建信中债1-3年农发行债券指数
(009554.jj)(已退市)建信基金管理有限责任公司
成立日期2020-09-28退市时间2023-05-23基金类型指数型基金当前净值--基金经理 -- 成立以来分红再投入年化收益率0.93%
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建信中债1-3年农发行债券指数(009554) - 历史基金累计净值数据曲线

最后更新于:2023-05-23

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建信中债1-3年农发行债券指数历史净值,最多展示50条数据。
日期基金净值基金累计净值
2023-05-230.98121.0265
2023-05-220.98201.0273
2023-05-190.98541.0307
2023-05-180.98631.0316
2023-05-170.98761.0329
2023-05-160.98911.0344
2023-05-150.99061.0359
2023-05-120.99441.0397
2023-05-110.99601.0413
2023-05-100.99661.0419
2023-05-090.99711.0424
2023-05-080.99781.0431
2023-05-051.00051.0458
2023-05-041.00051.0458
2023-04-281.00431.0496
2023-04-271.00481.0501
2023-04-261.00511.0504
2023-04-251.00561.0509
2023-04-241.00641.0517
2023-04-211.00871.0540
2023-04-201.00951.0548
2023-04-191.01051.0558
2023-04-181.01161.0569
2023-04-171.01281.0581
2023-04-141.01691.0622
2023-04-131.01831.0636
2023-04-121.01921.0645
2023-04-111.02021.0655
2023-04-101.02111.0664
2023-04-071.02431.0696
2023-04-061.02511.0704
2023-04-041.02731.0726
2023-04-031.02871.0740
2023-03-311.03091.0762
2023-03-301.03111.0764
2023-03-291.03181.0771
2023-03-281.03211.0774
2023-03-271.03271.0780
2023-03-241.03501.0803
2023-03-231.03601.0813
2023-03-221.03371.0790
2023-03-211.03341.0787
2023-03-201.03351.0788
2023-03-171.03251.0778
2023-03-161.03221.0775
2023-03-151.03211.0774
2023-03-141.03211.0774
2023-03-131.03201.0773
2023-03-101.03201.0773
2023-03-091.03171.0770