中信保诚景丰A
(006789.jj ) 中信保诚基金管理有限公司
基金类型债券型成立日期2019-01-15总资产规模1.08亿 (2025-12-31) 基金净值1.0594 (2026-02-11) 基金经理顾飞辰管理费用率0.30%管托费用率0.10% (2026-01-22) 成立以来分红再投入年化收益率3.41% (2435 / 7215)
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中信保诚景丰A(006789) - 历史基金累计净值数据曲线

最后更新于:2026-02-11

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中信保诚景丰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
2026-02-111.05941.2433
2026-02-101.05931.2432
2026-02-091.05951.2434
2026-02-061.05901.2429
2026-02-051.05861.2425
2026-02-041.05831.2422
2026-02-031.05821.2421
2026-02-021.05811.2420
2026-01-301.05801.2419
2026-01-291.05801.2419
2026-01-281.05791.2418
2026-01-271.05771.2416
2026-01-261.05771.2416
2026-01-231.05771.2416
2026-01-221.05731.2412
2026-01-211.05751.2414
2026-01-201.05731.2412
2026-01-191.05701.2409
2026-01-161.05691.2408
2026-01-151.05651.2404
2026-01-141.05641.2403
2026-01-131.05621.2401
2026-01-121.05611.2400
2026-01-091.05581.2397
2026-01-081.05551.2394
2026-01-071.05511.2390
2026-01-061.05521.2391
2026-01-051.05581.2397
2025-12-311.05581.2397
2025-12-301.05581.2397
2025-12-291.05581.2397
2025-12-261.05641.2403
2025-12-251.05641.2403
2025-12-241.05641.2403
2025-12-231.05641.2403
2025-12-221.05611.2400
2025-12-191.05611.2400
2025-12-181.05561.2395
2025-12-171.05541.2393
2025-12-161.05491.2388
2025-12-151.05481.2387
2025-12-121.05511.2390
2025-12-111.05531.2392
2025-12-101.05481.2387
2025-12-091.05441.2383
2025-12-081.05401.2379
2025-12-051.05391.2378
2025-12-041.05361.2375
2025-12-031.05441.2383
2025-12-021.05481.2387