| 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 |
| 2026-09-15 | 002404 | 博时裕乾纯债债券C | 1.2226 | 1.3846 | 1.2224 | 1.3844 | 0.0002 | 0.02% |
| 2026-09-14 | 002404 | 博时裕乾纯债债券C | 1.2224 | 1.3844 | 1.2223 | 1.3843 | 0.0001 | 0.01% |
| 2026-09-11 | 002404 | 博时裕乾纯债债券C | 1.2223 | 1.3843 | 1.2225 | 1.3845 | -0.0002 | -0.02% |
| 2026-09-10 | 002404 | 博时裕乾纯债债券C | 1.2225 | 1.3845 | 1.2226 | 1.3846 | -0.0001 | -0.01% |
| 2026-09-09 | 002404 | 博时裕乾纯债债券C | 1.2226 | 1.3846 | 1.2225 | 1.3845 | 0.0001 | 0.01% |
| 2026-09-08 | 002404 | 博时裕乾纯债债券C | 1.2225 | 1.3845 | 1.2225 | 1.3845 | 0.0000 | 0.00% |
| 2026-09-07 | 002404 | 博时裕乾纯债债券C | 1.2225 | 1.3845 | 1.2223 | 1.3843 | 0.0002 | 0.02% |
| 2026-09-04 | 002404 | 博时裕乾纯债债券C | 1.2223 | 1.3843 | 1.2221 | 1.3841 | 0.0002 | 0.02% |
| 2026-09-03 | 002404 | 博时裕乾纯债债券C | 1.2221 | 1.3841 | 1.2217 | 1.3837 | 0.0004 | 0.03% |
| 2026-09-02 | 002404 | 博时裕乾纯债债券C | 1.2217 | 1.3837 | 1.2219 | 1.3839 | -0.0002 | -0.02% |
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| 2026-09-01 | 002404 | 博时裕乾纯债债券C | 1.2219 | 1.3839 | 1.2214 | 1.3834 | 0.0005 | 0.04% |
| 2026-08-31 | 002404 | 博时裕乾纯债债券C | 1.2214 | 1.3834 | 1.2213 | 1.3833 | 0.0001 | 0.01% |
| 2026-08-28 | 002404 | 博时裕乾纯债债券C | 1.2213 | 1.3833 | 1.2213 | 1.3833 | 0.0000 | 0.00% |
| 2026-08-27 | 002404 | 博时裕乾纯债债券C | 1.2213 | 1.3833 | 1.2218 | 1.3838 | -0.0005 | -0.04% |
| 2026-08-26 | 002404 | 博时裕乾纯债债券C | 1.2218 | 1.3838 | 1.2221 | 1.3841 | -0.0003 | -0.02% |
| 2026-08-25 | 002404 | 博时裕乾纯债债券C | 1.2221 | 1.3841 | 1.2222 | 1.3842 | -0.0001 | -0.01% |
| 2026-08-24 | 002404 | 博时裕乾纯债债券C | 1.2222 | 1.3842 | 1.2218 | 1.3838 | 0.0004 | 0.03% |
| 2026-08-21 | 002404 | 博时裕乾纯债债券C | 1.2218 | 1.3838 | 1.2219 | 1.3839 | -0.0001 | -0.01% |
| 2026-08-20 | 002404 | 博时裕乾纯债债券C | 1.2219 | 1.3839 | 1.2219 | 1.3839 | 0.0000 | 0.00% |
| 2026-08-19 | 002404 | 博时裕乾纯债债券C | 1.2219 | 1.3839 | 1.2226 | 1.3846 | -0.0007 | -0.06% |
| 2026-08-18 | 002404 | 博时裕乾纯债债券C | 1.2226 | 1.3846 | 1.2221 | 1.3841 | 0.0005 | 0.04% |
| 2026-08-17 | 002404 | 博时裕乾纯债债券C | 1.2221 | 1.3841 | 1.2220 | 1.3840 | 0.0001 | 0.01% |
| 基金名称 | 单位净值 | 日增长率 |
| 招商债券D | 1.3728 | 0.20% |
| 招商债券A | 1.3871 | 0.20% |
| 招商债券B | 1.4140 | 0.20% |
| 招商金鸿债券A | 1.2515 | 0.15% |
| 招商金鸿债券C | 1.2315 | 0.15% |
| 鹏扬淳盈6个月定开债C | 1.0414 | 0.15% |
| 招商金鸿债券D | 1.2450 | 0.15% |
| 鹏扬淳盈6个月定开债A | 1.0475 | 0.14% |
| 鹏扬淳盈6个月定开D | 1.0477 | 0.14% |
| 富荣富兴纯债A | 1.2703 | 0.12% |