建信稳定鑫利债券A
(003583.jj ) 建信基金管理有限责任公司
基金类型债券型成立日期2017-01-06总资产规模2.05亿 (2025-12-31) 基金净值1.1183 (2026-02-06) 基金经理李峰崔博俭管理费用率0.30%管托费用率0.05% (2025-09-23) 成立以来分红再投入年化收益率3.58% (2025 / 7210)
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建信稳定鑫利债券A(003583) - 历史基金净值数据曲线

最后更新于:2026-02-06

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建信稳定鑫利债券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
2026-02-061.11831.3433
2026-02-051.11831.3433
2026-02-041.11821.3432
2026-02-031.11821.3432
2026-02-021.11811.3431
2026-01-301.11801.3430
2026-01-291.11801.3430
2026-01-281.11791.3429
2026-01-271.11791.3429
2026-01-261.11781.3428
2026-01-231.11771.3427
2026-01-221.11761.3426
2026-01-211.11761.3426
2026-01-201.11751.3425
2026-01-191.11741.3424
2026-01-161.11731.3423
2026-01-151.11721.3422
2026-01-141.11721.3422
2026-01-131.11721.3422
2026-01-121.11721.3422
2026-01-091.11701.3420
2026-01-081.11701.3420
2026-01-071.11691.3419
2026-01-061.11691.3419
2026-01-051.11691.3419
2025-12-311.11661.3416
2025-12-301.11651.3415
2025-12-291.11651.3415
2025-12-261.11631.3413
2025-12-251.11631.3413
2025-12-241.11631.3413
2025-12-231.11631.3413
2025-12-221.11621.3412
2025-12-191.11601.3410
2025-12-181.11601.3410
2025-12-171.11591.3409
2025-12-161.11581.3408
2025-12-151.11581.3408
2025-12-121.11571.3407
2025-12-111.11571.3407
2025-12-101.11571.3407
2025-12-091.11561.3406
2025-12-081.11561.3406
2025-12-051.11551.3405
2025-12-041.11541.3404
2025-12-031.11551.3405
2025-12-021.11541.3404
2025-12-011.11541.3404
2025-11-281.11521.3402
2025-11-271.11521.3402