兴业180天持有期债券A
(016301.jj)兴业基金管理有限公司
成立日期2022-08-17
总资产规模
7,051.33万 (2024-06-30)
基金类型债券型当前净值1.0601基金经理伍方方郭益均管理费用率0.30%管托费用率0.05%成立以来分红再投入年化收益率2.90%
备注 (0): 双击编辑备注
发表讨论

兴业180天持有期债券A(016301) - 历史基金累计净值数据曲线

最后更新于:2024-09-02

数据选项
加载中......
兴业180天持有期债券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
2024-09-021.06011.0601
2024-08-301.05881.0588
2024-08-291.05871.0587
2024-08-281.05871.0587
2024-08-271.05801.0580
2024-08-261.05921.0592
2024-08-231.05931.0593
2024-08-221.05901.0590
2024-08-211.05891.0589
2024-08-201.05901.0590
2024-08-191.05881.0588
2024-08-161.05831.0583
2024-08-151.05821.0582
2024-08-141.05971.0597
2024-08-131.05821.0582
2024-08-121.05691.0569
2024-08-091.05881.0588
2024-08-081.05991.0599
2024-08-071.06101.0610
2024-08-061.05991.0599
2024-08-051.06081.0608
2024-08-021.06061.0606
2024-08-011.06011.0601
2024-07-311.05871.0587
2024-07-301.05791.0579
2024-07-291.05701.0570
2024-07-261.05611.0561
2024-07-251.05551.0555
2024-07-241.05501.0550
2024-07-231.05501.0550
2024-07-221.05361.0536
2024-07-191.05181.0518
2024-07-181.05151.0515
2024-07-171.05161.0516
2024-07-161.05131.0513
2024-07-151.05121.0512
2024-07-121.05061.0506
2024-07-111.05021.0502
2024-07-101.04981.0498
2024-07-091.04981.0498
2024-07-081.04921.0492
2024-07-051.04981.0498
2024-07-041.05041.0504
2024-07-031.05041.0504
2024-07-021.04961.0496
2024-07-011.04761.0476
2024-06-281.04961.0496
2024-06-271.04931.0493
2024-06-261.04831.0483
2024-06-251.04781.0478