大摩18个月定期开放债券A
(016745.jj ) 摩根士丹利基金管理(中国)有限公司
基金类型债券型成立日期2022-10-10总资产规模67.76万 (2025-12-31) 基金净值1.0189 (2026-02-13) 基金经理施同亮吴慧文管理费用率0.30%管托费用率0.10% (2025-11-03)
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大摩18个月定期开放债券A(016745) - 历史基金净值数据曲线

最后更新于:2026-02-13

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大摩18个月定期开放债券A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-131.01891.1939
2026-02-061.01751.1925
2026-01-301.01661.1916
2026-01-231.01561.1906
2026-01-161.01321.1882
2026-01-091.01641.1874
2025-12-311.01611.1871
2025-12-261.01581.1868
2025-12-191.01501.1860
2025-12-121.01461.1856
2025-12-051.01421.1852
2025-11-281.01491.1859
2025-11-211.01741.1884
2025-11-141.01651.1875
2025-11-071.01611.1871
2025-10-311.01431.1853
2025-10-301.01301.1840
2025-10-291.01301.1840
2025-10-281.01201.1830
2025-10-271.01101.1820
2025-10-241.01101.1820
2025-10-231.01101.1820
2025-10-221.01101.1820
2025-10-211.01101.1820
2025-10-201.01101.1820
2025-10-171.01101.1820
2025-10-101.02001.1810
2025-09-301.01901.1800
2025-09-261.02001.1810
2025-09-191.02201.1830
2025-09-121.02201.1830
2025-09-051.02401.1850
2025-08-291.02401.1850
2025-08-221.02401.1850
2025-08-151.02701.1880
2025-08-081.02901.1900
2025-08-011.02801.1890
2025-07-251.02601.1870
2025-07-181.03101.1920
2025-07-111.02901.1900
2025-07-041.04701.1920
2025-06-301.04201.1870
2025-06-271.04301.1880
2025-06-201.04401.1890
2025-06-131.03801.1830
2025-06-061.03501.1800
2025-05-301.03401.1790
2025-05-231.03401.1790
2025-05-161.03201.1770
2025-05-091.03201.1770