东方可转债债券A
(009465.jj)东方基金管理有限责任公司
成立日期2021-03-04
总资产规模
1.63亿 (2024-06-30)
基金类型债券型当前净值0.8555基金经理杨贵宾徐奥千管理费用率0.70%管托费用率0.20%持仓换手率48.04% (2023-12-31) 成立以来分红再投入年化收益率-3.28%
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东方可转债债券A(009465) - 历史基金净值数据曲线

最后更新于:2024-07-26

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东方可转债债券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
2024-07-260.85550.9005
2024-07-250.83830.8833
2024-07-240.84460.8896
2024-07-230.85650.9015
2024-07-220.87210.9171
2024-07-190.87910.9241
2024-07-180.87910.9241
2024-07-170.87980.9248
2024-07-160.89110.9361
2024-07-150.88700.9320
2024-07-120.89070.9357
2024-07-110.89630.9413
2024-07-100.89120.9362
2024-07-090.89200.9370
2024-07-080.87760.9226
2024-07-050.88610.9311
2024-07-040.88420.9292
2024-07-030.88990.9349
2024-07-020.89710.9421
2024-07-010.90200.9470
2024-06-280.89680.9418
2024-06-270.89100.9360
2024-06-260.89640.9414
2024-06-250.88390.9289
2024-06-240.88320.9282
2024-06-210.90200.9470
2024-06-200.90450.9495
2024-06-190.91490.9599
2024-06-180.92090.9659
2024-06-170.91740.9624
2024-06-140.92040.9654
2024-06-130.91620.9612
2024-06-120.91850.9635
2024-06-110.91690.9619
2024-06-070.91490.9599
2024-06-060.91520.9602
2024-06-050.91600.9610
2024-06-040.92190.9669
2024-06-030.91530.9603
2024-05-310.91960.9646
2024-05-300.91750.9625
2024-05-290.91710.9621
2024-05-280.91620.9612
2024-05-270.92150.9665
2024-05-240.91320.9582
2024-05-230.91960.9646
2024-05-220.92850.9735
2024-05-210.93140.9764
2024-05-200.93670.9817
2024-05-170.92800.9730