创金合信尊丰纯债D
(021396.jj)创金合信基金管理有限公司
成立日期2024-04-30基金类型债券型当前净值1.1417基金经理郑振源管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率-3.37%
备注 (0): 双击编辑备注
发表讨论

创金合信尊丰纯债D(021396) - 历史基金净值数据曲线

最后更新于:2024-12-25

数据选项
加载中......
创金合信尊丰纯债D历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-251.14171.1417
2024-12-241.14211.1421
2024-12-231.14241.1424
2024-12-201.14191.1419
2024-12-191.14111.1411
2024-12-181.14101.1410
2024-12-171.14131.1413
2024-12-161.14161.1416
2024-12-131.14101.1410
2024-12-121.14001.1400
2024-12-111.13971.1397
2024-12-101.13971.1397
2024-12-091.13871.1387
2024-12-061.13851.1385
2024-12-051.13841.1384
2024-12-041.13811.1381
2024-12-031.13761.1376
2024-12-021.13751.1375
2024-11-291.13631.1363
2024-11-281.13591.1359
2024-11-271.13561.1356
2024-11-261.13551.1355
2024-11-251.13541.1354
2024-11-221.13501.1350
2024-11-211.13481.1348
2024-11-201.13471.1347
2024-11-191.13461.1346
2024-11-181.13451.1345
2024-11-151.13451.1345
2024-11-141.13421.1342
2024-11-131.13411.1341
2024-11-121.13401.1340
2024-11-111.13381.1338
2024-11-081.13351.1335
2024-11-071.13331.1333
2024-11-061.13291.1329
2024-11-051.13261.1326
2024-11-041.13251.1325
2024-11-011.13211.1321
2024-10-311.13151.1315
2024-10-301.13131.1313
2024-10-291.13121.1312
2024-10-281.13131.1313
2024-10-251.13121.1312
2024-10-241.13131.1313
2024-10-231.13131.1313
2024-10-221.13181.1318
2024-10-211.13211.1321
2024-10-181.13211.1321
2024-10-171.13211.1321