首页 - 基金理财 - 历史净值
华商信用增强债券型证券投资基金
日期 单位净值 累计净值
20241108 1.5150 1.5150
20241107 1.5230 1.5230
20241106 1.5090 1.5090
20241105 1.5070 1.5070
20241104 1.4870 1.4870
20241101 1.4770 1.4770
20241031 1.4950 1.4950
20241030 1.4870 1.4870
20241029 1.4890 1.4890
20241028 1.5140 1.5140
20241025 1.5060 1.5060
20241024 1.4850 1.4850
20241023 1.5030 1.5030
20241022 1.5020 1.5020
20241021 1.5020 1.5020
20241018 1.4780 1.4780
20241017 1.4350 1.4350
20241016 1.4260 1.4260
20241015 1.4220 1.4220
20241014 1.4360 1.4360