国投瑞银恒扬30天持有期债券A
(020534.jj ) 国投瑞银基金管理有限公司
基金类型债券型成立日期2024-06-07总资产规模373.39万 (2025-12-31) 基金净值1.0371 (2026-03-03) 基金经理王侃管理费用率0.20%管托费用率0.05% (2025-06-30) 成立以来分红再投入年化收益率2.11% (5656 / 7193)
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国投瑞银恒扬30天持有期债券A(020534) - 历史基金净值数据曲线

最后更新于:2026-03-03

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国投瑞银恒扬30天持有期债券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
2026-03-031.03711.0371
2026-03-021.03691.0369
2026-02-271.03671.0367
2026-02-261.03671.0367
2026-02-251.03671.0367
2026-02-241.03671.0367
2026-02-131.03641.0364
2026-02-121.03641.0364
2026-02-111.03631.0363
2026-02-101.03631.0363
2026-02-091.03631.0363
2026-02-061.03621.0362
2026-02-051.03611.0361
2026-02-041.03611.0361
2026-02-031.03611.0361
2026-02-021.03601.0360
2026-01-301.03601.0360
2026-01-291.03601.0360
2026-01-281.03591.0359
2026-01-271.03591.0359
2026-01-261.03591.0359
2026-01-231.03591.0359
2026-01-221.03581.0358
2026-01-211.03571.0357
2026-01-201.03581.0358
2026-01-191.03571.0357
2026-01-161.03561.0356
2026-01-151.03581.0358
2026-01-141.03571.0357
2026-01-131.03571.0357
2026-01-121.03571.0357
2026-01-091.03561.0356
2026-01-081.03551.0355
2026-01-071.03541.0354
2026-01-061.03541.0354
2026-01-051.03531.0353
2025-12-311.03521.0352
2025-12-301.03521.0352
2025-12-291.03501.0350
2025-12-261.03481.0348
2025-12-251.03461.0346
2025-12-241.03441.0344
2025-12-231.03431.0343
2025-12-221.03411.0341
2025-12-191.03371.0337
2025-12-181.03361.0336
2025-12-171.03341.0334
2025-12-161.03331.0333
2025-12-151.03311.0331
2025-12-121.03281.0328