银河收益债券 - 151002今日净值|基金估值走势查询
最近更新:2021-02-24 14:50:52
基金号 | 基金名称 | 日期 | 基金净值 | 基金增长率 |
---|---|---|---|---|
151002 | 银河收益债券 | 20210224 | 1.8193 | -0.41% |
151002 | 银河收益债券 | 20210223 | 1.8272 | -0.31% |
151002 | 银河收益债券 | 20210222 | 1.8266 | -0.42% |
151002 | 银河收益债券 | 20210219 | 1.8356 | 0.35% |
151002 | 银河收益债券 | 20210218 | 1.8219 | 0.2% |
151002 | 银河收益债券 | 20210210 | 1.8133 | 0.35% |
151002 | 银河收益债券 | 20210209 | 1.8018 | 0.54% |
151002 | 银河收益债券 | 20210208 | 1.787 | 0.32% |
151002 | 银河收益债券 | 20210205 | 1.784 | -0.17% |
151002 | 银河收益债券 | 20210204 | 1.7869 | -0.54% |
151002 | 银河收益债券 | 20210203 | 1.7995 | -0.1% |
151002 | 银河收益债券 | 20210202 | 1.7965 | 0.14% |
151002 | 银河收益债券 | 20210201 | 1.7882 | 0.46% |
151002 | 银河收益债券 | 20210129 | 1.7821 | -0.1% |
151002 | 银河收益债券 | 20210128 | 1.794 | -0.88% |
151002 | 银河收益债券 | 20210127 | 1.8096 | -0.16% |
151002 | 银河收益债券 | 20210126 | 1.8176 | -0.33% |
151002 | 银河收益债券 | 20210125 | 1.8239 | 0.4% |
151002 | 银河收益债券 | 20210122 | 1.8141 | 0.14% |
151002 | 银河收益债券 | 20210121 | 1.8025 | 0.13% |
151002 | 银河收益债券 | 20210120 | 1.7957 | 0.41% |
151002 | 银河收益债券 | 20210119 | 1.7922 | -0.36% |
151002 | 银河收益债券 | 20210118 | 1.7944 | 0.26% |
151002 | 银河收益债券 | 20210115 | 1.7885 | 0.11% |
151002 | 银河收益债券 | 20210114 | 1.8054 | -0.05% |
151002 | 银河收益债券 | 20210113 | 1.8057 | -0.63% |
151002 | 银河收益债券 | 20210112 | 1.8136 | 0.31% |
151002 | 银河收益债券 | 20210111 | 1.8151 | -0.41% |
151002 | 银河收益债券 | 20210108 | 1.8275 | -0.09% |
151002 | 银河收益债券 | 20210107 | 1.8215 | -0.07% |
151002 | 银河收益债券 | 20210106 | 1.8202 | 0.09% |
151002 | 银河收益债券 | 20210105 | 1.8108 | 0.33% |
151002 | 银河收益债券 | 20210104 | 1.7948 | 0.4% |
151002 | 银河收益债券 | 20201231 | 1.7857 | 0.59% |
151002 | 银河收益债券 | 20201230 | 1.7695 | 0.46% |
151002 | 银河收益债券 | 20201229 | 1.7676 | -0.04% |
151002 | 银河收益债券 | 20201228 | 1.7637 | -0.11% |
151002 | 银河收益债券 | 20201225 | 1.7604 | 0.35% |
151002 | 银河收益债券 | 20201224 | 1.755 | -0.22% |
151002 | 银河收益债券 | 20201223 | 1.7566 | -0.01% |
151002 | 银河收益债券 | 20201222 | 1.7611 | -0.22% |
151002 | 银河收益债券 | 20201221 | 1.7595 | 0.37% |
151002 | 银河收益债券 | 20201218 | 1.7493 | 0.02% |
151002 | 银河收益债券 | 20201217 | 1.7455 | 0.48% |
151002 | 银河收益债券 | 20201216 | 1.7326 | 0.11% |
151002 | 银河收益债券 | 20201215 | 1.7303 | 0.12% |
151002 | 银河收益债券 | 20201214 | 1.7255 | 0.15% |
151002 | 银河收益债券 | 20201211 | 1.7251 | -0.38% |
151002 | 银河收益债券 | 20201210 | 1.734 | -0.07% |
151002 | 银河收益债券 | 20201209 | 1.7346 | -0.34% |
151002 | 银河收益债券 | 20201208 | 1.742 | 0.09% |
151002 | 银河收益债券 | 20201207 | 1.7422 | -0.09% |
151002 | 银河收益债券 | 20201204 | 1.7396 | 0.07% |
151002 | 银河收益债券 | 20201203 | 1.7385 | -0.07% |
151002 | 银河收益债券 | 20201202 | 1.7398 | -0.11% |
151002 | 银河收益债券 | 20201201 | 1.7417 | 0.53% |
151002 | 银河收益债券 | 20201130 | 1.7326 | 0.02% |
151002 | 银河收益债券 | 20201127 | 1.7323 | 0.28% |
151002 | 银河收益债券 | 20201126 | 1.7274 | -0.1% |
151002 | 银河收益债券 | 20201125 | 1.7291 | -0.74% |
151002 | 银河收益债券 | 20201124 | 1.742 | -0.07% |
151002 | 银河收益债券 | 20201123 | 1.7432 | 0.26% |
151002 | 银河收益债券 | 20201120 | 1.7386 | 0.16% |
151002 | 银河收益债券 | 20201119 | 1.7358 | -0.04% |
151002 | 银河收益债券 | 20201118 | 1.7365 | 0.13% |
151002 | 银河收益债券 | 20201117 | 1.7342 | -0.57% |
151002 | 银河收益债券 | 20201116 | 1.7442 | 0.33% |
151002 | 银河收益债券 | 20201113 | 1.7384 | -0.35% |
151002 | 银河收益债券 | 20201112 | 1.7444 | 0.03% |
151002 | 银河收益债券 | 20201111 | 1.7465 | -0.41% |
151002 | 银河收益债券 | 20201110 | 1.7547 | -0.13% |
151002 | 银河收益债券 | 20201109 | 1.7558 | 0.45% |
151002 | 银河收益债券 | 20201106 | 1.7487 | -0.07% |
151002 | 银河收益债券 | 20201105 | 1.7499 | 0.7% |
151002 | 银河收益债券 | 20201104 | 1.7378 | 0.16% |
151002 | 银河收益债券 | 20201103 | 1.7351 | 0.42% |
151002 | 银河收益债券 | 20201102 | 1.7279 | 0.24% |
151002 | 银河收益债券 | 20201030 | 1.7238 | -0.57% |
151002 | 银河收益债券 | 20201029 | 1.7336 | 0.41% |
151002 | 银河收益债券 | 20201028 | 1.7265 | 0.38% |
151002 | 银河收益债券 | 20201027 | 1.7199 | 0.24% |
151002 | 银河收益债券 | 20201026 | 1.7158 | 0.13% |
151002 | 银河收益债券 | 20201023 | 1.7135 | -0.46% |
151002 | 银河收益债券 | 20201022 | 1.7215 | 0.05% |
151002 | 银河收益债券 | 20201021 | 1.7207 | -0.19% |
151002 | 银河收益债券 | 20201020 | 1.7239 | 0.52% |
151002 | 银河收益债券 | 20201019 | 1.7149 | -0.46% |
151002 | 银河收益债券 | 20201016 | 1.7228 | -0.19% |
151002 | 银河收益债券 | 20201015 | 1.7261 | -0.1% |
151002 | 银河收益债券 | 20201014 | 1.7279 | -0.37% |