华夏恒融债券
(004063.jj)华夏基金管理有限公司
成立日期2017-03-23
总资产规模
8.22亿 (2024-06-30)
基金类型债券型当前净值1.1850基金经理孙蕾管理费用率0.32%管托费用率0.08%成立以来分红再投入年化收益率4.20%
备注 (0): 双击编辑备注
发表讨论

华夏恒融债券(004063) - 历史基金累计净值数据曲线

最后更新于:2024-07-29

数据选项
加载中......
华夏恒融债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-291.18501.3311
2024-07-261.18451.3306
2024-07-251.18431.3304
2024-07-241.18401.3301
2024-07-231.18401.3301
2024-07-221.18351.3296
2024-07-191.18221.3283
2024-07-181.18201.3281
2024-07-171.18211.3282
2024-07-161.18201.3281
2024-07-151.18191.3280
2024-07-121.18151.3276
2024-07-111.18111.3272
2024-07-101.18081.3269
2024-07-091.18061.3267
2024-07-081.18001.3261
2024-07-051.18051.3266
2024-07-041.18111.3272
2024-07-031.18111.3272
2024-07-021.18051.3266
2024-07-011.17971.3258
2024-06-281.18061.3267
2024-06-271.18041.3265
2024-06-261.17971.3258
2024-06-251.17921.3253
2024-06-241.17851.3246
2024-06-211.17801.3241
2024-06-201.17841.3245
2024-06-191.17821.3243
2024-06-181.17751.3236
2024-06-171.17711.3232
2024-06-141.17701.3231
2024-06-131.17671.3228
2024-06-121.17671.3228
2024-06-111.17671.3228
2024-06-071.17631.3224
2024-06-061.17621.3223
2024-06-051.17601.3221
2024-06-041.17541.3215
2024-06-031.17521.3213
2024-05-311.17441.3205
2024-05-301.17431.3204
2024-05-291.17421.3203
2024-05-281.17381.3199
2024-05-271.17341.3195
2024-05-241.17321.3193
2024-05-231.17321.3193
2024-05-221.17281.3189
2024-05-211.17261.3187
2024-05-201.17271.3188