中航瑞晨87个月定开债A
(010485.jj)中航基金管理有限公司持有人户数267.00
成立日期2020-11-23
总资产规模
81.39亿 (2024-09-30)
基金类型债券型当前净值1.0238基金经理茅勇峰管理费用率0.15%管托费用率0.05%成立以来分红再投入年化收益率4.39%
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中航瑞晨87个月定开债A(010485) - 历史基金净值数据曲线

最后更新于:2024-12-20

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中航瑞晨87个月定开债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
2024-12-201.02381.1788
2024-12-131.02791.1779
2024-12-061.02701.1770
2024-11-291.02611.1761
2024-11-221.02521.1752
2024-11-151.02431.1743
2024-11-081.02351.1735
2024-11-011.02251.1725
2024-10-251.02171.1717
2024-10-181.02081.1708
2024-10-111.01991.1699
2024-09-301.01861.1686
2024-09-271.01821.1682
2024-09-201.02741.1674
2024-09-131.02651.1665
2024-09-061.02561.1656
2024-08-301.02481.1648
2024-08-231.02391.1639
2024-08-161.02301.1630
2024-08-091.02221.1622
2024-08-021.02131.1613
2024-07-261.02041.1604
2024-07-191.01961.1596
2024-07-121.01871.1587
2024-07-051.01781.1578
2024-06-281.01701.1570
2024-06-211.01621.1562
2024-06-141.02531.1553
2024-06-071.02441.1544
2024-05-311.02361.1536
2024-05-241.02271.1527
2024-05-171.02181.1518
2024-05-101.02101.1510
2024-04-301.01971.1497
2024-04-261.01931.1493
2024-04-191.01841.1484
2024-04-121.01751.1475
2024-04-031.01641.1464
2024-03-291.01581.1458
2024-03-221.01501.1450
2024-03-151.02411.1441
2024-03-081.02321.1432
2024-03-011.02241.1424
2024-02-231.02151.1415
2024-02-081.01971.1397
2024-02-021.01901.1390
2024-01-261.01821.1382
2024-01-191.01731.1373
2024-01-121.01651.1365
2024-01-051.01561.1356