国泰盛合三个月定期开放债券
(007532.jj ) 国泰基金管理有限公司
基金经理李铭一基金类型债券型成立日期2019-10-25总资产规模5,996.52万 (2026-03-31) 基金净值1.1605 (2026-07-10) 管理费用率0.30%管托费用率0.10% (2025-12-31) 成立以来分红再投入年化收益率2.99% (3327 / 7386)
备注 (0): 双击编辑备注
发表讨论

国泰盛合三个月定期开放债券(007532) - 历史基金净值数据曲线

最后更新于:2026-07-10

数据选项
加载中......
国泰盛合三个月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
2026-07-101.16051.2104
2026-07-091.16051.2104
2026-07-081.16061.2105
2026-07-071.16041.2103
2026-07-061.16051.2104
2026-07-031.16031.2102
2026-07-021.16021.2101
2026-07-011.16011.2100
2026-06-301.16091.2108
2026-06-291.16151.2114
2026-06-261.16051.2104
2026-06-251.16031.2102
2026-06-241.15991.2098
2026-06-231.15981.2097
2026-06-221.16001.2099
2026-06-181.15991.2098
2026-06-171.15971.2096
2026-06-161.15941.2093
2026-06-151.15871.2086
2026-06-121.15851.2084
2026-06-111.15821.2081
2026-06-101.15861.2085
2026-06-091.15881.2087
2026-06-081.15891.2088
2026-06-051.15891.2088
2026-06-041.15911.2090
2026-06-031.15881.2087
2026-06-021.15911.2090
2026-06-011.15911.2090
2026-05-291.15861.2085
2026-05-281.15851.2084
2026-05-271.15831.2082
2026-05-261.15801.2079
2026-05-251.15761.2075
2026-05-221.15741.2073
2026-05-211.15741.2073
2026-05-201.15751.2074
2026-05-191.15761.2075
2026-05-181.15681.2067
2026-05-151.15661.2065
2026-05-141.15661.2065
2026-05-131.15661.2065
2026-05-121.15631.2062
2026-05-111.15581.2057
2026-05-081.15541.2053
2026-05-071.15531.2052
2026-05-061.15521.2051
2026-04-301.15531.2052
2026-04-291.15551.2054
2026-04-281.15501.2049