景顺长城弘远66个月定期开放债券
(009235.jj ) 景顺长城基金管理有限公司
基金类型债券型成立日期2020-07-16总资产规模86.16亿 (2025-12-31) 基金净值1.0700 (2026-02-27) 基金经理何江波管理费用率0.15%管托费用率0.05% (2025-06-30) 成立以来分红再投入年化收益率3.68% (1878 / 7191)
备注 (0): 双击编辑备注
发表讨论

景顺长城弘远66个月定期开放债券(009235) - 历史基金净值数据曲线

最后更新于:2026-02-27

数据选项
加载中......
景顺长城弘远66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
2026-02-271.07001.2153
2026-02-261.07001.2153
2026-02-251.06991.2152
2026-02-241.06991.2152
2026-02-131.06931.2146
2026-02-121.06931.2146
2026-02-111.06921.2145
2026-02-101.06921.2145
2026-02-091.06921.2145
2026-02-061.06901.2143
2026-02-051.06901.2143
2026-02-041.06891.2142
2026-02-031.06891.2142
2026-02-021.06881.2141
2026-01-301.06871.2140
2026-01-291.06861.2139
2026-01-281.06861.2139
2026-01-271.06861.2139
2026-01-261.06851.2138
2026-01-231.06841.2137
2026-01-221.06831.2136
2026-01-211.06831.2136
2026-01-201.06811.2134
2026-01-191.06811.2134
2026-01-161.06801.2133
2026-01-151.06801.2133
2026-01-141.06801.2133
2026-01-131.06791.2132
2026-01-121.06791.2132
2026-01-091.06781.2131
2026-01-081.07751.2131
2026-01-071.07751.2131
2026-01-061.07741.2130
2026-01-051.07741.2130
2025-12-311.07701.2126
2025-12-301.07691.2125
2025-12-291.07681.2124
2025-12-261.07651.2121
2025-12-251.07641.2120
2025-12-241.07631.2119
2025-12-231.07631.2119
2025-12-221.07621.2118
2025-12-191.07591.2115
2025-12-181.07581.2114
2025-12-171.07571.2113
2025-12-161.07561.2112
2025-12-151.07561.2112
2025-12-121.07531.2109
2025-12-111.07521.2108
2025-12-101.07511.2107