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天弘添利债券(LOF)F基金净值查询(022583)

今天最新净值 1.5357 0.0169 1.1100% 2025-02-10
盘中实时估值(仅供参考) %
  • 累计净值:1.5357
  • 成立日期:
  • 基金类型:债券型-混合一级
  • 成立份额:
  • 最近份额:
  • 最近资产:0.04亿元
  • 基金公司:
  • 基金经理:杜广 余袁辉
近一年天弘添利债券(LOF)F基金净值查询
基金历史净值按日期查询: -
近一年,天弘添利债券(LOF)F(022583)基金累计收益率0%
净值日期 基金代码 基金名称 最新单位净值 最新累计净值 上期单位净值 上期累计净值 当日增长值 当日增长率
2025-02-10 022583 天弘添利债券(LOF)F 1.5413 1.5413 1.5357 1.5357 0.0056 0.36%
2025-02-07 022583 天弘添利债券(LOF)F 1.5357 1.5357 1.5188 1.5188 0.0169 1.11%
2025-02-06 022583 天弘添利债券(LOF)F 1.5188 1.5188 1.5036 1.5036 0.0152 1.01%
2025-02-05 022583 天弘添利债券(LOF)F 1.5036 1.5036 1.5017 1.5017 0.0019 0.13%
2025-01-27 022583 天弘添利债券(LOF)F 1.5017 1.5017 1.5125 1.5125 -0.0108 -0.71%
2025-01-22 022583 天弘添利债券(LOF)F 1.5010 1.5010 1.5039 1.5039 -0.0029 -0.19%
2025-01-14 022583 天弘添利债券(LOF)F 1.4812 1.4812 1.4551 1.4551 0.0261 1.79%
2025-01-13 022583 天弘添利债券(LOF)F 1.4551 1.4551 1.4562 1.4562 -0.0011 -0.08%
2025-01-10 022583 天弘添利债券(LOF)F 1.4562 1.4562 1.4647 1.4647 -0.0085 -0.58%
2025-01-09 022583 天弘添利债券(LOF)F 1.4647 1.4647 1.4561 1.4561 0.0086 0.59%
2025-01-08 022583 天弘添利债券(LOF)F 1.4561 1.4561 1.4602 1.4602 -0.0041 -0.28%
2025-01-07 022583 天弘添利债券(LOF)F 1.4602 1.4602 1.4436 1.4436 0.0166 1.15%
2025-01-06 022583 天弘添利债券(LOF)F 1.4436 1.4436 1.4512 1.4512 -0.0076 -0.52%
2025-01-03 022583 天弘添利债券(LOF)F 1.4512 1.4512 1.4610 1.4610 -0.0098 -0.67%
2025-01-02 022583 天弘添利债券(LOF)F 1.4610 1.4610 1.4738 1.4738 -0.0128 -0.87%
2024-12-31 022583 天弘添利债券(LOF)F 1.4738 1.4738 1.4873 1.4873 -0.0135 -0.91%
2024-12-26 022583 天弘添利债券(LOF)F 1.4808 1.4808 1.4764 1.4764 0.0044 0.30%
2024-12-25 022583 天弘添利债券(LOF)F 1.4764 1.4764 1.4859 1.4859 -0.0095 -0.64%
2024-12-24 022583 天弘添利债券(LOF)F 1.4859 1.4859 1.4795 1.4795 0.0064 0.43%
2024-12-23 022583 天弘添利债券(LOF)F 1.4795 1.4795 1.4960 1.4960 -0.0165 -1.10%
2024-12-20 022583 天弘添利债券(LOF)F 1.4960 1.4960 1.4867 1.4867 0.0093 0.63%
2024-12-19 022583 天弘添利债券(LOF)F 1.4867 1.4867 1.4920 1.4920 -0.0053 -0.36%
2024-12-18 022583 天弘添利债券(LOF)F 1.4920 1.4920 1.4869 1.4869 0.0051 0.34%
2024-12-17 022583 天弘添利债券(LOF)F 1.4869 1.4869 1.5051 1.5051 -0.0182 -1.21%
2024-12-16 022583 天弘添利债券(LOF)F 1.5051 1.5051 1.5215 1.5215 -0.0164 -1.08%
2024-12-13 022583 天弘添利债券(LOF)F 1.5215 1.5215 1.5371 1.5371 -0.0156 -1.01%
2024-12-12 022583 天弘添利债券(LOF)F 1.5371 1.5371 1.5182 1.5182 0.0189 1.24%
2024-12-11 022583 天弘添利债券(LOF)F 1.5182 1.5182 1.4990 1.4990 0.0192 1.28%
2024-12-10 022583 天弘添利债券(LOF)F 1.4990 1.4990 1.4862 1.4862 0.0128 0.86%
2024-12-09 022583 天弘添利债券(LOF)F 1.4862 1.4862 1.4863 1.4863 -0.0001 -0.01%
2024-12-06 022583 天弘添利债券(LOF)F 1.4863 1.4863 1.4721 1.4721 0.0142 0.96%
2024-12-05 022583 天弘添利债券(LOF)F 1.4721 1.4721 1.4567 1.4567 0.0154 1.06%
2024-12-04 022583 天弘添利债券(LOF)F 1.4567 1.4567 1.4683 1.4683 -0.0116 -0.79%
2024-12-03 022583 天弘添利债券(LOF)F 1.4683 1.4683 1.4652 1.4652 0.0031 0.21%
2024-12-02 022583 天弘添利债券(LOF)F 1.4652 1.4652 1.4550 1.4550 0.0102 0.70%
2024-11-29 022583 天弘添利债券(LOF)F 1.4550 1.4550 1.4407 1.4407 0.0143 0.99%
2024-11-28 022583 天弘添利债券(LOF)F 1.4407 1.4407 1.4340 1.4340 0.0067 0.47%
2024-11-27 022583 天弘添利债券(LOF)F 1.4340 1.4340 1.4235 1.4235 0.0105 0.74%
2024-11-26 022583 天弘添利债券(LOF)F 1.4235 1.4235 1.4266 1.4266 -0.0031 -0.22%
2024-11-25 022583 天弘添利债券(LOF)F 1.4266 1.4266 1.4253 1.4253 0.0013 0.09%
2024-11-22 022583 天弘添利债券(LOF)F 1.4253 1.4253 1.4446 1.4446 -0.0193 -1.34%
2024-11-21 022583 天弘添利债券(LOF)F 1.4446 1.4446 1.4419 1.4419 0.0027 0.19%
2024-11-20 022583 天弘添利债券(LOF)F 1.4419 1.4419 1.4278 1.4278 0.0141 0.99%
2024-11-19 022583 天弘添利债券(LOF)F 1.4278 1.4278 1.4131 1.4131 0.0147 1.04%
2024-11-18 022583 天弘添利债券(LOF)F 1.4131 1.4131 1.4293 1.4293 -0.0162 -1.13%
2024-11-15 022583 天弘添利债券(LOF)F 1.4293 1.4293 1.4383 1.4383 -0.0090 -0.63%
2024-11-14 022583 天弘添利债券(LOF)F 1.4383 1.4383 1.4566 1.4566 -0.0183 -1.26%
2024-11-13 022583 天弘添利债券(LOF)F 1.4566 1.4566 1.4623 1.4623 -0.0057 -0.39%
2024-11-12 022583 天弘添利债券(LOF)F 1.4623 1.4623 1.4724 1.4724 -0.0101 -0.69%
2024-11-11 022583 天弘添利债券(LOF)F 1.4724 1.4724 1.4497 1.4497 0.0227 1.57%
2024-11-08 022583 天弘添利债券(LOF)F 1.4497 1.4497 1.4573 1.4573 -0.0076 -0.52%
2024-11-07 022583 天弘添利债券(LOF)F 1.4573 1.4573 0.0000 0.0000 0.0000 0.00%
债券型-混合一级基金涨幅榜
基金名称 单位净值 日增长率
民生鑫享债券A 0.9394 0.43%
民生鑫享债券D 0.8000 0.43%
民生鑫享债券C 0.9155 0.42%
平安季享裕定开债C 1.0572 0.27%
平安季享裕定开债E 1.0572 0.27%
平安季享裕定开债A 1.0640 0.26%
海富通一年定开A 1.1619 0.22%
海富通一年定开C 1.1672 0.21%
鹏华尊泰一年定开发起式债券 1.0131 0.20%
平安双债添益债券E 1.3246 0.19%