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银华永益分级债券基金(161827)单位净值及收益率走势图
基金代码 起始日 终止日 计算收益 定投收益

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基金名称 单位净值 累计净值 日增长率
银华永益分级债券基金(161827)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(%)
2017-5-151.4411.5160.00000.00%
2017-5-121.4411.5160.00000.00%
2017-5-111.4411.5160.00000.00%
2017-5-101.4411.5160.00000.00%
2017-5-91.4411.5160.00000.00%
2017-5-81.4411.5160.00100.07%
2017-5-51.441.5150.00000.00%
2017-5-41.441.5150.00000.00%
2017-5-31.441.5150.00000.00%
2017-5-21.441.5150.00100.07%
2017-4-281.4391.5140.00000.00%
2017-4-271.4391.5140.00000.00%
2017-4-261.4391.5140.00000.00%
2017-4-251.4391.5140.00000.00%
2017-4-241.4391.5140.00100.07%
2017-4-211.4381.5130.00000.00%
2017-4-201.4381.5130.00000.00%
2017-4-191.4381.5130.00000.00%
2017-4-181.4381.5130.00000.00%
2017-4-171.4381.5130.00000.00%
2017-4-141.4381.5130.00000.00%
2017-4-131.4381.5130.00100.07%
2017-4-121.4371.5120.00000.00%
2017-4-111.4371.5120.00000.00%
2017-4-101.4371.5120.00000.00%
2017-4-71.4371.5120.00000.00%
2017-4-61.4371.5120.00000.00%
2017-4-51.4371.5120.00100.07%
2017-3-311.4361.5110.00000.00%
2017-3-301.4361.5110.00000.00%
2017-3-291.4361.5110.00000.00%
2017-3-281.4361.5110.00100.07%
2017-3-271.4351.510.00000.00%
2017-3-241.4351.510.00000.00%
2017-3-231.4351.510.00000.00%
2017-3-221.4351.510.00000.00%
2017-3-211.4351.510.00000.00%
2017-3-201.4351.510.00200.14%
2017-3-171.4331.5070.00000.00%
2017-3-161.4331.5070.00000.00%
2017-3-151.4331.5070.00000.00%
2017-3-141.4331.5070.00000.00%
2017-3-131.4331.5070.00000.00%
2017-3-101.4331.5070.00000.00%
2017-3-91.4331.5070.00000.00%
2017-3-81.4331.5070.00100.07%
2017-3-71.4321.5060.00000.00%
2017-3-61.4321.5060.00100.07%
2017-3-31.4311.5050.00000.00%
2017-3-21.4311.5050.00000.00%
2017-3-11.4311.5050.00000.00%
2017-2-281.4311.5050.00000.00%
2017-2-271.4311.5050.00000.00%
2017-2-241.4311.5050.00100.07%
2017-2-231.431.504-0.0010-0.07%
2017-2-221.4311.5050.00000.00%
2017-2-211.4311.5050.00100.07%
2017-2-201.431.5040.00000.00%
2017-2-171.431.5040.00000.00%
2017-2-161.431.5040.00000.00%

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。
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