淳厚稳荣一年定开债发起
(015263.jj ) 淳厚基金管理有限公司
基金类型债券型成立日期2022-06-08总资产规模102.95万 (2025-12-31) 基金净值1.0319 (2026-02-04) 基金经理江文军张蕊陈寒管理费用率0.30%管托费用率0.10% (2025-08-16) 成立以来分红再投入年化收益率4.23% (1270 / 7202)
备注 (0): 双击编辑备注
发表讨论

淳厚稳荣一年定开债发起(015263) - 历史基金净值数据曲线

最后更新于:2026-02-04

数据选项
加载中......
淳厚稳荣一年定开债发起历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-041.03191.1559
2026-02-031.03181.1558
2026-02-021.03181.1558
2026-01-301.03171.1557
2026-01-291.03161.1556
2026-01-281.03151.1555
2026-01-271.03141.1554
2026-01-261.03141.1554
2026-01-231.03141.1554
2026-01-221.03121.1552
2026-01-211.03131.1553
2026-01-201.03121.1552
2026-01-191.03031.1543
2026-01-151.03001.1540
2026-01-141.02981.1538
2026-01-131.02971.1537
2026-01-121.02941.1534
2026-01-091.02861.1526
2026-01-081.02851.1525
2026-01-071.02791.1519
2026-01-061.02851.1525
2026-01-051.02941.1534
2025-12-311.02951.1535
2025-12-301.02961.1536
2025-12-291.02981.1538
2025-12-261.03131.1553
2025-12-251.03081.1548
2025-12-241.03101.1550
2025-12-231.03091.1549
2025-12-221.02981.1538
2025-12-191.03041.1544
2025-12-181.02961.1536
2025-12-171.02961.1536
2025-12-161.02851.1525
2025-12-151.02851.1525
2025-12-121.02941.1534
2025-12-111.03051.1545
2025-12-101.03021.1542
2025-12-091.02991.1539
2025-12-081.02941.1534
2025-12-051.02961.1536
2025-12-041.02901.1530
2025-12-031.03051.1545
2025-12-021.03101.1550
2025-12-011.03161.1556
2025-11-281.03141.1554
2025-11-271.03121.1552
2025-11-261.03131.1553
2025-11-251.03241.1564
2025-11-241.03281.1568