融通通宸债券A003728
债券型基金R2 中低风险
1.1194
单位净值
0.02%
日涨跌幅(2025-01-22)
1.3954
累计净值
微信扫码关注
历史净值
日期单位净值累计净值日增长率
2025-01-221.11941.39540.02%
2025-01-211.11921.39520.02%
2025-01-201.11901.39500.00%
2025-01-171.11901.3950-0.04%
2025-01-161.11941.3954-0.04%
2025-01-151.11991.39590.01%
2025-01-141.11981.39580.06%
2025-01-131.11911.3951-0.07%
2025-01-101.11991.39590.00%
2025-01-091.11991.3959-0.12%
分红记录
分红年度权益登记日除息日红利发放日每10份收益单位派息(元)
20232023-09-182023-09-182023-09-200.200
20232023-06-262023-06-262023-06-280.150
20232023-04-252023-04-252023-04-270.110
20222022-12-202022-12-202022-12-220.500
20222022-11-082022-11-082022-11-100.570
20222022-08-182022-08-182022-08-220.570
20182018-12-132018-12-132018-12-170.350
20172017-12-112017-12-112017-12-130.310
本基金自成立以来累计分红8次,每10份基金分配红利总额2.760元。
风险提示:收益率数据仅作参考,过往业绩不预示未来表现!