诺安浙享定开发起式债券
(005655.jj)诺安基金管理有限公司持有人户数211.00
成立日期2018-09-27
总资产规模
8.08亿 (2024-09-30)
基金类型债券型当前净值1.0843基金经理岳帅潘飞管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率3.89%
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诺安浙享定开发起式债券(005655) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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诺安浙享定开发起式债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.08431.2532
2024-12-131.08371.2526
2024-12-061.08001.2489
2024-12-041.07961.2485
2024-11-291.11201.2459
2024-11-221.11031.2442
2024-11-151.10941.2433
2024-11-081.10811.2420
2024-11-011.10631.2402
2024-10-281.10471.2386
2024-10-251.10471.2386
2024-10-181.10571.2396
2024-10-111.10271.2366
2024-09-301.10211.2360
2024-09-271.10411.2380
2024-09-201.10591.2398
2024-09-131.10531.2392
2024-09-061.10371.2376
2024-08-301.10201.2359
2024-08-231.10201.2359
2024-08-161.10191.2358
2024-08-091.10091.2348
2024-08-021.10051.2344
2024-07-261.09951.2334
2024-07-251.09941.2333
2024-07-191.09811.2320
2024-07-121.09751.2314
2024-07-051.09691.2308
2024-06-281.09631.2302
2024-06-211.09571.2296
2024-06-141.09521.2291
2024-06-071.09461.2285
2024-05-311.09391.2278
2024-05-241.09321.2271
2024-05-171.09241.2263
2024-05-101.09141.2253
2024-04-301.08981.2237
2024-04-261.09021.2241
2024-04-251.09071.2246
2024-04-241.09081.2247
2024-04-191.09031.2242
2024-04-121.08851.2224
2024-04-031.08641.2203
2024-03-291.08561.2195
2024-03-221.08461.2185
2024-03-151.08361.2175
2024-03-081.08321.2171
2024-03-011.08191.2158
2024-02-231.08081.2147
2024-02-081.07861.2125