长城稳固收益债券A
(000333.jj)长城基金管理有限公司
成立日期2015-01-28
总资产规模
1,033.62万 (2024-03-31)
基金类型债券型当前净值1.2867基金经理张棪管理费用率0.75%管托费用率0.20%持仓换手率25.13% (2023-12-31) 成立以来分红再投入年化收益率2.91%
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长城稳固收益债券A(000333) - 历史基金净值数据曲线

最后更新于:2024-07-05

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长城稳固收益债券A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-051.28671.3067
2024-07-041.28731.3073
2024-07-031.28831.3083
2024-07-021.28901.3090
2024-07-011.28871.3087
2024-06-281.28771.3077
2024-06-271.28621.3062
2024-06-261.28611.3061
2024-06-251.28351.3035
2024-06-241.28231.3023
2024-06-211.28491.3049
2024-06-201.28611.3061
2024-06-191.28791.3079
2024-06-181.28761.3076
2024-06-171.28721.3072
2024-06-141.28791.3079
2024-06-131.28711.3071
2024-06-121.28771.3077
2024-06-111.28721.3072
2024-06-071.28721.3072
2024-06-061.28661.3066
2024-06-051.28631.3063
2024-06-041.28641.3064
2024-06-031.28521.3052
2024-05-311.28731.3073
2024-05-301.28731.3073
2024-05-291.28801.3080
2024-05-281.28851.3085
2024-05-271.28861.3086
2024-05-241.28721.3072
2024-05-231.28751.3075
2024-05-221.28771.3077
2024-05-211.28711.3071
2024-05-201.28681.3068
2024-05-171.28631.3063
2024-05-161.28591.3059
2024-05-151.28571.3057
2024-05-141.28501.3050
2024-05-131.28471.3047
2024-05-101.28391.3039
2024-05-091.28311.3031
2024-05-081.28261.3026
2024-05-071.28211.3021
2024-05-061.28041.3004
2024-04-301.27951.2995
2024-04-291.27811.2981
2024-04-261.28021.3002
2024-04-251.28021.3002
2024-04-241.27891.2989
2024-04-231.28171.3017