恒生前海恒源臻利债券C
(020070.jj)恒生前海基金管理有限公司持有人户数173.00
成立日期2023-12-08
总资产规模
27.65亿 (2024-09-30)
基金类型债券型当前净值1.2242基金经理张昆吕程管理费用率0.30%管托费用率0.10%成立以来分红再投入年化收益率46.12%异常提示: 该基金于2024-06-21基金净值和阶段涨幅出现异常波动,可能是由于巨额赎回等原因所导致。
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恒生前海恒源臻利债券C(020070) - 历史基金累计净值数据曲线

最后更新于:2024-12-27

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恒生前海恒源臻利债券C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-271.22421.4882
2024-12-261.22321.4872
2024-12-251.22281.4868
2024-12-241.22371.4877
2024-12-231.22371.4877
2024-12-201.22331.4873
2024-12-191.22271.4867
2024-12-181.22201.4860
2024-12-171.22241.4864
2024-12-161.22291.4869
2024-12-131.28301.4860
2024-12-121.28111.4841
2024-12-111.28051.4835
2024-12-101.28001.4830
2024-12-091.27721.4802
2024-12-061.27581.4788
2024-12-051.27601.4790
2024-12-041.27581.4788
2024-12-031.27471.4777
2024-12-021.27481.4778
2024-11-291.27221.4752
2024-11-281.27091.4739
2024-11-271.26981.4728
2024-11-261.26991.4729
2024-11-251.27011.4731
2024-11-221.33351.4725
2024-11-211.33381.4728
2024-11-201.33291.4719
2024-11-191.33361.4726
2024-11-181.33321.4722
2024-11-151.33381.4728
2024-11-141.33411.4731
2024-11-131.33381.4728
2024-11-121.33451.4735
2024-11-111.33361.4726
2024-11-081.33321.4722
2024-11-071.33331.4723
2024-11-061.33241.4714
2024-11-051.33311.4721
2024-11-041.33271.4717
2024-11-011.33261.4716
2024-10-311.33211.4711
2024-10-301.33121.4702
2024-10-291.33171.4707
2024-10-281.33151.4705
2024-10-251.39851.4705
2024-10-241.39811.4701
2024-10-231.39831.4703
2024-10-221.39881.4708
2024-10-211.40001.4720