建信稳定得利债券A
(000875.jj ) 建信基金管理有限责任公司
基金类型债券型成立日期2014-12-02总资产规模16.44亿 (2025-09-30) 基金净值1.5040 (2025-12-22) 基金经理黎颖芳田元泉管理费用率0.70%管托费用率0.20% (2025-09-10) 持仓换手率55.80% (2025-06-30) 成立以来分红再投入年化收益率4.55% (914 / 7135)
备注 (0): 双击编辑备注
发表讨论

建信稳定得利债券A(000875) - 历史基金净值数据曲线

最后更新于:2025-12-22

数据选项
加载中......
建信稳定得利债券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
2025-12-221.50401.6240
2025-12-191.50101.6210
2025-12-181.49901.6190
2025-12-171.50001.6200
2025-12-161.49401.6140
2025-12-151.49801.6180
2025-12-121.50101.6210
2025-12-111.49901.6190
2025-12-101.50101.6210
2025-12-091.50101.6210
2025-12-081.50201.6220
2025-12-051.50001.6200
2025-12-041.49701.6170
2025-12-031.49701.6170
2025-12-021.49801.6180
2025-12-011.49901.6190
2025-11-281.49601.6160
2025-11-271.49501.6150
2025-11-261.49501.6150
2025-11-251.49401.6140
2025-11-241.49001.6100
2025-11-211.49001.6100
2025-11-201.49801.6180
2025-11-191.49901.6190
2025-11-181.49801.6180
2025-11-171.50001.6200
2025-11-141.50201.6220
2025-11-131.50501.6250
2025-11-121.50301.6230
2025-11-111.50101.6210
2025-11-101.50401.6240
2025-11-071.50401.6240
2025-11-061.50701.6270
2025-11-051.50401.6240
2025-11-041.50201.6220
2025-11-031.50501.6250
2025-10-311.50301.6230
2025-10-301.50401.6240
2025-10-291.50601.6260
2025-10-281.50301.6230
2025-10-271.50401.6240
2025-10-241.50201.6220
2025-10-231.49801.6180
2025-10-221.49701.6170
2025-10-211.49801.6180
2025-10-201.49401.6140
2025-10-171.49301.6130
2025-10-161.49901.6190
2025-10-151.49701.6170
2025-10-141.49201.6120