华夏双债债券A
(000047.jj ) 华夏基金管理有限公司
基金经理柳万军基金类型债券型成立日期2013-03-14总资产规模32.66亿 (2026-06-30) 基金净值2.2963 (2026-08-26) 管理费用率0.60%管托费用率0.20% (2026-07-27) 成立以来分红再投入年化收益率8.25% (160 / 7430)
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华夏双债债券A(000047) - 历史基金净值数据曲线

最后更新于:2026-08-26

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华夏双债债券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
2026-08-262.29632.5984
2026-08-252.29532.5974
2026-08-242.29282.5949
2026-08-212.29562.5977
2026-08-202.29542.5975
2026-08-192.29502.5971
2026-08-182.30872.6108
2026-08-172.30972.6118
2026-08-142.30042.6025
2026-08-132.30002.6021
2026-08-122.30222.6043
2026-08-112.30132.6034
2026-08-102.30262.6047
2026-08-072.30172.6038
2026-08-062.29612.5982
2026-08-052.29142.5935
2026-08-042.27682.5789
2026-08-032.26212.5642
2026-07-312.27122.5733
2026-07-302.25992.5620
2026-07-292.27152.5736
2026-07-282.27092.5730
2026-07-272.28922.5913
2026-07-242.27632.5784
2026-07-232.27862.5807
2026-07-222.28012.5822
2026-07-212.29172.5938
2026-07-202.27102.5731
2026-07-172.28342.5855
2026-07-162.30432.6064
2026-07-152.31982.6219
2026-07-142.33752.6396
2026-07-132.32482.6269
2026-07-102.35092.6530
2026-07-092.37182.6739
2026-07-082.35922.6613
2026-07-072.36222.6643
2026-07-062.37032.6724
2026-07-032.37982.6819
2026-07-022.39062.6927
2026-07-012.42062.7227
2026-06-302.43082.7329
2026-06-292.39632.6984
2026-06-262.37752.6796
2026-06-252.39002.6921
2026-06-242.38232.6844
2026-06-232.35392.6560
2026-06-222.37732.6794
2026-06-182.38012.6822
2026-06-172.37242.6745