兴业嘉瑞6个月定开债A(兴业18个月定开债券A)基金净值查询(003952)
今天最新净值
1.0574
0.0005 0.0500%
2025-02-10
- 累计净值:1.3745
- 成立日期:
- 基金类型:债券型-混合一级
- 成立份额:
- 最近份额:12.2901亿
- 最近资产:9.33亿元
- 基金公司:兴业基金
- 基金经理:徐青 倪侃
今年以来兴业嘉瑞6个月定开债A|兴业18个月定开债券A基金净值查询
今年以来,兴业嘉瑞6个月定开债A(003952)基金累计收益率0.78%
净值日期 |
基金代码 |
基金名称 |
最新单位净值 |
最新累计净值 |
上期单位净值 |
上期累计净值 |
当日增长值 |
当日增长率 |
2025-02-10 |
003952 |
兴业嘉瑞6个月定开债A |
1.0559 |
1.3730 |
1.0574 |
1.3745 |
-0.0015 |
-0.14% |
2025-02-07 |
003952 |
兴业嘉瑞6个月定开债A |
1.0574 |
1.3745 |
1.0569 |
1.3740 |
0.0005 |
0.05% |
2025-02-06 |
003952 |
兴业嘉瑞6个月定开债A |
1.0569 |
1.3740 |
1.0548 |
1.3719 |
0.0021 |
0.20% |
2025-02-05 |
003952 |
兴业嘉瑞6个月定开债A |
1.0548 |
1.3719 |
1.0532 |
1.3703 |
0.0016 |
0.15% |
2025-01-27 |
003952 |
兴业嘉瑞6个月定开债A |
1.0532 |
1.3703 |
1.0510 |
1.3681 |
0.0022 |
0.21% |
2025-01-22 |
003952 |
兴业嘉瑞6个月定开债A |
1.0515 |
1.3686 |
1.0510 |
1.3681 |
0.0005 |
0.05% |
2025-01-14 |
003952 |
兴业嘉瑞6个月定开债A |
1.0507 |
1.3678 |
1.0496 |
1.3667 |
0.0011 |
0.10% |
2025-01-13 |
003952 |
兴业嘉瑞6个月定开债A |
1.0496 |
1.3667 |
1.0507 |
1.3678 |
-0.0011 |
-0.10% |
2025-01-10 |
003952 |
兴业嘉瑞6个月定开债A |
1.0507 |
1.3678 |
1.0504 |
1.3675 |
0.0003 |
0.03% |
2025-01-09 |
003952 |
兴业嘉瑞6个月定开债A |
1.0504 |
1.3675 |
1.0523 |
1.3694 |
-0.0019 |
-0.18% |
|
2025-01-08 |
003952 |
兴业嘉瑞6个月定开债A |
1.0523 |
1.3694 |
1.0525 |
1.3696 |
-0.0002 |
-0.02% |
2025-01-07 |
003952 |
兴业嘉瑞6个月定开债A |
1.0525 |
1.3696 |
1.0538 |
1.3709 |
-0.0013 |
-0.12% |
2025-01-06 |
003952 |
兴业嘉瑞6个月定开债A |
1.0538 |
1.3709 |
1.0535 |
1.3706 |
0.0003 |
0.03% |
2025-01-03 |
003952 |
兴业嘉瑞6个月定开债A |
1.0535 |
1.3706 |
1.0522 |
1.3693 |
0.0013 |
0.12% |
2025-01-02 |
003952 |
兴业嘉瑞6个月定开债A |
1.0522 |
1.3693 |
1.0477 |
1.3648 |
0.0045 |
0.43% |