浦银安盛普嘉87个月定开债券C
(009633.jj ) 浦银安盛基金管理有限公司
基金经理李羿基金类型债券型成立日期2020-06-24总资产规模2,012.72 (2026-03-31) 基金净值1.0130 (2026-04-17) 管理费用率0.15%管托费用率0.05% (2025-06-20)
备注 (0): 双击编辑备注
发表讨论

浦银安盛普嘉87个月定开债券C(009633) - 历史基金净值数据曲线

最后更新于:2026-04-17

数据选项
加载中......
浦银安盛普嘉87个月定开债券C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-04-171.01301.2330
2026-04-101.01211.2321
2026-04-031.01121.2312
2026-03-271.01041.2304
2026-03-241.01001.2300
2026-03-201.02951.2295
2026-03-131.02861.2286
2026-03-061.02781.2278
2026-02-271.02691.2269
2026-02-131.02521.2252
2026-02-061.02431.2243
2026-01-301.02351.2235
2026-01-231.02261.2226
2026-01-161.02181.2218
2026-01-091.02091.2209
2025-12-311.01991.2199
2025-12-261.01931.2193
2025-12-191.01841.2184
2025-12-121.01751.2175
2025-12-051.01671.2167
2025-11-281.01581.2158
2025-11-211.01491.2149
2025-11-141.01411.2141
2025-11-071.01321.2132
2025-10-311.01231.2123
2025-10-241.01141.2114
2025-10-171.01061.2106
2025-10-101.00971.2097
2025-09-301.00851.2085
2025-09-261.00801.2080
2025-09-231.00761.2076
2025-09-191.01721.2072
2025-09-121.01631.2063
2025-09-051.01541.2054
2025-08-291.01451.2045
2025-08-221.01361.2036
2025-08-151.01281.2028
2025-08-081.01191.2019
2025-08-011.01101.2010
2025-07-251.01021.2002
2025-07-181.00931.1993
2025-07-111.00851.1985
2025-07-041.00761.1976
2025-06-301.00711.1971
2025-06-271.00681.1968
2025-06-241.00641.1964
2025-06-201.01591.1959
2025-06-131.01511.1951
2025-06-061.01421.1942
2025-05-301.01341.1934