融通增润三个月定开债券发起式
(007516.jj)融通基金管理有限公司持有人户数232.00
成立日期2019-11-08
总资产规模
39.46亿 (2024-09-30)
基金类型债券型当前净值1.1252基金经理刘舒乐管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率3.48%
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融通增润三个月定开债券发起式(007516) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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融通增润三个月定开债券发起式历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.12521.1831
2024-12-191.12471.1826
2024-12-181.12481.1827
2024-12-171.12491.1828
2024-12-161.12531.1832
2024-12-131.12451.1824
2024-12-121.12351.1814
2024-12-111.12331.1812
2024-12-101.12301.1809
2024-12-091.12181.1797
2024-12-061.12161.1795
2024-12-051.12131.1792
2024-12-041.12081.1787
2024-12-031.12021.1781
2024-12-021.11961.1775
2024-11-291.11771.1756
2024-11-281.11701.1749
2024-11-271.11641.1743
2024-11-261.11581.1737
2024-11-251.11541.1733
2024-11-221.11491.1728
2024-11-211.11451.1724
2024-11-201.11411.1720
2024-11-191.11391.1718
2024-11-181.11391.1718
2024-11-151.11391.1718
2024-11-141.11361.1715
2024-11-131.11361.1715
2024-11-121.11341.1713
2024-11-111.11281.1707
2024-11-081.11221.1701
2024-11-071.11181.1697
2024-11-061.11111.1690
2024-11-051.11081.1687
2024-11-041.11051.1684
2024-11-011.11001.1679
2024-10-311.10901.1669
2024-10-301.10871.1666
2024-10-291.10861.1665
2024-10-281.10881.1667
2024-10-251.10921.1671
2024-10-241.10961.1675
2024-10-231.11001.1679
2024-10-221.11121.1691
2024-10-211.11181.1697
2024-10-181.11191.1698
2024-10-171.11181.1697
2024-10-161.11111.1690
2024-10-151.11061.1685
2024-10-141.10931.1672