兴华安聚纯债C
(017215.jj ) 兴华基金管理有限公司
基金类型债券型成立日期2023-04-26总资产规模370.47万 (2025-12-31) 基金净值1.0286 (2026-02-06) 基金经理吕智卓管理费用率0.30%管托费用率0.10% (2025-06-30) 成立以来分红再投入年化收益率4.99% (776 / 7207)
备注 (0): 双击编辑备注
发表讨论

兴华安聚纯债C(017215) - 历史基金净值数据曲线

最后更新于:2026-02-06

数据选项
加载中......
兴华安聚纯债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
2026-02-061.02861.1421
2026-02-051.02811.1416
2026-02-041.02761.1411
2026-02-031.02751.1410
2026-02-021.02761.1411
2026-01-301.02721.1407
2026-01-291.02711.1406
2026-01-281.02711.1406
2026-01-271.02671.1402
2026-01-261.02671.1402
2026-01-231.02621.1397
2026-01-221.02571.1392
2026-01-211.02561.1391
2026-01-201.02511.1386
2026-01-191.02451.1380
2026-01-161.02421.1377
2026-01-151.02391.1374
2026-01-141.02371.1372
2026-01-131.02371.1372
2026-01-121.02361.1371
2026-01-091.02331.1368
2026-01-081.02311.1366
2026-01-071.02271.1362
2026-01-061.02301.1365
2026-01-051.02321.1367
2025-12-311.02281.1363
2025-12-301.02271.1362
2025-12-291.02281.1363
2025-12-261.02301.1365
2025-12-251.02311.1366
2025-12-241.02301.1365
2025-12-231.02301.1365
2025-12-221.02301.1365
2025-12-191.02321.1367
2025-12-181.02261.1361
2025-12-171.02291.1364
2025-12-161.02201.1355
2025-12-151.02211.1356
2025-12-121.02311.1366
2025-12-111.02361.1371
2025-12-101.02301.1365
2025-12-091.02271.1362
2025-12-081.02221.1357
2025-12-051.02261.1361
2025-12-041.02221.1357
2025-12-031.02431.1378
2025-12-021.02501.1385
2025-12-011.02551.1390
2025-11-281.02551.1390
2025-11-271.02501.1385