华安安浦债券A
(006337.jj)华安基金管理有限公司持有人户数7.28万
成立日期2018-09-06
总资产规模
53.91亿 (2024-09-30)
基金类型债券型当前净值1.1619基金经理李振宇管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率3.85%
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华安安浦债券A(006337) - 历史基金净值数据曲线

最后更新于:2024-12-20

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华安安浦债券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
2024-12-201.16191.2519
2024-12-191.16021.2502
2024-12-181.16021.2502
2024-12-171.16131.2513
2024-12-161.16191.2519
2024-12-131.16001.2500
2024-12-121.15821.2482
2024-12-111.15791.2479
2024-12-101.15751.2475
2024-12-091.15501.2450
2024-12-061.15431.2443
2024-12-051.15451.2445
2024-12-041.15411.2441
2024-12-031.15301.2430
2024-12-021.15301.2430
2024-11-291.15061.2406
2024-11-281.14981.2398
2024-11-271.14921.2392
2024-11-261.14901.2390
2024-11-251.14881.2388
2024-11-221.14791.2379
2024-11-211.14751.2375
2024-11-201.14691.2369
2024-11-191.14681.2368
2024-11-181.14651.2365
2024-11-151.14651.2365
2024-11-141.14651.2365
2024-11-131.14641.2364
2024-11-121.14681.2368
2024-11-111.14571.2357
2024-11-081.14511.2351
2024-11-071.14481.2348
2024-11-061.14431.2343
2024-11-051.14421.2342
2024-11-041.14401.2340
2024-11-011.14351.2335
2024-10-311.14281.2328
2024-10-301.14261.2326
2024-10-291.14241.2324
2024-10-281.14251.2325
2024-10-251.14261.2326
2024-10-241.14271.2327
2024-10-231.14281.2328
2024-10-221.14351.2335
2024-10-211.14391.2339
2024-10-181.14371.2337
2024-10-171.14381.2338
2024-10-161.14301.2330
2024-10-151.14251.2325
2024-10-141.14141.2314