华泰紫金月月发1个月滚动债券发起A
(011496.jj)华泰证券(上海)资产管理有限公司持有人户数29.00
成立日期2021-07-01
总资产规模
2.08亿 (2024-09-30)
基金类型债券型当前净值1.0103基金经理肖芳芳李博良管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率2.22%
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华泰紫金月月发1个月滚动债券发起A(011496) - 历史基金净值数据曲线

最后更新于:2024-12-20

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华泰紫金月月发1个月滚动债券发起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
2024-12-201.01031.0798
2024-12-191.01251.0793
2024-12-181.01291.0797
2024-12-171.01321.0800
2024-12-161.01351.0803
2024-12-131.01251.0793
2024-12-121.01151.0783
2024-12-111.01131.0781
2024-12-101.01111.0779
2024-12-091.00981.0766
2024-12-061.00951.0763
2024-12-051.00911.0759
2024-12-041.00841.0752
2024-12-031.00761.0744
2024-12-021.00721.0740
2024-11-291.00541.0722
2024-11-281.00451.0713
2024-11-271.00381.0706
2024-11-261.00351.0703
2024-11-251.00281.0696
2024-11-221.00211.0689
2024-11-211.00161.0684
2024-11-201.00121.0680
2024-11-191.00101.0678
2024-11-181.00081.0675
2024-11-151.00061.0673
2024-11-141.00031.0670
2024-11-131.00011.0668
2024-11-120.99971.0664
2024-11-110.99921.0659
2024-11-080.99891.0656
2024-11-070.99861.0653
2024-11-060.99811.0648
2024-11-050.99781.0645
2024-11-040.99771.0644
2024-11-010.99741.0641
2024-10-310.99671.0634
2024-10-300.99661.0633
2024-10-290.99701.0637
2024-10-280.99741.0641
2024-10-250.99781.0645
2024-10-240.99841.0651
2024-10-230.99861.0653
2024-10-220.99981.0665
2024-10-211.00071.0670
2024-10-181.00081.0671
2024-10-171.00061.0669
2024-10-161.00011.0664
2024-10-150.99971.0660
2024-10-140.99871.0650