广发集嘉债券C
(006141.jj )
基金经理李晓博王海涛刘兴旺基金类型债券型成立日期2018-12-25总资产规模10.56亿 (2026-06-30) 基金净值1.3618 (2026-08-21) 管理费用率0.70%管托费用率0.20% (2026-07-06) 成立以来分红再投入年化收益率6.36% (288 / 7420)
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广发集嘉债券C(006141) - 历史基金净值数据曲线

最后更新于:2026-08-21

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广发集嘉债券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
2026-08-211.36181.5617
2026-08-201.36091.5608
2026-08-191.35811.5580
2026-08-181.39411.5940
2026-08-171.39711.5970
2026-08-141.37501.5749
2026-08-131.36931.5692
2026-08-121.38081.5807
2026-08-111.37281.5727
2026-08-101.37931.5792
2026-08-071.38501.5849
2026-08-061.37071.5706
2026-08-051.36651.5664
2026-08-041.34661.5465
2026-08-031.32011.5200
2026-07-311.33161.5315
2026-07-301.31951.5194
2026-07-291.34371.5436
2026-07-281.34291.5428
2026-07-271.38121.5811
2026-07-241.35611.5560
2026-07-231.36421.5641
2026-07-221.36521.5651
2026-07-211.37531.5752
2026-07-201.34361.5435
2026-07-171.35901.5589
2026-07-161.39431.5942
2026-07-151.41541.6153
2026-07-141.43011.6300
2026-07-131.40891.6088
2026-07-101.43881.6387
2026-07-091.45631.6562
2026-07-081.43541.6353
2026-07-071.44641.6463
2026-07-061.46751.6674
2026-07-031.47921.6791
2026-07-021.48221.6821
2026-07-011.51151.7114
2026-06-301.50881.7087
2026-06-291.48381.6837
2026-06-261.49651.6964
2026-06-251.51391.7138
2026-06-241.50251.7024
2026-06-231.48741.6873
2026-06-221.50491.7048
2026-06-181.50851.7084
2026-06-171.51431.7142
2026-06-161.49791.6978
2026-06-151.47621.6761
2026-06-121.43321.6331