鹏扬中债-30年期国债ETF
(511090.sh ) 鹏扬基金管理有限公司
基金类型指数型基金(ETF)成立日期2023-05-19总资产规模160.85亿 (2025-05-09) 基金场内规模160.85亿 (2025-05-09) 基金净值124.3520 (2025-05-09) 收盘价格124.4050 (2025-05-09) 收盘价涨跌幅0.06%成交金额94.96亿收盘价溢价率0.04%基金经理施红俊王凯管理费用率0.15%管托费用率0.05% (2024-12-31) 成立以来分红再投入年化收益率14.62%
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鹏扬中债-30年期国债ETF(511090) - 历史基金收盘价数据曲线

最后更新于:2025-05-09

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鹏扬中债-30年期国债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
2025-05-09124.4050124.35201.3035
2025-05-08124.3360124.45741.3046
2025-05-07124.1060124.16821.3017
2025-05-06124.7140124.79351.3079
2025-04-30124.7870124.82191.3082
2025-04-29124.9120124.90291.3090
2025-04-28123.9360124.09381.3009
2025-04-25123.4870123.33271.2933
2025-04-24123.0580123.18211.2918
2025-04-23123.1940123.17121.2917
2025-04-22123.7000123.69261.2969
2025-04-21123.2270123.10621.2911
2025-04-18125.1580125.01731.2952
2025-04-17125.0450124.84441.2934
2025-04-16125.6870125.50141.3000
2025-04-15125.6100125.43501.2994
2025-04-14125.3970125.34921.2985
2025-04-11125.1770125.22041.2972
2025-04-10125.6770125.42541.2993
2025-04-09125.5600125.52191.3002
2025-04-08125.6890125.48081.2998
2025-04-07126.5810126.41561.3092
2025-04-03124.1710124.42211.2892
2025-04-02122.2620122.50221.2700
2025-04-01121.3570121.39091.2589
2025-03-31120.9650121.23241.2573
2025-03-28121.1170121.11251.2561
2025-03-27121.9570121.51141.2601
2025-03-26121.7580121.96871.2647
2025-03-25121.3030121.14481.2564
2025-03-24120.4770120.59361.2509
2025-03-21120.5560120.09811.2460
2025-03-20120.5170120.46571.2497
2025-03-19119.0080118.94291.2344
2025-03-18118.8530118.66931.2317
2025-03-17118.9930118.63101.2313
2025-03-14120.7440120.71841.2522
2025-03-13121.3940120.53821.2504
2025-03-12121.4720121.11161.2561
2025-03-11121.0020120.41341.2491
2025-03-10122.2590121.91371.2641
2025-03-07122.5850122.26821.2677
2025-03-06123.8230123.55341.2805
2025-03-05124.7210124.69811.2920
2025-03-04124.5930124.44321.2894
2025-03-03124.7850124.66011.2916
2025-02-28124.2780124.03901.2854
2025-02-27123.6630123.28791.2779
2025-02-26123.9820123.87571.2838
2025-02-25123.9110123.73531.2824