光大保德信尊颐纯债一年债券发起式
(016032.jj)光大保德信基金管理有限公司持有人户数2.00
成立日期2022-09-28
总资产规模
5.12亿 (2024-09-30)
基金类型债券型当前净值1.0441基金经理李怀定管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率4.69%
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光大保德信尊颐纯债一年债券发起式(016032) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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光大保德信尊颐纯债一年债券发起式历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.04411.1057
2024-12-131.04271.1043
2024-12-061.03681.0984
2024-11-291.03251.0941
2024-11-221.02921.0908
2024-11-151.02861.0902
2024-11-081.02711.0887
2024-11-071.02681.0884
2024-11-061.02611.0877
2024-11-051.02591.0875
2024-11-041.02551.0871
2024-11-011.02511.0867
2024-10-251.02421.0858
2024-10-181.02621.0878
2024-10-111.02261.0842
2024-09-301.02281.0844
2024-09-271.02601.0876
2024-09-201.07611.0898
2024-09-131.07571.0894
2024-09-061.07401.0877
2024-08-301.07141.0851
2024-08-231.07171.0854
2024-08-161.07211.0858
2024-08-091.07291.0866
2024-08-021.07411.0878
2024-07-261.07131.0850
2024-07-191.06831.0820
2024-07-121.06721.0809
2024-07-051.06651.0802
2024-06-281.06591.0796
2024-06-211.06401.0777
2024-06-141.06341.0771
2024-06-071.06241.0761
2024-05-311.06001.0737
2024-05-241.05891.0726
2024-05-171.05751.0712
2024-05-101.05591.0696
2024-04-301.05391.0676
2024-04-261.05511.0688
2024-04-191.05601.0697
2024-04-121.05291.0666
2024-04-031.04841.0621
2024-03-291.04671.0604
2024-03-221.04521.0589
2024-03-151.04271.0564
2024-03-081.04501.0587
2024-03-011.04261.0563
2024-02-231.04101.0547
2024-02-081.03691.0506
2024-02-021.03621.0499