中邮睿福债券C
(026509.jj )
基金经理闫宜乘基金类型债券型成立日期2026-03-27总资产规模7,643.23万 (2026-06-30) 基金净值0.9875 (2026-09-04) 管理费用率0.60%管托费用率0.15% (2026-07-27) 成立以来分红再投入年化收益率-1.25% (7360 / 7465)
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中邮睿福债券C(026509) - 历史基金净值数据曲线

最后更新于:2026-09-04

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中邮睿福债券C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-09-040.98750.9875
2026-09-030.98540.9854
2026-09-020.98160.9816
2026-09-010.98410.9841
2026-08-310.98640.9864
2026-08-280.98650.9865
2026-08-270.98560.9856
2026-08-260.98250.9825
2026-08-250.98130.9813
2026-08-240.98350.9835
2026-08-210.98580.9858
2026-08-200.98240.9824
2026-08-190.98150.9815
2026-08-180.99070.9907
2026-08-170.99030.9903
2026-08-140.98340.9834
2026-08-130.98210.9821
2026-08-120.98570.9857
2026-08-110.98580.9858
2026-08-100.98980.9898
2026-08-070.98770.9877
2026-08-060.98420.9842
2026-08-050.98420.9842
2026-08-040.97740.9774
2026-08-030.97310.9731
2026-07-310.97840.9784
2026-07-300.97510.9751
2026-07-290.97970.9797
2026-07-280.97970.9797
2026-07-270.98750.9875
2026-07-240.98450.9845
2026-07-230.98770.9877
2026-07-220.98680.9868
2026-07-210.98700.9870
2026-07-200.98000.9800
2026-07-170.97990.9799
2026-07-160.98720.9872
2026-07-150.99230.9923
2026-07-140.99340.9934
2026-07-130.99060.9906
2026-07-100.99660.9966
2026-07-091.00101.0010
2026-07-080.99580.9958
2026-07-070.99860.9986
2026-07-061.00051.0005
2026-07-031.00011.0001
2026-07-020.99930.9993
2026-07-011.00371.0037
2026-06-301.00451.0045
2026-06-291.00311.0031