华夏鼎沛债券A
(005886.jj)华夏基金管理有限公司持有人户数3,186.00
成立日期2018-06-26
总资产规模
4,993.39万 (2024-09-30)
基金类型债券型当前净值1.1196基金经理韩丽楠管理费用率0.60%管托费用率0.20%持仓换手率133.42% (2024-06-30) 成立以来分红再投入年化收益率2.94%
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华夏鼎沛债券A(005886) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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华夏鼎沛债券A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.11961.2198
2024-12-191.11621.2164
2024-12-181.11611.2163
2024-12-171.11581.2160
2024-12-161.12651.2267
2024-12-131.12741.2276
2024-12-121.12881.2290
2024-12-111.12631.2265
2024-12-101.12201.2222
2024-12-091.11891.2191
2024-12-061.11431.2145
2024-12-051.11311.2133
2024-12-041.11131.2115
2024-12-031.11491.2151
2024-12-021.11771.2179
2024-11-291.11381.2140
2024-11-281.11171.2119
2024-11-271.11061.2108
2024-11-261.11081.2110
2024-11-251.11241.2126
2024-11-221.11061.2108
2024-11-211.11421.2144
2024-11-201.11331.2135
2024-11-191.11231.2125
2024-11-181.11111.2113
2024-11-151.11461.2148
2024-11-141.11911.2193
2024-11-131.12791.2281
2024-11-121.12951.2297
2024-11-111.13311.2333
2024-11-081.12541.2256
2024-11-071.12251.2227
2024-11-061.12151.2217
2024-11-051.12201.2222
2024-11-041.11901.2192
2024-11-011.11741.2176
2024-10-311.12091.2211
2024-10-301.11821.2184
2024-10-291.11711.2173
2024-10-281.11891.2191
2024-10-251.11921.2194
2024-10-241.11951.2197
2024-10-231.12221.2224
2024-10-221.12711.2273
2024-10-211.12801.2282
2024-10-181.12581.2260
2024-10-171.12091.2211
2024-10-161.11911.2193
2024-10-151.12251.2227
2024-10-141.12411.2243