国新国证鑫泰三个月定开债券基金净值查询(018109)
今天最新净值
1.0583
-0.0014 -0.1300%
2025-02-11
- 累计净值:1.0591
- 成立日期:2023-05-18
- 基金类型:债券型-长债
- 成立份额:
- 最近份额:0.9729亿
- 最近资产:1.03亿元
- 基金公司:国新国证基金
- 基金经理:桑劲乔 张蕊
今年以来,国新国证鑫泰三个月定开债券(018109)基金累计收益率-0.06%
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 |
2025-02-11 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0586 |
1.0594 |
1.0583 |
1.0591 |
0.0003 |
0.03% |
2025-02-10 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0583 |
1.0591 |
1.0597 |
1.0605 |
-0.0014 |
-0.13% |
2025-02-07 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0597 |
1.0605 |
1.0597 |
1.0605 |
0.0000 |
0.00% |
2025-02-06 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0597 |
1.0605 |
1.0592 |
1.0600 |
0.0005 |
0.05% |
2025-02-05 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0592 |
1.0600 |
1.0588 |
1.0596 |
0.0004 |
0.04% |
2025-01-27 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0588 |
1.0596 |
1.0572 |
1.0580 |
0.0016 |
0.15% |
2025-01-22 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0582 |
1.0590 |
1.0584 |
1.0592 |
-0.0002 |
-0.02% |
2025-01-14 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0586 |
1.0594 |
1.0568 |
1.0576 |
0.0018 |
0.17% |
2025-01-13 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0568 |
1.0576 |
1.0575 |
1.0583 |
-0.0007 |
-0.07% |
2025-01-10 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0575 |
1.0583 |
1.0574 |
1.0582 |
0.0001 |
0.01% |
|
2025-01-09 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0574 |
1.0582 |
1.0584 |
1.0592 |
-0.0010 |
-0.09% |
2025-01-08 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0584 |
1.0592 |
1.0585 |
1.0593 |
-0.0001 |
-0.01% |
2025-01-07 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0585 |
1.0593 |
1.0602 |
1.0610 |
-0.0017 |
-0.16% |
2025-01-06 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0602 |
1.0610 |
1.0602 |
1.0610 |
0.0000 |
0.00% |
2025-01-03 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0602 |
1.0610 |
1.0596 |
1.0604 |
0.0006 |
0.06% |
2025-01-02 |
018109 |
国新国证鑫泰三个月定开债券 |
1.0596 |
1.0604 |
1.0589 |
1.0597 |
0.0007 |
0.07% |