嘉合胶东经济圈中高等级信用债一年定开发起式
(016203.jj ) 嘉合基金管理有限公司
基金类型债券型成立日期2022-12-08总资产规模6.91亿 (2025-09-30) 基金净值1.0603 (2025-12-12) 基金经理李超舒烟雨管理费用率0.30%管托费用率0.10% (2025-06-30)
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嘉合胶东经济圈中高等级信用债一年定开发起式(016203) - 历史基金净值数据曲线

最后更新于:2025-12-12

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嘉合胶东经济圈中高等级信用债一年定开发起式历史净值,最多展示50条数据。
日期基金净值基金累计净值
2025-12-121.06031.1043
2025-12-051.05981.1038
2025-11-281.06001.1040
2025-11-211.06041.1044
2025-11-141.06021.1042
2025-11-071.05971.1037
2025-10-311.05911.1031
2025-10-241.05711.1011
2025-10-171.05621.1002
2025-10-101.05511.0991
2025-09-301.05441.0984
2025-09-261.05401.0980
2025-09-191.05471.0987
2025-09-121.05421.0982
2025-09-051.05451.0985
2025-08-291.05381.0978
2025-08-221.05321.0972
2025-08-151.05431.0983
2025-08-081.05591.0999
2025-08-011.05501.0990
2025-07-251.05371.0977
2025-07-181.05601.1000
2025-07-111.05511.0991
2025-07-041.05521.0992
2025-06-301.05311.0971
2025-06-271.05311.0971
2025-06-201.05341.0974
2025-06-131.05161.0956
2025-06-061.05061.0946
2025-05-301.04991.0939
2025-05-231.04951.0935
2025-05-161.04841.0924
2025-05-091.04801.0920
2025-04-301.04671.0907
2025-04-251.04581.0898
2025-04-181.04561.0896
2025-04-111.04541.0894
2025-04-031.04431.0883
2025-03-281.04311.0871
2025-03-211.04201.0860
2025-03-141.04121.0852
2025-03-071.04111.0851
2025-02-281.04101.0850
2025-02-211.04161.0856
2025-02-141.04261.0866
2025-02-101.04231.0863
2025-02-071.04221.0862
2025-02-061.04191.0859
2025-02-051.04171.0857
2025-01-271.04141.0854