中加纯债一年A
(000552.jj)中加基金管理有限公司持有人户数2,526.00
成立日期2014-03-24
总资产规模
5.12亿 (2024-09-30)
基金类型债券型当前净值1.1572基金经理张楠管理费用率0.68%管托费用率0.19%成立以来分红再投入年化收益率6.21%
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中加纯债一年A(000552) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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中加纯债一年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
2024-12-201.15721.7194
2024-12-131.15681.7190
2024-12-061.15091.7131
2024-11-291.14401.7062
2024-11-221.13881.7010
2024-11-151.13711.6993
2024-11-081.13431.6965
2024-11-011.13281.6950
2024-10-251.13411.6963
2024-10-181.13841.7006
2024-10-111.13051.6927
2024-09-301.13551.6977
2024-09-271.14081.7030
2024-09-201.14661.7088
2024-09-131.14591.7081
2024-09-061.14531.7075
2024-08-301.14371.7059
2024-08-231.14661.7088
2024-08-161.14871.7109
2024-08-091.15171.7139
2024-08-021.15501.7172
2024-07-261.15081.7130
2024-07-191.14731.7095
2024-07-181.14721.7094
2024-07-171.14721.7094
2024-07-161.14711.7093
2024-07-151.14701.7092
2024-07-121.14681.7090
2024-07-111.14671.7089
2024-07-101.14661.7088
2024-07-091.14651.7087
2024-07-081.14641.7086
2024-07-051.14661.7088
2024-06-281.14631.7085
2024-06-211.14531.7075
2024-06-141.14481.7070
2024-06-071.14401.7062
2024-05-311.14211.7043
2024-05-241.14101.7032
2024-05-171.13951.7017
2024-05-101.13891.7011
2024-04-301.13771.6999
2024-04-261.13801.7002
2024-04-191.13861.7008
2024-04-121.17091.6981
2024-04-031.16831.6955
2024-03-291.16721.6944
2024-03-221.16611.6933
2024-03-151.16551.6927
2024-03-081.16631.6935