前海联合添鑫3个月定开债券C
(003472.jj)新疆前海联合基金管理有限公司持有人户数196.00
成立日期2016-10-18
总资产规模
79.16万 (2024-09-30)
基金类型债券型当前净值1.1635基金经理张文管理费用率0.70%管托费用率0.10%成立以来分红再投入年化收益率2.39%
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前海联合添鑫3个月定开债券C(003472) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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前海联合添鑫3个月定开债券C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.16351.2095
2024-12-131.16051.2065
2024-12-061.15251.1985
2024-11-291.14661.1926
2024-11-221.14091.1869
2024-11-211.14651.1925
2024-11-201.14581.1918
2024-11-191.14331.1893
2024-11-181.13931.1853
2024-11-151.14121.1872
2024-11-141.14561.1916
2024-11-131.15171.1977
2024-11-121.15021.1962
2024-11-111.15211.1981
2024-11-081.14701.1930
2024-11-071.14631.1923
2024-11-061.14151.1875
2024-11-051.14071.1867
2024-11-041.13491.1809
2024-11-011.13121.1772
2024-10-311.13441.1804
2024-10-301.13251.1785
2024-10-291.13281.1788
2024-10-281.13291.1789
2024-10-251.13151.1775
2024-10-181.12851.1745
2024-10-111.11851.1645
2024-09-301.12311.1691
2024-09-271.11381.1598
2024-09-201.10311.1491
2024-09-131.10201.1480
2024-09-061.10271.1487
2024-08-301.10101.1470
2024-08-231.09981.1458
2024-08-161.09901.1450
2024-08-091.10131.1473
2024-08-021.10511.1511
2024-07-261.10291.1489
2024-07-251.10211.1481
2024-07-241.10331.1493
2024-07-231.10371.1497
2024-07-221.10531.1513
2024-07-191.10571.1517
2024-07-181.10601.1520
2024-07-171.10591.1519
2024-07-161.10751.1535
2024-07-151.10731.1533
2024-07-121.10641.1524
2024-07-111.10701.1530
2024-07-101.10571.1517