华泰紫金周周购3月滚动债A
(008941.jj)华泰证券(上海)资产管理有限公司持有人户数471.00
成立日期2020-02-26
总资产规模
3,183.99万 (2024-06-30)
基金类型债券型当前净值1.2009基金经理 -- 管理费用率0.50%管托费用率0.10%持仓换手率337.39% (2024-06-30) 成立以来分红再投入年化收益率4.07%
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华泰紫金周周购3月滚动债A(008941) - 历史基金累计净值数据曲线

最后更新于:2024-09-27

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华泰紫金周周购3月滚动债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
2024-09-271.20091.2009
2024-09-261.20021.2002
2024-09-251.19951.1995
2024-09-241.19511.1951
2024-09-231.18491.1849
2024-09-201.18481.1848
2024-09-191.18591.1859
2024-09-181.18171.1817
2024-09-131.18161.1816
2024-09-121.18321.1832
2024-09-111.18441.1844
2024-09-101.18281.1828
2024-09-091.18341.1834
2024-09-061.18581.1858
2024-09-051.18831.1883
2024-09-041.18661.1866
2024-09-031.18731.1873
2024-09-021.18521.1852
2024-08-301.18761.1876
2024-08-291.18371.1837
2024-08-281.18071.1807
2024-08-271.18031.1803
2024-08-261.18281.1828
2024-08-231.18171.1817
2024-08-221.18141.1814
2024-08-211.18241.1824
2024-08-201.18281.1828
2024-08-191.18591.1859
2024-08-161.18451.1845
2024-08-151.18741.1874
2024-08-141.18841.1884
2024-08-131.18921.1892
2024-08-121.18791.1879
2024-08-091.18981.1898
2024-08-081.19051.1905
2024-08-071.19021.1902
2024-08-061.18981.1898
2024-08-051.18871.1887
2024-08-021.19111.1911
2024-08-011.19261.1926
2024-07-311.19321.1932
2024-07-301.18571.1857
2024-07-291.18691.1869
2024-07-261.18851.1885
2024-07-251.18271.1827
2024-07-241.18241.1824
2024-07-231.18801.1880
2024-07-221.19491.1949
2024-07-191.19711.1971
2024-07-181.19661.1966