泰康瑞坤纯债债券A
(021067.jj )
基金经理经惠云基金类型债券型成立日期2024-03-26总资产规模1.05亿 (2026-06-30) 基金净值1.3071 (2026-09-16) 管理费用率0.40%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率2.71% (4105 / 7479)
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泰康瑞坤纯债债券A(021067) - 历史基金净值数据曲线

最后更新于:2026-09-16

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泰康瑞坤纯债债券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
2026-09-161.30711.3071
2026-09-151.30641.3064
2026-09-141.30551.3055
2026-09-111.30561.3056
2026-09-101.30691.3069
2026-09-091.30781.3078
2026-09-081.30791.3079
2026-09-071.30811.3081
2026-09-041.30721.3072
2026-09-031.30651.3065
2026-09-021.30451.3045
2026-09-011.30501.3050
2026-08-311.30321.3032
2026-08-281.30251.3025
2026-08-271.30321.3032
2026-08-261.30651.3065
2026-08-251.30721.3072
2026-08-241.30751.3075
2026-08-211.30551.3055
2026-08-201.30621.3062
2026-08-191.30771.3077
2026-08-181.31021.3102
2026-08-171.30771.3077
2026-08-141.30691.3069
2026-08-131.30641.3064
2026-08-121.30571.3057
2026-08-111.30561.3056
2026-08-101.30681.3068
2026-08-071.30541.3054
2026-08-061.30491.3049
2026-08-051.30431.3043
2026-08-041.30461.3046
2026-08-031.30411.3041
2026-07-311.30411.3041
2026-07-301.30351.3035
2026-07-291.30281.3028
2026-07-281.30231.3023
2026-07-271.30271.3027
2026-07-241.30301.3030
2026-07-231.30301.3030
2026-07-221.30321.3032
2026-07-211.30271.3027
2026-07-201.30271.3027
2026-07-171.30281.3028
2026-07-161.30261.3026
2026-07-151.30271.3027
2026-07-141.30251.3025
2026-07-131.30251.3025
2026-07-101.30271.3027
2026-07-091.30281.3028