月28日基金净值:华夏鼎昭利率债债券A最新净值1.0063,涨0.02%
- 2025-03-29 14:09:003月28日基金净值:华夏鼎昭利率债债券A最新净值1.0063,涨0.02%
- 2025-03-28 14:10:503月27日基金净值:华夏鼎昭利率债债券A最新净值1.0061
- 2025-03-28 14:10:503月27日基金净值:华夏鼎昭利率债债券A最新净值1.0061
- 2025-03-27 14:09:383月26日基金净值:华夏鼎昭利率债债券A最新净值1.0061,涨0.04%
- 2025-03-27 14:09:383月26日基金净值:华夏鼎昭利率债债券A最新净值1.0061,涨0.04%
- 2025-03-26 08:18:093月25日基金净值:华夏鼎昭利率债债券A最新净值1.0057
- 2025-03-26 08:18:093月25日基金净值:华夏鼎昭利率债债券A最新净值1.0057
- 2025-03-25 02:09:473月24日基金净值:华夏鼎昭利率债债券A最新净值1.0057,涨0.02%
- 2025-03-25 02:09:473月24日基金净值:华夏鼎昭利率债债券A最新净值1.0057,涨0.02%
- 2025-03-22 02:11:093月21日基金净值:华夏鼎昭利率债债券A最新净值1.0055,跌0.02%
- 2025-03-22 02:11:093月21日基金净值:华夏鼎昭利率债债券A最新净值1.0055,跌0.02%
- 2025-03-21 02:12:323月20日基金净值:华夏鼎昭利率债债券A最新净值1.0057,涨0.1%
- 2025-03-21 02:12:323月20日基金净值:华夏鼎昭利率债债券A最新净值1.0057,涨0.1%
- 2025-03-20 02:49:243月19日基金净值:华夏鼎昭利率债债券A最新净值1.0047,涨0.02%
- 2025-03-20 02:49:243月19日基金净值:华夏鼎昭利率债债券A最新净值1.0047,涨0.02%
- 2025-03-19 02:10:313月18日基金净值:华夏鼎昭利率债债券A最新净值1.0045,涨0.03%
- 2025-03-19 02:10:313月18日基金净值:华夏鼎昭利率债债券A最新净值1.0045,涨0.03%
- 2025-03-18 08:24:513月17日基金净值:华夏鼎昭利率债债券A最新净值1.0042,跌0.13%
- 2025-03-18 08:24:513月17日基金净值:华夏鼎昭利率债债券A最新净值1.0042,跌0.13%
- 2025-03-15 02:31:103月14日基金净值:华夏鼎昭利率债债券A最新净值1.0055,涨0.07%
- 2025-03-15 02:31:103月14日基金净值:华夏鼎昭利率债债券A最新净值1.0055,涨0.07%
- 2025-03-14 02:46:583月13日基金净值:华夏鼎昭利率债债券A最新净值1.0048,涨0.01%
- 2025-03-14 02:46:583月13日基金净值:华夏鼎昭利率债债券A最新净值1.0048,涨0.01%
- 2025-03-13 02:39:323月12日基金净值:华夏鼎昭利率债债券A最新净值1.0047,涨0.12%
- 2025-03-13 02:39:323月12日基金净值:华夏鼎昭利率债债券A最新净值1.0047,涨0.12%
- 2025-03-12 02:48:333月11日基金净值:华夏鼎昭利率债债券A最新净值1.0035,跌0.13%
- 2025-03-12 02:48:333月11日基金净值:华夏鼎昭利率债债券A最新净值1.0035,跌0.13%
- 2025-03-11 02:10:523月10日基金净值:华夏鼎昭利率债债券A最新净值1.0048,跌0.04%
- 2025-03-11 02:10:523月10日基金净值:华夏鼎昭利率债债券A最新净值1.0048,跌0.04%
- 2025-03-08 02:47:093月7日基金净值:华夏鼎昭利率债债券A最新净值1.0052,跌0.13%
- 2025-03-08 02:47:093月7日基金净值:华夏鼎昭利率债债券A最新净值1.0052,跌0.13%
- 2025-03-07 02:38:513月6日基金净值:华夏鼎昭利率债债券A最新净值1.0065,跌0.06%
- 2025-03-07 02:38:513月6日基金净值:华夏鼎昭利率债债券A最新净值1.0065,跌0.06%
- 2025-03-06 03:01:293月5日基金净值:华夏鼎昭利率债债券A最新净值1.0071,跌0.01%
- 2025-03-06 03:01:293月5日基金净值:华夏鼎昭利率债债券A最新净值1.0071,跌0.01%
- 2025-03-05 02:10:403月4日基金净值:华夏鼎昭利率债债券A最新净值1.0072,涨0.01%
- 2025-03-05 02:10:403月4日基金净值:华夏鼎昭利率债债券A最新净值1.0072,涨0.01%
- 2025-03-04 02:32:133月3日基金净值:华夏鼎昭利率债债券A最新净值1.0071,涨0.07%
- 2025-03-04 02:32:133月3日基金净值:华夏鼎昭利率债债券A最新净值1.0071,涨0.07%
- 2025-03-01 02:36:292月28日基金净值:华夏鼎昭利率债债券A最新净值1.0064,涨0.03%
- 2025-03-01 02:36:292月28日基金净值:华夏鼎昭利率债债券A最新净值1.0064,涨0.03%
- 2025-02-28 03:02:422月27日基金净值:华夏鼎昭利率债债券A最新净值1.0061,跌0.05%
- 2025-02-28 03:02:422月27日基金净值:华夏鼎昭利率债债券A最新净值1.0061,跌0.05%
- 2025-02-27 02:46:242月26日基金净值:华夏鼎昭利率债债券A最新净值1.0066
- 2025-02-27 02:46:242月26日基金净值:华夏鼎昭利率债债券A最新净值1.0066
- 2025-02-26 09:31:19华夏鼎昭利率债债券A基金经理变动:刘明宇不再担任该基金基金经理
- 2025-02-26 02:46:242月25日基金净值:华夏鼎昭利率债债券A最新净值1.0066,涨0.01%
- 2025-02-26 02:46:242月25日基金净值:华夏鼎昭利率债债券A最新净值1.0066,涨0.01%
- 2025-02-25 08:23:332月24日基金净值:华夏鼎昭利率债债券A最新净值1.0065,跌0.08%
- 2025-02-25 08:23:332月24日基金净值:华夏鼎昭利率债债券A最新净值1.0065,跌0.08%
- 2025-02-22 02:10:092月21日基金净值:华夏鼎昭利率债债券A最新净值1.0073,跌0.08%
- 2025-02-22 02:10:092月21日基金净值:华夏鼎昭利率债债券A最新净值1.0073,跌0.08%
- 2025-02-21 02:08:042月20日基金净值:华夏鼎昭利率债债券A最新净值1.0081,跌0.06%