鹏华双债保利债券B
(000338.jj)鹏华基金管理有限公司持有人户数953.00
成立日期2013-09-18
总资产规模
34.17亿 (2024-09-30)
基金类型债券型当前净值1.2459基金经理祝松管理费用率0.50%管托费用率0.10%持仓换手率22.98% (2024-06-30) 成立以来分红再投入年化收益率4.95%
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鹏华双债保利债券B(000338) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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鹏华双债保利债券B历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-231.24591.6149
2024-12-201.24901.6180
2024-12-191.24771.6167
2024-12-181.24801.6170
2024-12-171.24611.6151
2024-12-161.24971.6187
2024-12-131.25591.6249
2024-12-121.26221.6312
2024-12-111.25721.6262
2024-12-101.25401.6230
2024-12-091.24831.6173
2024-12-061.24901.6180
2024-12-051.24411.6131
2024-12-041.24211.6111
2024-12-031.24491.6139
2024-12-021.24441.6134
2024-11-291.23931.6083
2024-11-281.23351.6025
2024-11-271.23491.6039
2024-11-261.22781.5968
2024-11-251.22871.5977
2024-11-221.22961.5986
2024-11-211.23991.6089
2024-11-201.23941.6084
2024-11-191.23611.6051
2024-11-181.23181.6008
2024-11-151.23741.6064
2024-11-141.24341.6124
2024-11-131.25061.6196
2024-11-121.24681.6158
2024-11-111.24851.6175
2024-11-081.24001.6090
2024-11-071.24121.6102
2024-11-061.23081.5998
2024-11-051.23351.6025
2024-11-041.22381.5928
2024-11-011.21741.5864
2024-10-311.21861.5876
2024-10-301.21791.5869
2024-10-291.22001.5890
2024-10-281.22381.5928
2024-10-251.22071.5897
2024-10-241.21491.5839
2024-10-231.22021.5892
2024-10-221.22091.5899
2024-10-211.21961.5886
2024-10-181.21661.5856
2024-10-171.20431.5733
2024-10-161.20681.5758
2024-10-151.20661.5756