前海开源1-3年国开债A
(007765.jj)前海开源基金管理有限公司持有人户数367.00
成立日期2019-08-28
总资产规模
133.11万 (2024-09-30)
基金类型指数型基金当前净值1.1044基金经理吴彦管理费用率0.15%管托费用率0.05%成立以来分红再投入年化收益率2.63%
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前海开源1-3年国开债A(007765) - 历史基金净值数据曲线

最后更新于:2024-12-23

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前海开源1-3年国开债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
2024-12-231.10441.1444
2024-12-201.10361.1436
2024-12-191.10311.1431
2024-12-181.10281.1428
2024-12-171.10261.1426
2024-12-161.10271.1427
2024-12-131.10311.1431
2024-12-121.10221.1422
2024-12-111.10031.1403
2024-12-101.09951.1395
2024-12-091.09891.1389
2024-12-061.09831.1383
2024-12-051.09851.1385
2024-12-041.09891.1389
2024-12-031.09861.1386
2024-12-021.09871.1387
2024-11-291.09751.1375
2024-11-281.09691.1369
2024-11-271.09671.1367
2024-11-261.09661.1366
2024-11-251.09651.1365
2024-11-221.09611.1361
2024-11-211.09601.1360
2024-11-201.09541.1354
2024-11-191.09511.1351
2024-11-181.09491.1349
2024-11-151.09411.1341
2024-11-141.09391.1339
2024-11-131.09441.1344
2024-11-121.09431.1343
2024-11-111.09521.1352
2024-11-081.09601.1360
2024-11-071.09701.1370
2024-11-061.09671.1367
2024-11-051.09671.1367
2024-11-041.09671.1367
2024-11-011.09631.1363
2024-10-311.09601.1360
2024-10-301.09601.1360
2024-10-291.09581.1358
2024-10-281.09571.1357
2024-10-251.09511.1351
2024-10-241.09491.1349
2024-10-231.09461.1346
2024-10-221.09501.1350
2024-10-211.09491.1349
2024-10-181.09321.1332
2024-10-171.09321.1332
2024-10-161.09301.1330
2024-10-151.09311.1331