国联恒安纯债A
(008796.jj)国联基金管理有限公司持有人户数153.00
成立日期2020-03-30
总资产规模
4,918.74万 (2024-09-30)
基金类型债券型当前净值1.0660基金经理石霄蒙吴娜娜管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率2.89%
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国联恒安纯债A(008796) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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国联恒安纯债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
2024-12-201.06601.1390
2024-12-191.06141.1344
2024-12-181.06081.1338
2024-12-171.06421.1372
2024-12-161.06511.1381
2024-12-131.05951.1325
2024-12-121.05551.1285
2024-12-111.05401.1270
2024-12-101.05221.1252
2024-12-091.04381.1168
2024-12-061.04261.1156
2024-12-051.04261.1156
2024-12-041.04221.1152
2024-12-031.03941.1124
2024-12-021.03981.1128
2024-11-291.03611.1091
2024-11-281.03481.1078
2024-11-271.03321.1062
2024-11-261.03331.1063
2024-11-251.03331.1063
2024-11-221.03201.1050
2024-11-211.03151.1045
2024-11-201.03061.1036
2024-11-191.03081.1038
2024-11-181.03031.1033
2024-11-151.03091.1039
2024-11-141.03101.1040
2024-11-131.03051.1035
2024-11-121.03151.1045
2024-11-111.03001.1030
2024-11-081.02901.1020
2024-11-071.02861.1016
2024-11-061.02781.1008
2024-11-051.02821.1012
2024-11-041.02771.1007
2024-11-011.02731.1003
2024-10-311.02631.0993
2024-10-301.02541.0984
2024-10-291.02511.0981
2024-10-281.02481.0978
2024-10-251.02501.0980
2024-10-241.02481.0978
2024-10-231.02471.0977
2024-10-221.02581.0988
2024-10-211.02771.1007
2024-10-181.02791.1009
2024-10-171.02861.1016
2024-10-161.02741.1004
2024-10-151.02801.1010
2024-10-141.02761.1006