广发景泰债券C
(017700.jj )
基金经理方抗基金类型债券型成立日期2023-04-18总资产规模54.08万 (2026-06-30) 基金净值1.0187 (2026-08-25) 管理费用率0.30%管托费用率0.10% (2026-05-22) 成立以来分红再投入年化收益率3.03% (3152 / 7430)
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广发景泰债券C(017700) - 历史基金净值数据曲线

最后更新于:2026-08-25

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广发景泰债券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
2026-08-251.01871.1036
2026-08-241.01891.1038
2026-08-211.01841.1033
2026-08-201.01851.1034
2026-08-191.01871.1036
2026-08-181.01931.1042
2026-08-171.01881.1037
2026-08-141.01841.1033
2026-08-131.01841.1033
2026-08-121.01801.1029
2026-08-111.01791.1028
2026-08-101.01851.1034
2026-08-071.01791.1028
2026-08-061.01741.1023
2026-08-051.01721.1021
2026-08-041.01731.1022
2026-08-031.01701.1019
2026-07-311.01701.1019
2026-07-301.01681.1017
2026-07-291.01621.1011
2026-07-281.01631.1012
2026-07-271.01651.1014
2026-07-241.01671.1016
2026-07-231.01661.1015
2026-07-221.01671.1016
2026-07-211.01631.1012
2026-07-201.01631.1012
2026-07-171.01641.1013
2026-07-161.01621.1011
2026-07-151.01631.1012
2026-07-141.01611.1010
2026-07-131.01601.1009
2026-07-101.01621.1011
2026-07-091.01641.1013
2026-07-081.01641.1013
2026-07-071.01631.1012
2026-07-061.01621.1011
2026-07-031.01591.1008
2026-07-021.01581.1007
2026-07-011.01571.1006
2026-06-301.01641.1013
2026-06-291.01671.1016
2026-06-261.01601.1009
2026-06-251.01571.1006
2026-06-241.01521.1001
2026-06-231.01521.1001
2026-06-221.01551.1004
2026-06-181.01561.1005
2026-06-171.01521.1001
2026-06-161.01471.0996