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中银合利债券基金(002693)单位净值及收益率走势图
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中银合利债券基金(002693)历史净值列表
截至日期 单位净值(元) 累计净值(元) 增长值(元) 增长率(%)
2017-5-150.9320.9320.00000.00%
2017-5-120.9320.9320.00100.11%
2017-5-110.9310.931-0.0010-0.11%
2017-5-100.9320.932-0.0030-0.32%
2017-5-90.9350.9350.00000.00%
2017-5-80.9350.935-0.0050-0.53%
2017-5-50.940.94-0.0040-0.42%
2017-5-40.9440.944-0.0010-0.11%
2017-5-30.9450.945-0.0010-0.11%
2017-5-20.9460.9460.00000.00%
2017-4-280.9460.946-0.0010-0.11%
2017-4-270.9470.9470.00200.21%
2017-4-260.9450.9450.00200.21%
2017-4-250.9430.9430.00000.00%
2017-4-240.9430.943-0.0050-0.53%
2017-4-210.9480.948-0.0020-0.21%
2017-4-200.950.950.00000.00%
2017-4-190.950.95-0.0010-0.11%
2017-4-180.9510.9510.00000.00%
2017-4-170.9510.951-0.0040-0.42%
2017-4-140.9550.955-0.0040-0.42%
2017-4-130.9590.959-0.0050-0.52%
2017-4-120.960.96-0.0040-0.41%
2017-4-110.9640.9640.00100.10%
2017-4-100.9630.963-0.0010-0.10%
2017-4-70.9640.9640.00200.21%
2017-4-60.9620.9620.00200.21%
2017-4-50.960.960.00500.52%
2017-3-310.9550.955-0.0010-0.10%
2017-3-300.9560.956-0.0050-0.52%
2017-3-290.9610.9610.00000.00%
2017-3-280.9610.961-0.0010-0.10%
2017-3-270.9620.962-0.0010-0.10%
2017-3-240.9630.9630.00300.31%
2017-3-230.960.96-0.0010-0.10%
2017-3-220.9610.9610.00000.00%
2017-3-210.9610.9610.00000.00%
2017-3-200.9610.961-0.0020-0.21%
2017-3-170.9630.963-0.0030-0.31%
2017-3-160.9660.9660.00300.31%
2017-3-150.9630.9630.00000.00%
2017-3-140.9630.963-0.0010-0.10%
2017-3-130.9640.9640.00200.21%
2017-3-100.9620.962-0.0010-0.10%
2017-3-90.9630.963-0.0040-0.41%
2017-3-80.9670.967-0.0010-0.10%
2017-3-70.9680.9680.00000.00%
2017-3-60.9680.9680.00100.10%
2017-3-30.9670.967-0.0020-0.21%
2017-3-20.9690.969-0.0020-0.21%
2017-3-10.9710.9710.00100.10%
2017-2-280.970.970.00000.00%
2017-2-270.970.97-0.0020-0.21%
2017-2-240.9720.972-0.0040-0.41%
2017-2-230.9760.976-0.0020-0.20%
2017-2-220.9780.9780.00200.20%
2017-2-210.9760.976-0.0010-0.10%
2017-2-200.9770.9770.00400.41%
2017-2-170.9730.973-0.0030-0.31%
2017-2-160.9760.9760.00300.31%

说明:橙色背景栏表示当日分红或拆分,鼠标悬停显示分红金额或拆分比例。
【基金吧48小时排行】

 
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