国泰润泰纯债债券A
(003457.jj)国泰基金管理有限公司持有人户数212.00
成立日期2017-03-01
总资产规模
12.12亿 (2024-09-30)
基金类型债券型当前净值1.1017基金经理李铭一管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率3.16%
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国泰润泰纯债债券A(003457) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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国泰润泰纯债债券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
2024-12-231.10171.2511
2024-12-201.10111.2505
2024-12-191.10051.2499
2024-12-181.10051.2499
2024-12-171.10041.2498
2024-12-161.10051.2499
2024-12-131.10021.2496
2024-12-121.09951.2489
2024-12-111.09921.2486
2024-12-101.09921.2486
2024-12-091.09851.2479
2024-12-061.09831.2477
2024-12-051.09821.2476
2024-12-041.09821.2476
2024-12-031.09791.2473
2024-12-021.09791.2473
2024-11-291.09681.2462
2024-11-281.09631.2457
2024-11-271.09611.2455
2024-11-261.09611.2455
2024-11-251.09601.2454
2024-11-221.09581.2452
2024-11-211.09571.2451
2024-11-201.09551.2449
2024-11-191.09551.2449
2024-11-181.09541.2448
2024-11-151.09541.2448
2024-11-141.09541.2448
2024-11-131.09531.2447
2024-11-121.09531.2447
2024-11-111.09521.2446
2024-11-081.09501.2444
2024-11-071.09491.2443
2024-11-061.09461.2440
2024-11-051.09461.2440
2024-11-041.09451.2439
2024-11-011.09431.2437
2024-10-311.09391.2433
2024-10-301.09371.2431
2024-10-291.09361.2430
2024-10-281.09351.2429
2024-10-251.09341.2428
2024-10-241.09331.2427
2024-10-231.09331.2427
2024-10-221.09351.2429
2024-10-211.09371.2431
2024-10-181.09371.2431
2024-10-171.09371.2431
2024-10-161.09361.2430
2024-10-151.09361.2430