新华增盈回报债券
(000973.jj)新华基金管理股份有限公司持有人户数10.51万
成立日期2015-01-16
总资产规模
5.46亿 (2024-09-30)
基金类型债券型当前净值1.2177基金经理王丹管理费用率0.50%管托费用率0.10%持仓换手率79.41% (2024-06-30) 成立以来分红再投入年化收益率5.71%
备注 (0): 双击编辑备注
发表讨论

新华增盈回报债券(000973) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

数据选项
加载中......
新华增盈回报债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-231.21771.6429
2024-12-201.22051.6457
2024-12-191.21611.6413
2024-12-181.21641.6416
2024-12-171.21421.6394
2024-12-161.21601.6412
2024-12-131.21911.6443
2024-12-121.22261.6478
2024-12-111.21971.6449
2024-12-101.21651.6417
2024-12-091.21281.6380
2024-12-061.21291.6381
2024-12-051.21011.6353
2024-12-041.20991.6351
2024-12-031.21101.6362
2024-12-021.21231.6375
2024-11-291.20791.6331
2024-11-281.20181.6270
2024-11-271.20081.6260
2024-11-261.19721.6224
2024-11-251.19871.6239
2024-11-221.20071.6259
2024-11-211.20801.6332
2024-11-201.20631.6315
2024-11-191.20451.6297
2024-11-181.20041.6256
2024-11-151.20521.6304
2024-11-141.21381.6390
2024-11-131.22611.6513
2024-11-121.23041.6556
2024-11-111.24051.6657
2024-11-081.21311.6383
2024-11-071.20901.6342
2024-11-061.19941.6246
2024-11-051.20081.6260
2024-11-041.18851.6137
2024-11-011.18281.6080
2024-10-311.18321.6084
2024-10-301.17531.6005
2024-10-291.17741.6026
2024-10-281.18391.6091
2024-10-251.18421.6094
2024-10-241.17441.5996
2024-10-231.18191.6071
2024-10-221.18281.6080
2024-10-211.18231.6075
2024-10-181.17701.6022
2024-10-171.15321.5784
2024-10-161.15321.5784
2024-10-151.15571.5809