国泰瑞悦3个月持有债券(FOF)
(016644.jj)持有人户数224.00
成立日期2022-09-23
总资产规模
5.19亿 (2024-09-30)
基金类型FOF当前净值1.0265基金经理曾辉管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率3.20%
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国泰瑞悦3个月持有债券(FOF)(016644) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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国泰瑞悦3个月持有债券(FOF)历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-231.02651.0725
2024-12-181.02351.0695
2024-12-171.02501.0710
2024-12-121.02341.0694
2024-12-111.02161.0676
2024-12-091.04371.0617
2024-12-051.04361.0616
2024-12-041.04331.0613
2024-12-031.04181.0598
2024-12-021.04111.0591
2024-11-291.03971.0577
2024-11-271.03791.0559
2024-11-261.03751.0555
2024-11-251.03771.0557
2024-11-221.03871.0567
2024-11-211.03781.0558
2024-11-201.03631.0543
2024-11-191.03611.0541
2024-11-181.03481.0528
2024-11-141.03761.0556
2024-11-131.03951.0575
2024-11-121.03971.0577
2024-11-111.04011.0581
2024-11-081.03941.0574
2024-11-071.03881.0568
2024-11-061.04011.0581
2024-11-051.04031.0583
2024-11-041.04001.0580
2024-11-011.04041.0584
2024-10-311.04131.0593
2024-10-301.04201.0600
2024-10-291.04081.0588
2024-10-281.04051.0585
2024-10-251.03991.0579
2024-10-231.04131.0593
2024-10-221.04081.0588
2024-10-211.04081.0588
2024-10-181.03931.0573
2024-10-171.03791.0559
2024-10-161.03751.0555
2024-10-151.03581.0538
2024-10-141.03561.0536
2024-10-111.03341.0514
2024-10-101.03301.0510
2024-10-091.03211.0501
2024-10-081.03601.0540
2024-09-261.03731.0553
2024-09-251.03631.0543
2024-09-241.03531.0533
2024-09-231.03371.0517