诺安聚利债券A
(000736.jj ) 诺安基金管理有限公司
基金类型债券型成立日期2014-11-13总资产规模16.14亿 (2025-09-30) 基金净值1.3757 (2025-12-15) 基金经理郭晓晖管理费用率0.30%管托费用率0.05% (2025-06-30) 成立以来分红再投入年化收益率3.85% (1454 / 7127)
备注 (0): 双击编辑备注
发表讨论

诺安聚利债券A(000736) - 历史基金净值数据曲线

最后更新于:2025-12-15

数据选项
加载中......
诺安聚利债券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
2025-12-151.37571.4967
2025-12-121.37671.4977
2025-12-111.37731.4983
2025-12-101.37651.4975
2025-12-091.37611.4971
2025-12-081.37541.4964
2025-12-051.37561.4966
2025-12-041.37551.4965
2025-12-031.37741.4984
2025-12-021.37801.4990
2025-12-011.37841.4994
2025-11-281.37831.4993
2025-11-271.37791.4989
2025-11-261.37861.4996
2025-11-251.37991.5009
2025-11-241.38051.5015
2025-11-211.38051.5015
2025-11-201.38061.5016
2025-11-191.38041.5014
2025-11-181.38061.5016
2025-11-171.38041.5014
2025-11-141.38001.5010
2025-11-131.37991.5009
2025-11-121.38001.5010
2025-11-111.37961.5006
2025-11-101.37941.5004
2025-11-071.37911.5001
2025-11-061.37961.5006
2025-11-051.38031.5013
2025-11-041.37971.5007
2025-11-031.37921.5002
2025-10-311.37851.4995
2025-10-301.37721.4982
2025-10-291.37641.4974
2025-10-281.37571.4967
2025-10-271.37391.4949
2025-10-241.37321.4942
2025-10-231.37351.4945
2025-10-221.37331.4943
2025-10-211.37271.4937
2025-10-201.37201.4930
2025-10-171.37201.4930
2025-10-161.37021.4912
2025-10-151.36921.4902
2025-10-141.36931.4903
2025-10-131.36921.4902
2025-10-101.36781.4888
2025-10-091.36801.4890
2025-09-301.36711.4881
2025-09-291.36671.4877