南华价值启航纯债债券C
(007190.jj)南华基金管理有限公司持有人户数6,005.00
成立日期2019-11-22
总资产规模
2.74亿 (2024-09-30)
基金类型债券型当前净值1.3533基金经理沈致远田逸乐管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率22.13%异常提示: 该基金于2022-06-16基金净值和阶段涨幅出现异常波动,可能是由于巨额赎回等原因所导致。
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南华价值启航纯债债券C(007190) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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南华价值启航纯债债券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
2024-12-231.35332.6061
2024-12-201.35252.6053
2024-12-191.35122.6040
2024-12-181.35062.6034
2024-12-171.35062.6034
2024-12-161.35072.6035
2024-12-131.35002.6028
2024-12-121.34872.6015
2024-12-111.34792.6007
2024-12-101.34772.6005
2024-12-091.34542.5982
2024-12-061.34422.5970
2024-12-051.34432.5971
2024-12-041.34412.5969
2024-12-031.34322.5960
2024-12-021.34332.5961
2024-11-291.34092.5937
2024-11-281.33972.5925
2024-11-271.33912.5919
2024-11-261.33902.5918
2024-11-251.33892.5917
2024-11-221.33842.5912
2024-11-211.33842.5912
2024-11-201.33782.5906
2024-11-191.33802.5908
2024-11-181.33782.5906
2024-11-151.33822.5910
2024-11-141.33802.5908
2024-11-131.33762.5904
2024-11-121.33812.5909
2024-11-111.33722.5900
2024-11-081.33682.5896
2024-11-071.33652.5893
2024-11-061.33572.5885
2024-11-051.33612.5889
2024-11-041.33592.5887
2024-11-011.33592.5887
2024-10-311.33512.5879
2024-10-301.33442.5872
2024-10-291.33442.5872
2024-10-281.33422.5870
2024-10-251.33422.5870
2024-10-241.33372.5865
2024-10-231.33382.5866
2024-10-221.33412.5869
2024-10-211.33532.5881
2024-10-181.33552.5883
2024-10-171.33612.5889
2024-10-161.33522.5880
2024-10-151.33582.5886