鹏华丰融定期开放债券
(000345.jj)鹏华基金管理有限公司持有人户数4.01万
成立日期2013-11-19
总资产规模
7.57亿 (2024-09-30)
基金类型债券型当前净值1.3370基金经理刘涛管理费用率0.70%管托费用率0.20%成立以来分红再投入年化收益率7.04%
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鹏华丰融定期开放债券(000345) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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鹏华丰融定期开放债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.33702.0010
2024-12-131.33301.9970
2024-12-061.32701.9910
2024-11-291.32001.9840
2024-11-221.31501.9790
2024-11-151.31501.9790
2024-11-081.31401.9780
2024-11-011.31301.9770
2024-10-251.31201.9760
2024-10-181.31201.9760
2024-10-111.30801.9720
2024-09-301.31001.9740
2024-09-271.31101.9750
2024-09-201.31201.9760
2024-09-131.30801.9720
2024-09-061.30401.9680
2024-08-301.30301.9670
2024-08-231.30401.9680
2024-08-161.30501.9690
2024-08-091.30501.9690
2024-08-021.30701.9710
2024-07-261.37001.9650
2024-07-191.36901.9640
2024-07-121.36801.9630
2024-07-051.36801.9630
2024-06-281.36801.9630
2024-06-211.36601.9610
2024-06-141.36601.9610
2024-06-071.36601.9610
2024-05-311.36501.9600
2024-05-241.36501.9600
2024-05-171.36401.9590
2024-05-161.36401.9590
2024-05-151.36401.9590
2024-05-141.36401.9590
2024-05-131.36301.9580
2024-05-101.36301.9580
2024-04-301.36201.9570
2024-04-261.36301.9580
2024-04-191.36401.9590
2024-04-121.36201.9570
2024-04-031.35801.9530
2024-03-291.35601.9510
2024-03-221.35401.9490
2024-03-151.35401.9490
2024-03-081.35701.9520
2024-03-011.35501.9500
2024-02-231.35101.9460
2024-02-081.34401.9390
2024-02-021.34301.9380