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- 2024-07-10 07:08:297月9日基金净值:景顺长城景泰恒利一年定开债最新净值1.0344,涨0.04%
- 2024-07-09 07:08:147月8日基金净值:景顺长城景泰恒利一年定开债最新净值1.034,跌0.05%
- 2024-07-09 07:08:147月8日基金净值:景顺长城景泰恒利一年定开债最新净值1.034,跌0.05%
- 2024-07-06 07:09:457月5日基金净值:景顺长城景泰恒利一年定开债最新净值1.0345,跌0.01%
- 2024-07-06 07:09:457月5日基金净值:景顺长城景泰恒利一年定开债最新净值1.0345,跌0.01%