国联恒裕纯债A
(005931.jj ) 国联基金管理有限公司
基金经理王玥茹昱基金类型债券型成立日期2018-10-26总资产规模19.69亿 (2025-12-31) 基金净值1.0074 (2026-04-16) 管理费用率0.30%管托费用率0.10% (2025-12-31) 成立以来分红再投入年化收益率3.04% (3320 / 7243)
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国联恒裕纯债A(005931) - 历史基金净值数据曲线

最后更新于:2026-04-16

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国联恒裕纯债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
2026-04-161.00741.2327
2026-04-151.00721.2325
2026-04-141.00701.2323
2026-04-131.00691.2322
2026-04-101.00671.2320
2026-04-091.00641.2317
2026-04-081.00651.2318
2026-04-071.00651.2318
2026-04-031.00631.2316
2026-04-021.00591.2312
2026-04-011.00591.2312
2026-03-311.00611.2314
2026-03-301.00611.2314
2026-03-271.00551.2308
2026-03-261.00531.2306
2026-03-251.00521.2305
2026-03-241.01021.2305
2026-03-231.01001.2303
2026-03-201.00991.2302
2026-03-191.00981.2301
2026-03-181.00971.2300
2026-03-171.00931.2296
2026-03-161.00901.2293
2026-03-131.00921.2295
2026-03-121.00911.2294
2026-03-111.00861.2289
2026-03-101.00871.2290
2026-03-091.00871.2290
2026-03-061.00941.2297
2026-03-051.00941.2297
2026-03-041.00931.2296
2026-03-031.00881.2291
2026-03-021.00871.2290
2026-02-271.00801.2283
2026-02-261.00781.2281
2026-02-251.00831.2286
2026-02-241.00871.2290
2026-02-131.00821.2285
2026-02-121.00811.2284
2026-02-111.00801.2283
2026-02-101.00781.2281
2026-02-091.00771.2280
2026-02-061.00741.2277
2026-02-051.00711.2274
2026-02-041.00681.2271
2026-02-031.00681.2271
2026-02-021.00681.2271
2026-01-301.00661.2269
2026-01-291.00661.2269
2026-01-281.00641.2267