国联恒惠纯债C
(006036.jj ) 国联基金管理有限公司
基金经理汪曼琪基金类型债券型成立日期2018-12-27总资产规模5.38万 (2026-03-31) 基金净值1.1718 (2026-05-22) 管理费用率0.30%管托费用率0.10% (2026-03-04) 成立以来分红再投入年化收益率3.19% (2905 / 7297)
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国联恒惠纯债C(006036) - 历史基金净值数据曲线

最后更新于:2026-05-22

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国联恒惠纯债C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-05-221.17181.2498
2026-05-211.17191.2499
2026-05-201.17201.2500
2026-05-191.17201.2500
2026-05-181.17151.2495
2026-05-151.17131.2493
2026-05-141.17121.2492
2026-05-131.17111.2491
2026-05-121.17111.2491
2026-05-111.17091.2489
2026-05-081.16941.2474
2026-05-071.16941.2474
2026-05-061.16931.2473
2026-04-301.16961.2476
2026-04-291.16991.2479
2026-04-281.16941.2474
2026-04-271.16901.2470
2026-04-241.16951.2475
2026-04-231.16951.2475
2026-04-221.16981.2478
2026-04-211.16951.2475
2026-04-201.16921.2472
2026-04-171.16911.2471
2026-04-161.16851.2465
2026-04-151.16861.2466
2026-04-141.16851.2465
2026-04-131.16841.2464
2026-04-101.16811.2461
2026-04-091.16791.2459
2026-04-081.16801.2460
2026-04-071.16781.2458
2026-04-031.16751.2455
2026-04-021.16721.2452
2026-04-011.16721.2452
2026-03-311.16741.2454
2026-03-301.16751.2455
2026-03-271.16711.2451
2026-03-261.16681.2448
2026-03-251.16671.2447
2026-03-241.16661.2446
2026-03-231.16631.2443
2026-03-201.16611.2441
2026-03-191.16601.2440
2026-03-181.16611.2441
2026-03-171.16571.2437
2026-03-161.16551.2435
2026-03-131.16571.2437
2026-03-121.16581.2438
2026-03-111.16561.2436
2026-03-101.16571.2437