国联聚通定期开放债券
(007175.jj ) 国联基金管理有限公司
基金类型债券型成立日期2019-11-22总资产规模6.95亿 (2025-09-30) 基金净值1.0986 (2026-01-21) 基金经理王玥石霄蒙管理费用率0.30%管托费用率0.10% (2025-11-14) 成立以来分红再投入年化收益率3.96% (1533 / 7187)
备注 (0): 双击编辑备注
发表讨论

国联聚通定期开放债券(007175) - 历史基金累计净值数据曲线

最后更新于:2026-01-21

数据选项
加载中......
国联聚通定期开放债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-01-211.09861.2531
2026-01-201.09811.2526
2026-01-191.09791.2524
2026-01-161.09761.2521
2026-01-151.09731.2518
2026-01-141.09711.2516
2026-01-131.09711.2516
2026-01-121.09691.2514
2026-01-091.09661.2511
2026-01-081.09651.2510
2026-01-071.09621.2507
2026-01-061.09641.2509
2026-01-051.09671.2512
2025-12-311.09651.2510
2025-12-301.09641.2509
2025-12-291.09621.2507
2025-12-261.09661.2511
2025-12-251.09641.2509
2025-12-241.09621.2507
2025-12-231.09601.2505
2025-12-221.09571.2502
2025-12-191.09561.2501
2025-12-181.09531.2498
2025-12-171.09511.2496
2025-12-161.09481.2493
2025-12-151.09471.2492
2025-12-121.09491.2494
2025-12-111.09481.2493
2025-12-101.09441.2489
2025-12-091.09431.2488
2025-12-081.09401.2485
2025-12-051.09401.2485
2025-12-041.09391.2484
2025-12-031.09481.2493
2025-12-021.09501.2495
2025-12-011.09511.2496
2025-11-281.09501.2495
2025-11-271.09481.2493
2025-11-261.09531.2498
2025-11-251.09591.2504
2025-11-241.09611.2506
2025-11-211.09601.2505
2025-11-201.09611.2506
2025-11-191.09611.2506
2025-11-181.09611.2506
2025-11-171.09601.2505
2025-11-141.09581.2503
2025-11-131.09571.2502
2025-11-121.09571.2502
2025-11-111.09551.2500