前海联合添泽债券A
(009349.jj ) 新疆前海联合基金管理有限公司
基金经理孟令上基金类型债券型成立日期2020-06-04总资产规模381.19万 (2026-03-31) 基金净值1.2302 (2026-05-14) 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4.38% (1150 / 7296)
备注 (0): 双击编辑备注
发表讨论

前海联合添泽债券A(009349) - 历史基金净值数据曲线

最后更新于:2026-05-14

数据选项
加载中......
前海联合添泽债券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
2026-05-141.23021.2802
2026-05-131.23171.2817
2026-05-121.23111.2811
2026-05-111.23191.2819
2026-05-081.23121.2812
2026-05-071.23121.2812
2026-05-061.23111.2811
2026-04-301.23121.2812
2026-04-291.23131.2813
2026-04-281.23071.2807
2026-04-271.23051.2805
2026-04-241.23101.2810
2026-04-231.23141.2814
2026-04-221.23181.2818
2026-04-211.23081.2808
2026-04-201.23211.2821
2026-04-171.23241.2824
2026-04-161.23251.2825
2026-04-151.22691.2769
2026-04-141.22551.2755
2026-04-131.22271.2727
2026-04-101.22381.2738
2026-04-091.22441.2744
2026-04-081.22451.2745
2026-04-071.22401.2740
2026-04-031.22381.2738
2026-04-021.22361.2736
2026-04-011.22391.2739
2026-03-311.22361.2736
2026-03-301.22461.2746
2026-03-271.22461.2746
2026-03-261.22431.2743
2026-03-251.22451.2745
2026-03-241.22421.2742
2026-03-231.22341.2734
2026-03-201.22371.2737
2026-03-191.22411.2741
2026-03-181.22481.2748
2026-03-171.22361.2736
2026-03-161.22411.2741
2026-03-131.22561.2756
2026-03-121.22671.2767
2026-03-111.22721.2772
2026-03-101.22741.2774
2026-03-091.22601.2760
2026-03-061.22791.2779
2026-03-051.22761.2776
2026-03-041.22761.2776
2026-03-031.22811.2781
2026-03-021.23151.2815