湘財(cái)鑫睿債券A基金凈值查詢(020532)
今天最新凈值
1.1160
0.0000 0.0000%
2025-05-22
- 累計(jì)凈值:1.5796
- 成立日期:
- 基金類型:債券型-混合二級(jí)
- 成立份額:
- 最近份額:
- 最近資產(chǎn):0.83億元
- 基金公司:
- 基金經(jīng)理:劉勇驛
近一月,湘財(cái)鑫睿債券A(020532)基金累計(jì)收益率0.05%
凈值日期 |
基金代碼 |
基金名稱 |
最新單位凈值 |
最新累計(jì)凈值 |
上期單位凈值 |
上期累計(jì)凈值 |
當(dāng)日增長(zhǎng)值 |
當(dāng)日增長(zhǎng)率 |
2025-05-22 |
020532 |
湘財(cái)鑫睿債券A |
1.1160 |
1.5796 |
1.1160 |
1.5796 |
0.0000 |
0.00% |
2025-05-21 |
020532 |
湘財(cái)鑫睿債券A |
1.1160 |
1.5796 |
1.1160 |
1.5796 |
0.0000 |
0.00% |
2025-05-20 |
020532 |
湘財(cái)鑫睿債券A |
1.1160 |
1.5796 |
1.1160 |
1.5796 |
0.0000 |
0.00% |
2025-05-19 |
020532 |
湘財(cái)鑫睿債券A |
1.1160 |
1.5796 |
1.1158 |
1.5794 |
0.0002 |
0.02% |
2025-05-16 |
020532 |
湘財(cái)鑫睿債券A |
1.1158 |
1.5794 |
1.1159 |
1.5795 |
-0.0001 |
-0.01% |
2025-05-15 |
020532 |
湘財(cái)鑫睿債券A |
1.1159 |
1.5795 |
1.1160 |
1.5796 |
-0.0001 |
-0.01% |
2025-05-14 |
020532 |
湘財(cái)鑫睿債券A |
1.1160 |
1.5796 |
1.1162 |
1.5798 |
-0.0002 |
-0.02% |
2025-05-13 |
020532 |
湘財(cái)鑫睿債券A |
1.1162 |
1.5798 |
1.1160 |
1.5796 |
0.0002 |
0.02% |
2025-05-12 |
020532 |
湘財(cái)鑫睿債券A |
1.1160 |
1.5796 |
1.1162 |
1.5798 |
-0.0002 |
-0.02% |
2025-05-09 |
020532 |
湘財(cái)鑫睿債券A |
1.1162 |
1.5798 |
1.1162 |
1.5798 |
0.0000 |
0.00% |
|
2025-05-08 |
020532 |
湘財(cái)鑫睿債券A |
1.1162 |
1.5798 |
1.1158 |
1.5794 |
0.0004 |
0.04% |
2025-05-07 |
020532 |
湘財(cái)鑫睿債券A |
1.1158 |
1.5794 |
1.1157 |
1.5793 |
0.0001 |
0.01% |
2025-05-06 |
020532 |
湘財(cái)鑫睿債券A |
1.1157 |
1.5793 |
1.1155 |
1.5791 |
0.0002 |
0.02% |
2025-04-30 |
020532 |
湘財(cái)鑫睿債券A |
1.1155 |
1.5791 |
1.1153 |
1.5789 |
0.0002 |
0.02% |
2025-04-29 |
020532 |
湘財(cái)鑫睿債券A |
1.1153 |
1.5789 |
1.1151 |
1.5787 |
0.0002 |
0.02% |
2025-04-28 |
020532 |
湘財(cái)鑫睿債券A |
1.1151 |
1.5787 |
1.1150 |
1.5786 |
0.0001 |
0.01% |
2025-04-25 |
020532 |
湘財(cái)鑫睿債券A |
1.1150 |
1.5786 |
1.1149 |
1.5785 |
0.0001 |
0.01% |
2025-04-24 |
020532 |
湘財(cái)鑫睿債券A |
1.1149 |
1.5785 |
1.1149 |
1.5785 |
0.0000 |
0.00% |