东海祥苏短债A
(008578.jj ) 东海基金管理有限责任公司
基金类型债券型成立日期2020-03-12总资产规模17.44亿 (2025-12-31) 基金净值1.1771 (2026-02-13) 基金经理邢烨张浩硕梁思琦管理费用率0.30%管托费用率0.08% (2026-01-31) 成立以来分红再投入年化收益率2.79% (4137 / 7216)
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东海祥苏短债A(008578) - 历史基金净值数据曲线

最后更新于:2026-02-13

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东海祥苏短债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
2026-02-131.17711.1771
2026-02-121.17701.1770
2026-02-111.17691.1769
2026-02-101.17681.1768
2026-02-091.17681.1768
2026-02-061.17661.1766
2026-02-051.17651.1765
2026-02-041.17641.1764
2026-02-031.17641.1764
2026-02-021.17641.1764
2026-01-301.17631.1763
2026-01-291.17621.1762
2026-01-281.17621.1762
2026-01-271.17611.1761
2026-01-261.17611.1761
2026-01-231.17601.1760
2026-01-221.17591.1759
2026-01-211.17581.1758
2026-01-201.17571.1757
2026-01-191.17561.1756
2026-01-161.17551.1755
2026-01-151.17541.1754
2026-01-141.17531.1753
2026-01-131.17531.1753
2026-01-121.17521.1752
2026-01-091.17501.1750
2026-01-081.17491.1749
2026-01-071.17481.1748
2026-01-061.17491.1749
2026-01-051.17491.1749
2025-12-311.17461.1746
2025-12-301.17451.1745
2025-12-291.17441.1744
2025-12-261.17441.1744
2025-12-251.17431.1743
2025-12-241.17431.1743
2025-12-231.17431.1743
2025-12-221.17411.1741
2025-12-191.17401.1740
2025-12-181.17381.1738
2025-12-171.17381.1738
2025-12-161.17361.1736
2025-12-151.17351.1735
2025-12-121.17361.1736
2025-12-111.17371.1737
2025-12-101.17351.1735
2025-12-091.17341.1734
2025-12-081.17331.1733
2025-12-051.17331.1733
2025-12-041.17321.1732