首页 - 基金理财 - 历史净值
民生加银增强收益债券型证券投资基金
日期 单位净值 累计净值
20241017 1.3880 2.1130
20241016 1.3840 2.1090
20241015 1.3780 2.1030
20241014 1.3960 2.1210
20241011 1.3620 2.0870
20241010 1.3970 2.1220
20241009 1.4020 2.1270
20241008 1.4960 2.2210
20240930 1.4250 2.1500
20240927 1.3400 2.0650
20240926 1.2920 2.0170
20240925 1.2490 1.9740
20240924 1.2420 1.9670
20240923 1.1940 1.9190
20240920 1.1950 1.9200
20240919 1.1980 1.9230
20240918 1.1820 1.9070
20240913 1.1850 1.9100
20240912 1.1910 1.9160
20240911 1.1940 1.9190