鑫元乐享90天持有债券C
(018762.jj )
基金经理郭卉黄轩基金类型债券型成立日期2023-12-08总资产规模1.12亿 (2026-06-30) 基金净值1.0767 (2026-09-01) 管理费用率0.20%管托费用率0.05% (2026-06-30) 成立以来分红再投入年化收益率2.74% (4068 / 7457)
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鑫元乐享90天持有债券C(018762) - 历史基金净值数据曲线

最后更新于:2026-09-01

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鑫元乐享90天持有债券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
2026-09-011.07671.0767
2026-08-311.07651.0765
2026-08-281.07631.0763
2026-08-271.07621.0762
2026-08-261.07631.0763
2026-08-251.07631.0763
2026-08-241.07631.0763
2026-08-211.07621.0762
2026-08-201.07621.0762
2026-08-191.07631.0763
2026-08-181.07641.0764
2026-08-171.07611.0761
2026-08-141.07591.0759
2026-08-131.07571.0757
2026-08-121.07551.0755
2026-08-111.07541.0754
2026-08-101.07541.0754
2026-08-071.07531.0753
2026-08-061.07521.0752
2026-08-051.07511.0751
2026-08-041.07511.0751
2026-08-031.07491.0749
2026-07-311.07481.0748
2026-07-301.07471.0747
2026-07-291.07461.0746
2026-07-281.07451.0745
2026-07-271.07461.0746
2026-07-241.07451.0745
2026-07-231.07451.0745
2026-07-221.07451.0745
2026-07-211.07441.0744
2026-07-201.07431.0743
2026-07-171.07431.0743
2026-07-161.07421.0742
2026-07-151.07431.0743
2026-07-141.07421.0742
2026-07-131.07421.0742
2026-07-101.07421.0742
2026-07-091.07411.0741
2026-07-081.07411.0741
2026-07-071.07411.0741
2026-07-061.07401.0740
2026-07-031.07371.0737
2026-07-021.07371.0737
2026-07-011.07361.0736
2026-06-301.07411.0741
2026-06-291.07401.0740
2026-06-261.07371.0737
2026-06-251.07371.0737
2026-06-241.07341.0734