国联睿享86个月定开债券A
(008048.jj)国联基金管理有限公司持有人户数18.00
成立日期2019-10-31
总资产规模
146.89亿 (2024-09-30)
基金类型债券型当前净值1.0468基金经理韩正宇管理费用率0.15%管托费用率0.05%成立以来分红再投入年化收益率3.97%
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国联睿享86个月定开债券A(008048) - 历史基金净值数据曲线

最后更新于:2024-12-20

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国联睿享86个月定开债券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
2024-12-201.04681.2048
2024-12-131.05001.2040
2024-12-061.04921.2032
2024-11-291.04841.2024
2024-11-221.04761.2016
2024-11-151.04681.2008
2024-11-081.04601.2000
2024-11-011.04521.1992
2024-10-251.04441.1984
2024-10-181.04361.1976
2024-10-111.04281.1968
2024-09-301.04161.1956
2024-09-271.04131.1953
2024-09-201.04051.1945
2024-09-131.04471.1937
2024-09-061.04391.1929
2024-08-301.04311.1921
2024-08-231.04231.1913
2024-08-161.04151.1905
2024-08-091.04081.1898
2024-08-021.04001.1890
2024-07-261.03921.1882
2024-07-191.03841.1874
2024-07-121.03761.1866
2024-07-051.03681.1858
2024-06-281.03611.1851
2024-06-211.03931.1843
2024-06-141.03851.1835
2024-06-071.03771.1827
2024-05-311.03691.1819
2024-05-241.03621.1812
2024-05-171.03541.1804
2024-05-101.03461.1796
2024-04-301.03351.1785
2024-04-261.03311.1781
2024-04-191.03231.1773
2024-04-121.03151.1765
2024-04-031.03051.1755
2024-03-291.03001.1750
2024-03-221.02921.1742
2024-03-151.04841.1734
2024-03-081.04761.1726
2024-03-011.04681.1718
2024-02-231.04611.1711
2024-02-081.04441.1694
2024-02-021.04381.1688
2024-01-261.04301.1680
2024-01-191.04221.1672
2024-01-121.04151.1665
2024-01-051.04071.1657