创金合信恒荣120天持有期债券A
(023287.jj ) 创金合信基金管理有限公司
基金经理谢创黄佳祥基金类型债券型成立日期2025-07-25总资产规模568.72万 (2026-03-31) 基金净值1.0336 (2026-05-22) 管理费用率0.30%管托费用率0.05% (2025-12-31) 成立以来分红再投入年化收益率3.37% (2472 / 7297)
备注 (0): 双击编辑备注
发表讨论

创金合信恒荣120天持有期债券A(023287) - 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......
创金合信恒荣120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
2026-05-221.03361.0336
2026-05-211.03331.0333
2026-05-201.03331.0333
2026-05-191.03361.0336
2026-05-181.03221.0322
2026-05-151.03211.0321
2026-05-141.03211.0321
2026-05-131.03191.0319
2026-05-121.03141.0314
2026-05-111.03141.0314
2026-05-081.03081.0308
2026-05-071.03041.0304
2026-05-061.03031.0303
2026-04-301.03021.0302
2026-04-291.03021.0302
2026-04-281.03011.0301
2026-04-271.02981.0298
2026-04-241.02841.0284
2026-04-231.02671.0267
2026-04-221.02791.0279
2026-04-211.02671.0267
2026-04-201.02541.0254
2026-04-171.02571.0257
2026-04-161.02461.0246
2026-04-151.02431.0243
2026-04-141.02431.0243
2026-04-131.02461.0246
2026-04-101.02371.0237
2026-04-091.02251.0225
2026-04-081.02241.0224
2026-04-071.02121.0212
2026-04-031.02121.0212
2026-04-021.02111.0211
2026-04-011.02101.0210
2026-03-311.02071.0207
2026-03-301.02071.0207
2026-03-271.02071.0207
2026-03-261.01911.0191
2026-03-251.01871.0187
2026-03-241.01841.0184
2026-03-231.01831.0183
2026-03-201.01831.0183
2026-03-191.01831.0183
2026-03-181.01831.0183
2026-03-171.01821.0182
2026-03-161.01821.0182
2026-03-131.01771.0177
2026-03-121.01761.0176
2026-03-111.01761.0176
2026-03-101.01691.0169