前海联合添鑫3个月定开债券A
(003471.jj)新疆前海联合基金管理有限公司持有人户数313.00
成立日期2016-10-18
总资产规模
96.79万 (2024-09-30)
基金类型债券型当前净值1.2243基金经理张文管理费用率0.70%管托费用率0.10%持仓换手率27.46% (2024-06-30) 成立以来分红再投入年化收益率3.10%
备注 (0): 双击编辑备注
发表讨论

前海联合添鑫3个月定开债券A(003471) - 历史基金净值数据曲线

最后更新于:2024-12-20

数据选项
加载中......
前海联合添鑫3个月定开债券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
2024-12-201.22431.2771
2024-12-131.22111.2739
2024-12-061.21261.2654
2024-11-291.20631.2591
2024-11-221.20021.2530
2024-11-211.20611.2589
2024-11-201.20531.2581
2024-11-191.20271.2555
2024-11-181.19851.2513
2024-11-151.20041.2532
2024-11-141.20501.2578
2024-11-131.21141.2642
2024-11-121.20991.2627
2024-11-111.21181.2646
2024-11-081.20651.2593
2024-11-071.20571.2585
2024-11-061.20071.2535
2024-11-051.19981.2526
2024-11-041.19371.2465
2024-11-011.18971.2425
2024-10-311.19301.2458
2024-10-301.19111.2439
2024-10-291.19131.2441
2024-10-281.19141.2442
2024-10-251.19001.2428
2024-10-181.18681.2396
2024-10-111.17611.2289
2024-09-301.18081.2336
2024-09-271.17091.2237
2024-09-201.15961.2124
2024-09-131.15851.2113
2024-09-061.15901.2118
2024-08-301.15721.2100
2024-08-231.15581.2086
2024-08-161.15491.2077
2024-08-091.15721.2100
2024-08-021.16121.2140
2024-07-261.15871.2115
2024-07-251.15791.2107
2024-07-241.15911.2119
2024-07-231.15951.2123
2024-07-221.16121.2140
2024-07-191.16151.2143
2024-07-181.16191.2147
2024-07-171.16181.2146
2024-07-161.16341.2162
2024-07-151.16321.2160
2024-07-121.16221.2150
2024-07-111.16281.2156
2024-07-101.16141.2142