富国国有企业债债券C

(000141)公募债券型
1.0044 0.02%+0.0002
单位净值 [2025-09-30]
1.4509
累计净值 [2025-09-30]
       
净值估算 [2025-09-30   ]
  • 最近一月:0.08%
  • 最近一季:0.32%
  • 最近半年:0.99%
  • 今年以来:1.18%
  • 最近一年:2.10%
  • 最近两年:4.97%
  • 最近三年:7.54%
  • 成立以来:56.19%
  • 成立日期:2013-09-25
  • 基金经理:张波
  • 产品类型:契约型开放式
  • 最新份额:113.49亿
  • 申购状态:可以申购
  • 最新规模:---
  • 投资风格:纯债型
  • 管理公司:富国
该基金分红情况:
序号 每份分红额 除息日
1 0.003000 2025-08-08
2 0.003000 2025-06-10
3 0.004000 2025-05-12
4 0.004000 2025-02-13
5 0.003000 2024-12-10
6 0.003000 2024-11-07
7 0.004000 2024-09-10
8 0.004000 2024-07-08
9 0.003000 2024-05-14
10 0.004000 2024-04-11
11 0.004000 2024-03-07
12 0.004000 2024-01-05
13 0.004000 2023-12-07
14 0.003000 2023-09-07
15 0.004000 2023-08-08
16 0.004000 2023-06-06
17 0.003000 2023-05-11
18 0.004000 2023-04-13
19 0.003000 2023-03-07
20 0.003000 2023-02-07
21 0.003000 2022-10-18
22 0.003000 2022-08-09
23 0.004000 2022-07-08
24 0.004000 2022-05-12
25 0.003000 2022-04-11
26 0.004000 2022-02-14
27 0.003000 2022-01-10
28 0.003000 2021-12-07
29 0.004000 2021-11-08
30 0.004000 2021-09-07
31 0.006000 2021-08-09
32 0.004000 2021-06-11
33 0.004000 2021-05-11
34 0.004000 2021-04-07
35 0.005000 2021-03-05
36 0.004000 2021-01-12
37 0.004000 2020-11-10
38 0.003000 2020-09-08
39 0.003000 2020-07-08
40 0.004000 2020-05-12
41 0.004000 2020-04-08
42 0.003500 2020-01-08
43 0.004000 2019-12-10
44 0.003000 2019-10-14
45 0.004000 2019-09-12
46 0.005000 2019-08-09
47 0.004000 2019-06-12
48 0.003000 2019-05-10
49 0.004000 2019-04-10
50 0.003000 2019-02-18
51 0.003000 2019-01-09
52 0.005000 2018-12-13
53 0.005000 2018-11-12
54 0.006000 2018-09-11
55 0.008000 2018-08-13
56 0.004000 2018-06-27
57 0.005000 2018-05-11
58 0.005000 2018-04-12
59 0.004000 2018-03-08
60 0.006000 2018-02-12
61 0.004000 2018-01-11
62 0.003000 2017-10-17
63 0.005000 2017-08-07
64 0.007000 2016-11-11
65 0.004000 2016-09-09
66 0.004000 2016-08-15
67 0.004000 2016-07-15
68 0.004000 2016-04-15
69 0.004000 2016-03-11
70 0.005000 2015-11-17
71 0.005000 2015-10-20
72 0.006000 2015-09-18
73 0.007000 2015-08-18
74 0.007000 2015-07-17
75 0.009000 2015-06-17
76 0.005000 2015-05-19
77 0.007000 2015-04-16
78 0.011000 2015-03-17
79 0.015000 2015-02-16
80 0.014000 2015-01-20
81 0.008000 2014-11-18
82 0.008000 2014-10-23
83 0.009000 2014-09-15
84 0.010000 2014-08-14
85 0.011000 2014-07-15
86 0.008000 2014-06-17
87 0.010000 2014-05-15
88 0.006000 2014-04-14
89 0.006000 2014-03-12
90 0.005000 2014-01-14