嘉合胶东经济圈中高等级信用债一年定开发起式
(016203.jj)嘉合基金管理有限公司持有人户数6.00
成立日期2022-12-08
总资产规模
11.02亿 (2024-09-30)
基金类型债券型当前净值1.0517基金经理李超管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率4.15%
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嘉合胶东经济圈中高等级信用债一年定开发起式(016203) - 历史基金净值数据曲线

最后更新于:2024-12-27

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嘉合胶东经济圈中高等级信用债一年定开发起式历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-271.05171.0857
2024-12-201.05141.0854
2024-12-131.05091.0849
2024-12-061.04931.0833
2024-11-291.04691.0809
2024-11-221.04511.0791
2024-11-151.04411.0781
2024-11-081.04321.0772
2024-11-011.04251.0765
2024-10-251.04341.0774
2024-10-181.04531.0793
2024-10-111.03901.0730
2024-09-301.04191.0759
2024-09-271.04601.0800
2024-09-201.04761.0816
2024-09-131.04761.0816
2024-09-061.04741.0814
2024-08-301.04561.0796
2024-08-231.04741.0814
2024-08-161.04851.0825
2024-08-091.04901.0830
2024-08-021.04971.0837
2024-07-261.04771.0817
2024-07-191.04561.0796
2024-07-121.04441.0784
2024-07-051.04341.0774
2024-06-281.04261.0766
2024-06-211.04151.0755
2024-06-141.04091.0749
2024-06-071.04031.0743
2024-05-311.03881.0728
2024-05-241.03781.0718
2024-05-171.03661.0706
2024-05-101.03521.0692
2024-04-301.03311.0671
2024-04-261.03401.0680
2024-04-191.03371.0677
2024-04-121.03121.0652
2024-04-031.02801.0620
2024-03-291.02701.0610
2024-03-221.02651.0605
2024-03-151.03491.0589
2024-03-081.03601.0600
2024-03-011.03431.0583
2024-02-231.03231.0563
2024-02-081.02911.0531
2024-02-021.02801.0520
2024-01-261.02381.0478
2024-01-191.02191.0459
2024-01-121.02051.0445