湘财鑫睿债券A
(020532.jj ) 湘财基金管理有限公司
基金经理刘勇驿包佳敏基金类型债券型成立日期2024-01-23总资产规模60.15万 (2026-03-31) 基金净值1.1102 (2026-05-22) 管理费用率0.30%管托费用率0.05% (2026-03-27) 成立以来分红再投入年化收益率22.29% (38 / 7297)
备注 (0): 双击编辑备注
发表讨论

湘财鑫睿债券A(020532) - 历史基金净值数据曲线

最后更新于:2026-05-22

数据选项
加载中......
湘财鑫睿债券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
2026-05-221.11021.5918
2026-05-211.10961.5912
2026-05-201.11131.5929
2026-05-191.11181.5934
2026-05-181.10981.5914
2026-05-151.10951.5911
2026-05-141.11031.5919
2026-05-131.11151.5931
2026-05-121.11091.5925
2026-05-111.11111.5927
2026-05-081.11011.5917
2026-05-071.10991.5915
2026-05-061.11011.5917
2026-04-301.11151.5931
2026-04-291.11221.5938
2026-04-281.11191.5935
2026-04-271.11161.5932
2026-04-241.11231.5939
2026-04-231.11281.5944
2026-04-221.11321.5948
2026-04-211.11271.5943
2026-04-201.11201.5936
2026-04-171.11191.5935
2026-04-161.11141.5930
2026-04-151.11111.5927
2026-04-141.11081.5924
2026-04-131.11061.5922
2026-04-101.11031.5919
2026-04-091.11001.5916
2026-04-081.11011.5917
2026-04-071.11011.5917
2026-04-031.10981.5914
2026-04-021.10951.5911
2026-04-011.10961.5912
2026-03-311.11001.5916
2026-03-301.11011.5917
2026-03-271.10931.5909
2026-03-261.10931.5909
2026-03-251.10911.5907
2026-03-241.10911.5907
2026-03-231.10861.5902
2026-03-201.10861.5902
2026-03-191.10861.5902
2026-03-181.10851.5901
2026-03-171.10811.5897
2026-03-161.10781.5894
2026-03-131.10811.5897
2026-03-121.10811.5897
2026-03-111.10811.5897
2026-03-101.10811.5897