浙商汇金聚泓两年定开债A类
(008615.jj)浙江浙商证券资产管理有限公司
成立日期2020-10-30
总资产规模
76.62亿 (2024-06-30)
基金类型债券型当前净值1.0076基金经理程嘉伟白严管理费用率0.15%管托费用率0.05%成立以来分红再投入年化收益率2.69%
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浙商汇金聚泓两年定开债A类(008615) - 历史基金累计净值数据曲线

最后更新于:2024-08-30

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浙商汇金聚泓两年定开债A类历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-08-301.00761.1026
2024-08-231.00711.1021
2024-08-161.00661.1016
2024-08-091.00621.1012
2024-08-021.00571.1007
2024-07-261.00521.1002
2024-07-191.00481.0998
2024-07-121.00431.0993
2024-07-051.00391.0989
2024-06-281.00341.0984
2024-06-211.00301.0980
2024-06-141.00751.0975
2024-06-071.00701.0970
2024-05-311.00661.0966
2024-05-241.00611.0961
2024-05-171.00561.0956
2024-05-101.00521.0952
2024-04-301.00451.0945
2024-04-261.00431.0943
2024-04-191.00381.0938
2024-04-121.00331.0933
2024-04-031.00271.0927
2024-03-291.00241.0924
2024-03-221.00201.0920
2024-03-151.00651.0915
2024-03-081.00601.0910
2024-03-011.00561.0906
2024-02-231.00511.0901
2024-02-081.00421.0892
2024-02-021.00381.0888
2024-01-261.00341.0884
2024-01-191.00291.0879
2024-01-121.00251.0875
2024-01-051.00201.0870
2023-12-291.00161.0866
2023-12-221.00121.0862
2023-12-151.00071.0857
2023-12-081.00831.0853
2023-12-011.00781.0848
2023-11-241.00741.0844
2023-11-171.00691.0839
2023-11-101.00651.0835
2023-11-031.00601.0830
2023-10-271.00561.0826
2023-10-201.00521.0822
2023-10-131.00471.0817
2023-09-281.00401.0810
2023-09-221.00371.0807
2023-09-151.00321.0802
2023-09-081.00781.0798