南方上证基准做市公司债ETF
(511070.sh ) 南方基金管理股份有限公司
基金类型指数型基金(ETF)成立日期2025-01-17总资产规模65.50亿 (2025-05-08) 基金场内规模65.50亿 (2025-05-08) 基金净值100.0750 (2025-05-08) 收盘价格100.2430 (2025-05-09) 收盘价涨跌幅0.03%成交金额25.89亿基金经理董浩陈皓松管理费用率0.15%管托费用率0.05% (2025-04-02) 成立以来分红再投入年化收益率0.11%
备注 (0): 双击编辑备注
发表讨论

南方上证基准做市公司债ETF(511070) - 历史基金净值数据曲线

最后更新于:2025-05-09

数据选项
加载中......
南方上证基准做市公司债ETF历史净值,最多展示50条数据。
日期基金收盘价基金净值基金累计净值
2025-05-09100.2430----
2025-05-08100.2170100.07501.0008
2025-05-07100.0900100.00911.0001
2025-05-06100.048099.99651.0000
2025-04-30100.122099.95150.9995
2025-04-29100.046099.89650.9990
2025-04-2899.955099.87930.9988
2025-04-2599.884099.88100.9988
2025-04-2499.900099.89120.9989
2025-04-2399.940099.92860.9993
2025-04-22100.026099.96840.9997
2025-04-21100.045099.99731.0000
2025-04-18100.0710100.03561.0004
2025-04-17100.0960100.05701.0006
2025-04-16100.1790100.07661.0008
2025-04-15100.1590100.07241.0007
2025-04-14100.1280100.08201.0008
2025-04-11100.1580100.09801.0010
2025-04-10100.1750100.07561.0008
2025-04-09100.2100100.11931.0012
2025-04-08100.1560100.15631.0016
2025-04-07100.2600100.08841.0009
2025-04-03100.000099.80570.9981
2025-04-0299.723099.61910.9962
2025-04-0199.624099.59680.9960
2025-03-3199.608099.57860.9958
2025-03-2899.609099.51670.9952
2025-03-2799.570099.50190.9950
2025-03-2699.532099.44400.9944
2025-03-2599.460099.39470.9939
2025-03-2499.288099.28150.9928
2025-03-2199.204099.25030.9925
2025-03-2099.130099.13160.9913
2025-03-1998.968099.01530.9902
2025-03-1899.002098.95280.9895
2025-03-1798.949099.00190.9900
2025-03-1499.061099.01580.9902
2025-03-1399.102098.99260.9899
2025-03-1299.042098.87610.9888
2025-03-1199.006098.97520.9898
2025-03-1099.106099.13140.9913
2025-03-0799.271099.21890.9922
2025-03-0699.440099.38530.9939
2025-03-0599.470099.42900.9943
2025-03-0499.510099.42740.9943
2025-03-0399.532099.40430.9940
2025-02-2899.520099.44590.9945
2025-02-2799.457099.49960.9950
2025-02-2699.577099.51030.9951
2025-02-2599.531099.51210.9951