新华聚利债券C
(006897.jj ) 新华基金管理股份有限公司
基金经理姚海明基金类型债券型成立日期2019-04-11总资产规模28.71万 (2026-03-31) 基金净值1.2002 (2026-05-22) 管理费用率0.30%管托费用率0.10% (2025-12-25) 成立以来分红再投入年化收益率2.81% (4058 / 7297)
备注 (0): 双击编辑备注
发表讨论

新华聚利债券C(006897) - 历史基金净值数据曲线

最后更新于:2026-05-22

数据选项
加载中......
新华聚利债券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
2026-05-221.20021.2567
2026-05-211.20051.2570
2026-05-201.20061.2571
2026-05-191.20061.2571
2026-05-181.19991.2564
2026-05-151.19971.2562
2026-05-141.19961.2561
2026-05-131.19971.2562
2026-05-121.19921.2557
2026-05-111.19881.2553
2026-05-081.19821.2547
2026-05-071.19801.2545
2026-05-061.19771.2542
2026-04-301.19821.2547
2026-04-291.19851.2550
2026-04-281.19791.2544
2026-04-271.19741.2539
2026-04-241.19801.2545
2026-04-231.19841.2549
2026-04-221.19871.2552
2026-04-211.19851.2550
2026-04-201.19821.2547
2026-04-171.19791.2544
2026-04-161.19721.2537
2026-04-151.19681.2533
2026-04-141.19651.2530
2026-04-131.19641.2529
2026-04-101.19611.2526
2026-04-091.19591.2524
2026-04-081.19591.2524
2026-04-071.19571.2522
2026-04-031.19531.2518
2026-04-021.19481.2513
2026-04-011.19461.2511
2026-03-311.19481.2513
2026-03-301.19491.2514
2026-03-271.19431.2508
2026-03-261.19411.2506
2026-03-251.19391.2504
2026-03-241.19381.2503
2026-03-231.19381.2503
2026-03-201.19401.2505
2026-03-191.19381.2503
2026-03-181.19371.2502
2026-03-171.19321.2497
2026-03-161.19291.2494
2026-03-131.19311.2496
2026-03-121.19291.2494
2026-03-111.19251.2490
2026-03-101.19251.2490