汇添富鑫益定开债A
(004469.jj)汇添富基金管理股份有限公司持有人户数243.00
成立日期2017-04-20
总资产规模
15.03亿 (2024-09-30)
基金类型债券型当前净值1.0046基金经理甘信宇彭伟男管理费用率0.40%管托费用率0.10%成立以来分红再投入年化收益率2.99%
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汇添富鑫益定开债A(004469) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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汇添富鑫益定开债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
2024-12-201.00461.2371
2024-12-191.00431.2368
2024-12-181.00411.2366
2024-12-171.00381.2363
2024-12-161.00371.2362
2024-12-131.00321.2357
2024-12-121.00291.2354
2024-12-111.00271.2352
2024-12-101.00261.2351
2024-12-091.00231.2348
2024-12-061.00181.2343
2024-12-051.00161.2341
2024-12-041.00161.2341
2024-12-031.00131.2338
2024-12-021.00131.2338
2024-11-291.00081.2333
2024-11-281.00061.2331
2024-11-271.00051.2330
2024-11-261.00051.2330
2024-11-251.00061.2331
2024-11-221.00241.2349
2024-11-211.00071.2332
2024-11-200.99891.2314
2024-11-190.99891.2314
2024-11-180.99891.2314
2024-11-150.99891.2314
2024-11-140.99881.2313
2024-11-130.99881.2313
2024-11-120.99881.2313
2024-11-110.99881.2313
2024-11-080.99881.2313
2024-11-070.99871.2312
2024-11-060.99851.2310
2024-11-050.99851.2310
2024-11-040.99841.2309
2024-11-010.99831.2308
2024-10-310.99821.2307
2024-10-300.99811.2306
2024-10-290.99801.2305
2024-10-280.99801.2305
2024-10-250.99801.2305
2024-10-240.99791.2304
2024-10-230.99791.2304
2024-10-220.99791.2304
2024-10-210.99791.2304
2024-10-180.99821.2307
2024-10-170.99811.2306
2024-10-160.99811.2306
2024-10-150.99821.2307
2024-10-140.99811.2306