融通中国概念债券(QDII)A
(005243.jj ) 融通基金管理有限公司
基金类型QDII成立日期2017-11-27总资产规模11.44亿 (2025-09-30) 基金净值1.1933 (2026-01-08) 基金经理邱小乐管理费用率1.00%管托费用率0.25% (2025-06-30) 成立以来分红再投入年化收益率2.84% (403 / 573)
备注 (1): 双击编辑备注
发表讨论

融通中国概念债券(QDII)A(005243) - 历史基金净值数据曲线

最后更新于:2026-01-08

数据选项
加载中......
融通中国概念债券(QDII)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
2026-01-081.19331.2533
2026-01-071.19471.2547
2026-01-061.19251.2525
2026-01-051.19261.2526
2025-12-301.19421.2542
2025-12-291.19681.2568
2025-12-261.19591.2559
2025-12-251.19511.2551
2025-12-241.19621.2562
2025-12-231.19741.2574
2025-12-221.19831.2583
2025-12-191.19901.2590
2025-12-181.19971.2597
2025-12-171.19891.2589
2025-12-161.19851.2585
2025-12-151.19871.2587
2025-12-121.19871.2587
2025-12-111.19991.2599
2025-12-101.19921.2592
2025-12-091.20001.2600
2025-12-081.20051.2605
2025-12-051.20111.2611
2025-12-041.20201.2620
2025-12-031.20241.2624
2025-12-021.20191.2619
2025-12-011.20281.2628
2025-11-281.20541.2654
2025-11-271.20631.2663
2025-11-261.20611.2661
2025-11-251.20781.2678
2025-11-241.20811.2681
2025-11-211.20791.2679
2025-11-201.20711.2671
2025-11-191.20561.2656
2025-11-181.20651.2665
2025-11-171.20511.2651
2025-11-141.20451.2645
2025-11-131.20491.2649
2025-11-121.20821.2682
2025-11-111.20721.2672
2025-11-101.20681.2668
2025-11-071.20751.2675
2025-11-061.20741.2674
2025-11-051.20681.2668
2025-11-041.20791.2679
2025-11-031.20631.2663
2025-10-311.20601.2660
2025-10-301.20521.2652
2025-10-291.20521.2652
2025-10-281.20741.2674