中银证券汇兴定期开放债券
(008863.jj ) 中银国际证券股份有限公司
基金经理王玉玺刘灿基金类型债券型成立日期2020-07-24总资产规模2.03亿 (2026-06-30) 基金净值1.0931 (2026-09-11) 管理费用率0.30%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率3.70% (1578 / 7475)
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中银证券汇兴定期开放债券(008863) - 历史基金净值数据曲线

最后更新于:2026-09-11

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中银证券汇兴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
2026-09-111.09311.2314
2026-09-041.09291.2312
2026-08-281.09201.2303
2026-08-211.09231.2306
2026-08-141.09241.2307
2026-08-071.09161.2299
2026-07-311.09081.2291
2026-07-241.09031.2286
2026-07-171.08921.2275
2026-07-101.08901.2273
2026-07-031.08851.2268
2026-06-301.08901.2273
2026-06-261.08871.2270
2026-06-181.08811.2264
2026-06-121.08661.2249
2026-06-051.08831.2266
2026-05-291.08791.2262
2026-05-221.08601.2243
2026-05-151.08531.2236
2026-05-081.08421.2225
2026-04-301.08421.2225
2026-04-241.08401.2223
2026-04-171.08301.2213
2026-04-101.08171.2200
2026-04-031.08141.2197
2026-03-271.08021.2185
2026-03-201.07961.2179
2026-03-131.07871.2170
2026-03-061.07841.2167
2026-02-271.07711.2154
2026-02-131.07701.2153
2026-02-061.07601.2143
2026-01-301.07511.2134
2026-01-231.07471.2130
2026-01-161.07401.2123
2026-01-091.07311.2114
2025-12-311.07341.2117
2025-12-261.07401.2123
2025-12-191.07351.2118
2025-12-121.07201.2103
2025-12-051.07101.2093
2025-11-281.07161.2099
2025-11-241.07211.2104
2025-11-211.07761.2159
2025-11-201.07941.2177
2025-11-191.08121.2195
2025-11-181.06761.2059
2025-11-171.06761.2059
2025-11-141.06741.2057
2025-11-131.06751.2058