前海联合添和纯债C
(003499.jj ) 新疆前海联合基金管理有限公司
基金经理张文基金类型债券型成立日期2016-12-07总资产规模187.50万 (2026-03-31) 基金净值1.1370 (2026-07-10) 管理费用率0.30%管托费用率0.10% (2026-07-03) 成立以来分红再投入年化收益率3.00% (3311 / 7386)
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前海联合添和纯债C(003499) - 历史基金净值数据曲线

最后更新于:2026-07-10

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前海联合添和纯债C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-101.13701.3016
2026-07-091.13691.3015
2026-07-081.13691.3015
2026-07-071.13661.3012
2026-07-061.13651.3011
2026-07-031.13611.3007
2026-07-021.13611.3007
2026-07-011.13571.3003
2026-06-301.13651.3011
2026-06-291.13691.3015
2026-06-261.13631.3009
2026-06-251.13601.3006
2026-06-241.13571.3003
2026-06-231.13561.3002
2026-06-221.13581.3004
2026-06-181.13581.3004
2026-06-171.13541.3000
2026-06-161.13501.2996
2026-06-151.13451.2991
2026-06-121.13451.2991
2026-06-111.13431.2989
2026-06-101.13461.2992
2026-06-091.13521.2998
2026-06-081.13561.3002
2026-06-051.13591.3005
2026-06-041.13621.3008
2026-06-031.13591.3005
2026-06-021.13611.3007
2026-06-011.13601.3006
2026-05-291.13591.3005
2026-05-281.13561.3002
2026-05-271.13491.2995
2026-05-261.13441.2990
2026-05-251.13421.2988
2026-05-221.13401.2986
2026-05-211.13431.2989
2026-05-201.13431.2989
2026-05-191.13421.2988
2026-05-181.13361.2982
2026-05-151.13311.2977
2026-05-141.13291.2975
2026-05-131.13301.2976
2026-05-121.13271.2973
2026-05-111.13261.2972
2026-05-081.13221.2968
2026-05-071.13211.2967
2026-05-061.13191.2965
2026-04-301.13221.2968
2026-04-291.13231.2969
2026-04-281.13181.2964