江信聚福
(000583.jj)江信基金管理有限公司持有人户数1,368.00
成立日期2014-05-29
总资产规模
2.76亿 (2024-09-30)
基金类型债券型当前净值1.3117基金经理马超然管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率5.77%
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江信聚福(000583) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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江信聚福历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.31171.6517
2024-12-191.31131.6513
2024-12-181.31141.6514
2024-12-171.31161.6516
2024-12-161.31151.6515
2024-12-131.31041.6504
2024-12-121.30921.6492
2024-12-111.30861.6486
2024-12-101.30851.6485
2024-12-091.30721.6472
2024-12-061.30631.6463
2024-11-291.30011.6401
2024-11-221.29521.6352
2024-11-151.29341.6334
2024-11-081.29181.6318
2024-11-011.29271.6327
2024-10-251.29531.6353
2024-10-181.29941.6394
2024-10-111.29341.6334
2024-09-301.29791.6379
2024-09-271.30331.6433
2024-09-201.30681.6468
2024-09-131.30761.6476
2024-09-061.30661.6466
2024-08-301.30551.6455
2024-08-231.30761.6476
2024-08-161.30981.6498
2024-08-091.31071.6507
2024-08-021.30951.6495
2024-07-261.30491.6449
2024-07-191.29931.6393
2024-07-121.29721.6372
2024-07-051.29501.6350
2024-06-281.29241.6324
2024-06-211.28961.6296
2024-06-201.28961.6296
2024-06-191.28921.6292
2024-06-181.28891.6289
2024-06-171.28891.6289
2024-06-141.28851.6285
2024-06-131.28821.6282
2024-06-121.28741.6274
2024-06-111.28701.6270
2024-06-071.28591.6259
2024-06-061.28531.6253
2024-05-311.28271.6227
2024-05-241.28111.6211
2024-05-171.27871.6187
2024-05-101.27831.6183
2024-04-301.27541.6154