国联聚安定期开放债券
(005723.jj ) 国联基金管理有限公司
基金经理霍顺朝基金类型债券型成立日期2018-04-10总资产规模19.25亿 (2026-03-31) 基金净值1.2110 (2026-07-17) 管理费用率0.30%管托费用率0.10% (2026-05-15) 成立以来分红再投入年化收益率3.67% (1666 / 7394)
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国联聚安定期开放债券(005723) - 历史基金净值数据曲线

最后更新于:2026-07-17

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国联聚安定期开放债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-171.21101.3210
2026-07-161.21071.3207
2026-07-151.21091.3209
2026-07-141.21081.3208
2026-07-131.21061.3206
2026-07-101.21071.3207
2026-07-091.21061.3206
2026-07-081.21051.3205
2026-07-071.21021.3202
2026-07-061.21011.3201
2026-07-031.20941.3194
2026-07-021.20961.3196
2026-07-011.20951.3195
2026-06-301.21021.3202
2026-06-291.21071.3207
2026-06-261.21011.3201
2026-06-251.21001.3200
2026-06-241.20941.3194
2026-06-231.20931.3193
2026-06-221.20961.3196
2026-06-181.20961.3196
2026-06-171.20931.3193
2026-06-161.20881.3188
2026-06-151.20801.3180
2026-06-121.20771.3177
2026-06-111.20741.3174
2026-06-101.20821.3182
2026-06-091.20871.3187
2026-06-081.20931.3193
2026-06-051.20981.3198
2026-06-041.21011.3201
2026-06-031.20981.3198
2026-06-021.21001.3200
2026-06-011.20991.3199
2026-05-291.20941.3194
2026-05-281.20911.3191
2026-05-271.20891.3189
2026-05-261.20831.3183
2026-05-251.20781.3178
2026-05-221.20741.3174
2026-05-211.20731.3173
2026-05-201.20731.3173
2026-05-191.20711.3171
2026-05-181.20661.3166
2026-05-151.20621.3162
2026-05-141.20621.3162
2026-05-131.20631.3163
2026-05-121.20601.3160
2026-05-111.20571.3157
2026-05-081.20531.3153