国新国证鑫泰三个月定开债券
(018109.jj ) 国新国证基金管理有限公司
基金经理桑劲乔张蕊基金类型债券型成立日期2023-05-18总资产规模4.00亿 (2026-06-30) 基金净值1.0706 (2026-07-21) 管理费用率0.30%管托费用率0.10% (2026-04-24) 成立以来分红再投入年化收益率2.20% (5517 / 7396)
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国新国证鑫泰三个月定开债券(018109) - 历史基金累计净值数据曲线

最后更新于:2026-07-21

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国新国证鑫泰三个月定开债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-211.07061.0714
2026-07-201.07041.0712
2026-07-171.07071.0715
2026-07-161.07041.0712
2026-07-151.07051.0713
2026-07-141.07031.0711
2026-07-131.07001.0708
2026-07-101.07041.0712
2026-07-091.07051.0713
2026-07-081.07051.0713
2026-07-071.07031.0711
2026-07-061.07041.0712
2026-07-031.07001.0708
2026-07-021.07001.0708
2026-07-011.07001.0708
2026-06-301.07111.0719
2026-06-291.07241.0732
2026-06-261.07201.0728
2026-06-251.07181.0726
2026-06-241.07101.0718
2026-06-231.07111.0719
2026-06-221.07131.0721
2026-06-181.07131.0721
2026-06-171.07121.0720
2026-06-161.07091.0717
2026-06-151.07011.0709
2026-06-121.07011.0709
2026-06-111.06931.0701
2026-06-101.06941.0702
2026-06-091.06991.0707
2026-06-081.07031.0711
2026-06-051.07061.0714
2026-06-041.07131.0721
2026-06-031.07071.0715
2026-06-021.07131.0721
2026-06-011.07151.0723
2026-05-291.07081.0716
2026-05-281.07061.0714
2026-05-271.07071.0715
2026-05-261.07031.0711
2026-05-251.07001.0708
2026-05-221.06981.0706
2026-05-211.06991.0707
2026-05-201.07001.0708
2026-05-191.07031.0711
2026-05-181.06911.0699
2026-05-151.06851.0693
2026-05-141.06881.0696
2026-05-131.06931.0701
2026-05-121.06901.0698