- 2024-09-13 01:02:129月12日基金净值:兴业嘉荣一年定开债券最新净值1.0372
- 2024-09-13 01:02:129月12日基金净值:兴业嘉荣一年定开债券最新净值1.0372
- 2024-09-12 01:02:189月11日基金净值:兴业嘉荣一年定开债券最新净值1.0371
- 2024-09-12 01:02:189月11日基金净值:兴业嘉荣一年定开债券最新净值1.0371
- 2024-09-11 01:02:289月10日基金净值:兴业嘉荣一年定开债券最新净值1.0371
- 2024-09-11 01:02:289月10日基金净值:兴业嘉荣一年定开债券最新净值1.0371
- 2024-09-10 01:02:139月9日基金净值:兴业嘉荣一年定开债券最新净值1.0371
- 2024-09-10 01:02:139月9日基金净值:兴业嘉荣一年定开债券最新净值1.0371
- 2024-09-07 01:02:359月6日基金净值:兴业嘉荣一年定开债券最新净值1.037
- 2024-09-07 01:02:359月6日基金净值:兴业嘉荣一年定开债券最新净值1.037
- 2024-09-06 01:02:509月5日基金净值:兴业嘉荣一年定开债券最新净值1.037,涨0.03%
- 2024-09-06 01:02:509月5日基金净值:兴业嘉荣一年定开债券最新净值1.037,涨0.03%
- 2024-09-05 01:31:399月4日基金净值:兴业嘉荣一年定开债券最新净值1.0367,涨0.02%
- 2024-09-05 01:31:399月4日基金净值:兴业嘉荣一年定开债券最新净值1.0367,涨0.02%
- 2024-09-04 07:04:049月3日基金净值:兴业嘉荣一年定开债券最新净值1.0365,涨0.03%
- 2024-09-04 07:04:049月3日基金净值:兴业嘉荣一年定开债券最新净值1.0365,涨0.03%
- 2024-09-03 07:03:479月2日基金净值:兴业嘉荣一年定开债券最新净值1.0362,涨0.06%
- 2024-09-03 07:03:479月2日基金净值:兴业嘉荣一年定开债券最新净值1.0362,涨0.06%
- 2024-08-31 07:04:168月30日基金净值:兴业嘉荣一年定开债券最新净值1.0356,涨0.03%
- 2024-08-31 07:04:168月30日基金净值:兴业嘉荣一年定开债券最新净值1.0356,涨0.03%
- 2024-08-30 07:03:548月29日基金净值:兴业嘉荣一年定开债券最新净值1.0353,涨0.04%
- 2024-08-30 07:03:548月29日基金净值:兴业嘉荣一年定开债券最新净值1.0353,涨0.04%
- 2024-08-29 02:06:228月28日基金净值:兴业嘉荣一年定开债券最新净值1.0349,跌0.01%
- 2024-08-29 02:06:228月28日基金净值:兴业嘉荣一年定开债券最新净值1.0349,跌0.01%
- 2024-08-28 02:10:358月27日基金净值:兴业嘉荣一年定开债券最新净值1.035,跌0.09%
- 2024-08-28 02:10:358月27日基金净值:兴业嘉荣一年定开债券最新净值1.035,跌0.09%
- 2024-08-27 07:03:568月26日基金净值:兴业嘉荣一年定开债券最新净值1.0359,跌0.03%
- 2024-08-27 07:03:568月26日基金净值:兴业嘉荣一年定开债券最新净值1.0359,跌0.03%
- 2024-08-24 07:04:108月23日基金净值:兴业嘉荣一年定开债券最新净值1.0362,跌0.02%
- 2024-08-24 07:04:108月23日基金净值:兴业嘉荣一年定开债券最新净值1.0362,跌0.02%
- 2024-08-23 01:02:358月22日基金净值:兴业嘉荣一年定开债券最新净值1.0364
- 2024-08-23 01:02:358月22日基金净值:兴业嘉荣一年定开债券最新净值1.0364
- 2024-08-22 01:32:398月21日基金净值:兴业嘉荣一年定开债券最新净值1.0366,跌0.04%
- 2024-08-22 01:32:398月21日基金净值:兴业嘉荣一年定开债券最新净值1.0366,跌0.04%
- 2024-08-21 01:31:398月20日基金净值:兴业嘉荣一年定开债券最新净值1.037,跌0.01%
- 2024-08-21 01:31:398月20日基金净值:兴业嘉荣一年定开债券最新净值1.037,跌0.01%
- 2024-08-20 01:36:478月19日基金净值:兴业嘉荣一年定开债券最新净值1.0371,涨0.03%
- 2024-08-20 01:36:478月19日基金净值:兴业嘉荣一年定开债券最新净值1.0371,涨0.03%
- 2024-08-17 01:02:228月16日基金净值:兴业嘉荣一年定开债券最新净值1.0368
- 2024-08-17 01:02:228月16日基金净值:兴业嘉荣一年定开债券最新净值1.0368
- 2024-08-16 07:03:488月15日基金净值:兴业嘉荣一年定开债券最新净值1.0367
- 2024-08-16 07:03:488月15日基金净值:兴业嘉荣一年定开债券最新净值1.0367
- 2024-08-15 01:32:338月14日基金净值:兴业嘉荣一年定开债券最新净值1.0367,涨0.05%
- 2024-08-15 01:32:338月14日基金净值:兴业嘉荣一年定开债券最新净值1.0367,涨0.05%
- 2024-08-14 01:31:498月13日基金净值:兴业嘉荣一年定开债券最新净值1.0362,跌0.01%
- 2024-08-14 01:31:498月13日基金净值:兴业嘉荣一年定开债券最新净值1.0362,跌0.01%
- 2024-08-13 01:02:028月12日基金净值:兴业嘉荣一年定开债券最新净值1.0363,跌0.1%
- 2024-08-13 01:02:028月12日基金净值:兴业嘉荣一年定开债券最新净值1.0363,跌0.1%
- 2024-08-10 01:02:108月9日基金净值:兴业嘉荣一年定开债券最新净值1.0373,跌0.04%
- 2024-08-10 01:02:108月9日基金净值:兴业嘉荣一年定开债券最新净值1.0373,跌0.04%
- 2024-08-09 07:03:518月8日基金净值:兴业嘉荣一年定开债券最新净值1.0377,跌0.02%
- 2024-08-09 07:03:518月8日基金净值:兴业嘉荣一年定开债券最新净值1.0377,跌0.02%
- 2024-08-08 01:02:138月7日基金净值:兴业嘉荣一年定开债券最新净值1.0379,涨0.01%
- 2024-08-08 01:02:138月7日基金净值:兴业嘉荣一年定开债券最新净值1.0379,涨0.01%
- 2024-08-07 01:02:198月6日基金净值:兴业嘉荣一年定开债券最新净值1.0378
- 2024-08-07 01:02:198月6日基金净值:兴业嘉荣一年定开债券最新净值1.0378
- 2024-08-06 01:02:068月5日基金净值:兴业嘉荣一年定开债券最新净值1.0381
- 2024-08-06 01:02:068月5日基金净值:兴业嘉荣一年定开债券最新净值1.0381
- 2024-08-03 01:02:148月2日基金净值:兴业嘉荣一年定开债券最新净值1.0377
- 2024-08-03 01:02:148月2日基金净值:兴业嘉荣一年定开债券最新净值1.0377