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兴业福鑫债券(004140) - 搜狐基金
行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

兴业福鑫债券(004140)

2024-10-29     1.02240.0098%
份额变动
变动日期 总份额 较上期增减 较成立时增减
2024-09-30657,595.80495.74637,595.79
2024-06-30657,100.06-1,667.29637,100.05
2024-03-31658,767.35860.56638,767.34
2023-12-31657,906.7970,556.53637,906.78
2023-09-30587,350.26-176.75567,350.25
2023-06-30587,527.017,247.23567,527.00
2023-03-31580,279.78140.79560,279.77
2022-12-31580,138.9920,131.25560,138.98
2022-09-30560,007.74-1,299.92540,007.73
2022-06-30561,307.66-9,859.93541,307.65
2022-03-31571,167.592,742.43551,167.58
2021-12-31568,425.16358,500.71548,425.15
2021-09-30209,924.450.33189,924.44
2021-06-30209,924.120.02189,924.11
2021-03-31209,924.100.07189,924.09
2020-12-31209,924.030.05189,924.02
2020-09-30209,923.980.03189,923.97
2020-06-30209,923.950.00189,923.94
2020-03-31209,923.950.01189,923.94
2019-12-31209,923.94-0.03189,923.93
2019-09-30209,923.97-0.11189,923.96
2019-06-30209,924.08-0.05189,924.07
2019-03-31209,924.130.08189,924.12
2018-12-31209,924.050.00189,924.04
2018-09-30209,924.05-0.01189,924.04
2018-06-30209,924.06-1.83189,924.05
2018-03-31209,925.890.00189,925.88
2017-12-31209,925.891.96189,925.88
2017-09-30209,923.930.00189,923.92
2017-06-30209,923.93189,923.92189,923.92
2017-03-1020,000.01----