创金合信聚鑫债券C
(012318.jj ) 创金合信基金管理有限公司
基金类型债券型成立日期2021-08-12总资产规模851.04万 (2025-12-31) 基金净值0.9413 (2026-02-13) 基金经理张贺章李添峰王先伟管理费用率0.60%管托费用率0.10% (2026-01-21) 成立以来分红再投入年化收益率-1.33% (7178 / 7216)
备注 (0): 双击编辑备注
发表讨论

创金合信聚鑫债券C(012318) - 历史基金净值数据曲线

最后更新于:2026-02-13

数据选项
加载中......
创金合信聚鑫债券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
2026-02-130.94130.9413
2026-02-120.93790.9379
2026-02-110.93620.9362
2026-02-100.93750.9375
2026-02-090.93800.9380
2026-02-060.93270.9327
2026-02-050.93590.9359
2026-02-040.94020.9402
2026-02-030.94290.9429
2026-02-020.93290.9329
2026-01-300.95240.9524
2026-01-290.95080.9508
2026-01-280.96920.9692
2026-01-270.96480.9648
2026-01-260.95540.9554
2026-01-230.96220.9622
2026-01-220.96150.9615
2026-01-210.96540.9654
2026-01-200.96000.9600
2026-01-190.96210.9621
2026-01-160.96310.9631
2026-01-150.96090.9609
2026-01-140.95670.9567
2026-01-130.95320.9532
2026-01-120.95810.9581
2026-01-090.95330.9533
2026-01-080.95080.9508
2026-01-070.95370.9537
2026-01-060.94950.9495
2026-01-050.94330.9433
2025-12-310.93360.9336
2025-12-300.93530.9353
2025-12-290.93470.9347
2025-12-260.93640.9364
2025-12-250.93520.9352
2025-12-240.93460.9346
2025-12-230.93380.9338
2025-12-220.93260.9326
2025-12-190.92970.9297
2025-12-180.92840.9284
2025-12-170.93030.9303
2025-12-160.92400.9240
2025-12-150.92810.9281
2025-12-120.93000.9300
2025-12-110.92740.9274
2025-12-100.93020.9302
2025-12-090.93060.9306
2025-12-080.93210.9321
2025-12-050.92940.9294
2025-12-040.92610.9261