长盛稳益6个月A
(007653.jj ) 长盛基金管理有限公司
基金类型债券型成立日期2019-07-26总资产规模49.60亿 (2025-09-30) 基金净值1.0359 (2025-12-26) 基金经理段鹏管理费用率0.15%管托费用率0.05% (2025-12-12)
备注 (0): 双击编辑备注
发表讨论

长盛稳益6个月A(007653) - 历史基金净值数据曲线

最后更新于:2025-12-26

数据选项
加载中......
长盛稳益6个月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
2025-12-261.03591.0586
2025-12-251.03591.0586
2025-12-241.03591.0586
2025-12-231.03591.0586
2025-12-221.03591.0586
2025-12-191.03581.0585
2025-12-181.03581.0585
2025-12-171.03571.0584
2025-12-161.03571.0584
2025-12-151.03571.0584
2025-12-121.03561.0583
2025-12-111.03561.0583
2025-12-101.03561.0583
2025-12-091.03551.0582
2025-12-081.03551.0582
2025-12-051.03541.0581
2025-12-041.03541.0581
2025-12-031.03541.0581
2025-12-021.03541.0581
2025-12-011.03531.0580
2025-11-281.03521.0579
2025-11-271.03521.0579
2025-11-261.03521.0579
2025-11-251.03521.0579
2025-11-241.03521.0579
2025-11-211.03511.0578
2025-11-201.03501.0577
2025-11-191.03501.0577
2025-11-181.03501.0577
2025-11-171.03501.0577
2025-11-141.03491.0576
2025-11-131.03491.0576
2025-11-121.03481.0575
2025-11-111.03481.0575
2025-11-101.03481.0575
2025-11-071.03471.0574
2025-11-061.03471.0574
2025-11-051.03461.0573
2025-11-041.03461.0573
2025-11-031.03461.0573
2025-10-311.03451.0572
2025-10-301.03451.0572
2025-10-291.03451.0572
2025-10-281.03451.0572
2025-10-271.03451.0572
2025-10-241.03431.0570
2025-10-231.03401.0567
2025-10-221.03391.0566
2025-10-211.03381.0565
2025-10-201.03371.0564