汇安裕兴12个月定开纯债债券
(012796.jj)汇安基金管理有限责任公司持有人户数2.00
成立日期2021-10-12
总资产规模
10.83亿 (2024-09-30)
基金类型债券型当前净值1.0731基金经理张昆管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率2.72%
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汇安裕兴12个月定开纯债债券(012796) - 历史基金净值数据曲线

最后更新于:2024-11-08

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汇安裕兴12个月定开纯债债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-11-081.07311.0851
2024-11-071.07321.0852
2024-11-061.07321.0852
2024-11-051.07331.0853
2024-11-041.07231.0843
2024-11-011.07231.0843
2024-10-311.07231.0843
2024-10-301.07231.0843
2024-10-291.07241.0844
2024-10-281.07231.0843
2024-10-251.07231.0843
2024-10-241.07201.0840
2024-10-231.07201.0840
2024-10-221.07241.0844
2024-10-211.07281.0848
2024-10-181.07291.0849
2024-10-171.07311.0851
2024-10-161.07281.0848
2024-10-151.07301.0850
2024-10-141.07291.0849
2024-10-111.07231.0843
2024-10-101.07151.0835
2024-10-091.07041.0824
2024-10-081.07091.0829
2024-09-301.07201.0840
2024-09-271.07301.0850
2024-09-261.07421.0862
2024-09-251.07431.0863
2024-09-241.07321.0852
2024-09-231.07321.0852
2024-09-201.07321.0852
2024-09-191.07321.0852
2024-09-181.07341.0854
2024-09-131.07311.0851
2024-09-121.07301.0850
2024-09-111.07291.0849
2024-09-101.07251.0845
2024-09-091.07241.0844
2024-09-061.07221.0842
2024-09-051.07211.0841
2024-09-041.07201.0840
2024-09-031.07191.0839
2024-09-021.07181.0838
2024-08-301.07121.0832
2024-08-291.07101.0830
2024-08-281.07091.0829
2024-08-271.07061.0826
2024-08-261.07121.0832
2024-08-231.07111.0831
2024-08-221.07091.0829