银河景行3个月定开债券
(005790.jj ) 银河基金管理有限公司
基金经理何晶陈舜键基金类型债券型成立日期2018-06-13总资产规模15.67亿 (2026-03-31) 基金净值1.0849 (2026-05-14) 管理费用率0.30%管托费用率0.10% (2026-03-31) 成立以来分红再投入年化收益率3.96% (1508 / 7294)
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银河景行3个月定开债券(005790) - 历史基金累计净值数据曲线

最后更新于:2026-05-14

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银河景行3个月定开债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-05-141.08491.3166
2026-05-131.08471.3164
2026-05-121.08441.3161
2026-05-111.08411.3158
2026-05-081.08391.3156
2026-05-071.08371.3154
2026-05-061.08371.3154
2026-04-301.08371.3154
2026-04-291.08361.3153
2026-04-281.08341.3151
2026-04-271.08321.3149
2026-04-241.08341.3151
2026-04-231.08351.3152
2026-04-221.08341.3151
2026-04-211.08321.3149
2026-04-201.08301.3147
2026-04-171.08271.3144
2026-04-161.08251.3142
2026-04-151.08241.3141
2026-04-141.08231.3140
2026-04-131.08221.3139
2026-04-101.08211.3138
2026-04-091.08201.3137
2026-04-081.08191.3136
2026-04-071.08171.3134
2026-04-031.08111.3128
2026-04-021.08071.3124
2026-04-011.08041.3121
2026-03-311.08031.3120
2026-03-301.08011.3118
2026-03-271.07981.3115
2026-03-261.07961.3113
2026-03-251.07941.3111
2026-03-241.07921.3109
2026-03-231.07901.3107
2026-03-201.07901.3107
2026-03-191.07881.3105
2026-03-181.07851.3102
2026-03-171.07811.3098
2026-03-161.07791.3096
2026-03-131.07781.3095
2026-03-121.07761.3093
2026-03-111.07751.3092
2026-03-101.07741.3091
2026-03-091.07721.3089
2026-03-061.07751.3092
2026-03-051.07731.3090
2026-03-041.07711.3088
2026-03-031.07681.3085
2026-03-021.07671.3084