汇添富纯债(LOF)B
(023406.jj ) 汇添富基金管理股份有限公司
基金经理曾丽琼晏建军基金类型债券型(LOF)成立日期2025-02-14总资产规模112.25万 (2026-06-30) 基金净值0.8699 (2026-07-24) 管理费用率0.30%管托费用率0.10% (2025-11-14) 成立以来分红再投入年化收益率1.99% (5873 / 7407)
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汇添富纯债(LOF)B(023406) - 历史基金净值数据曲线

最后更新于:2026-07-24

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汇添富纯债(LOF)B历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-240.86990.8699
2026-07-230.86980.8698
2026-07-220.86980.8698
2026-07-210.86910.8691
2026-07-200.86910.8691
2026-07-170.86910.8691
2026-07-160.86880.8688
2026-07-150.86890.8689
2026-07-140.86890.8689
2026-07-130.86870.8687
2026-07-100.86880.8688
2026-07-090.86870.8687
2026-07-080.86860.8686
2026-07-070.86830.8683
2026-07-060.86810.8681
2026-07-030.86760.8676
2026-07-020.86770.8677
2026-07-010.86760.8676
2026-06-300.86830.8683
2026-06-290.86870.8687
2026-06-260.86820.8682
2026-06-250.86800.8680
2026-06-240.86740.8674
2026-06-230.86740.8674
2026-06-220.86770.8677
2026-06-180.86760.8676
2026-06-170.86730.8673
2026-06-160.86680.8668
2026-06-150.86620.8662
2026-06-120.86600.8660
2026-06-110.86580.8658
2026-06-100.86660.8666
2026-06-090.86710.8671
2026-06-080.86770.8677
2026-06-050.86800.8680
2026-06-040.86820.8682
2026-06-030.86770.8677
2026-06-020.86770.8677
2026-06-010.86750.8675
2026-05-290.86700.8670
2026-05-280.86650.8665
2026-05-270.86630.8663
2026-05-260.86580.8658
2026-05-250.86520.8652
2026-05-220.86470.8647
2026-05-210.86470.8647
2026-05-200.86460.8646
2026-05-190.86450.8645
2026-05-180.86360.8636
2026-05-150.86300.8630