创金合信聚鑫债券C
(012318.jj )
基金经理张贺章李添峰王先伟基金类型债券型成立日期2021-08-12总资产规模3.35亿 (2026-06-30) 基金净值0.9520 (2026-09-01) 管理费用率0.60%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率-0.97% (7346 / 7457)
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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:2026-09-01

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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
2026-09-010.95200.9520
2026-08-310.95340.9534
2026-08-280.95040.9504
2026-08-270.95240.9524
2026-08-260.94720.9472
2026-08-250.94550.9455
2026-08-240.94680.9468
2026-08-210.95400.9540
2026-08-200.95020.9502
2026-08-190.94940.9494
2026-08-180.96520.9652
2026-08-170.96620.9662
2026-08-140.95800.9580
2026-08-130.95680.9568
2026-08-120.95950.9595
2026-08-110.95670.9567
2026-08-100.95920.9592
2026-08-070.95710.9571
2026-08-060.94990.9499
2026-08-050.94960.9496
2026-08-040.94210.9421
2026-08-030.93410.9341
2026-07-310.93850.9385
2026-07-300.93300.9330
2026-07-290.93840.9384
2026-07-280.93430.9343
2026-07-270.94840.9484
2026-07-240.94230.9423
2026-07-230.94890.9489
2026-07-220.94820.9482
2026-07-210.95270.9527
2026-07-200.93680.9368
2026-07-170.93490.9349
2026-07-160.95420.9542
2026-07-150.96380.9638
2026-07-140.96610.9661
2026-07-130.95510.9551
2026-07-100.96670.9667
2026-07-090.97580.9758
2026-07-080.96440.9644
2026-07-070.96960.9696
2026-07-060.97610.9761
2026-07-030.97690.9769
2026-07-020.97400.9740
2026-07-010.98780.9878
2026-06-300.99120.9912
2026-06-290.98660.9866
2026-06-260.97960.9796
2026-06-250.99040.9904
2026-06-240.98270.9827