新华增盈回报债券
(000973.jj ) 新华基金管理股份有限公司
基金经理王丹基金类型债券型成立日期2015-01-16总资产规模6.74亿 (2026-03-31) 基金净值1.3203 (2026-05-14) 管理费用率0.50%管托费用率0.10% (2025-12-25) 持仓换手率107.11% (2025-06-30) 成立以来分红再投入年化收益率5.74% (498 / 7296)
备注 (2): 双击编辑备注
发表讨论

新华增盈回报债券(000973) - 历史基金净值数据曲线

最后更新于:2026-05-14

数据选项
加载中......
新华增盈回报债券历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-05-141.32031.7455
2026-05-131.32651.7517
2026-05-121.32361.7488
2026-05-111.32251.7477
2026-05-081.31401.7392
2026-05-071.31781.7430
2026-05-061.31481.7400
2026-04-301.31091.7361
2026-04-291.30561.7308
2026-04-281.30541.7306
2026-04-271.30421.7294
2026-04-241.29481.7200
2026-04-231.29451.7197
2026-04-221.29681.7220
2026-04-211.29361.7188
2026-04-201.29591.7211
2026-04-171.29551.7207
2026-04-161.29571.7209
2026-04-151.29491.7201
2026-04-141.29671.7219
2026-04-131.29381.7190
2026-04-101.29391.7191
2026-04-091.29241.7176
2026-04-081.29301.7182
2026-04-071.28441.7096
2026-04-031.28281.7080
2026-04-021.28341.7086
2026-04-011.28621.7114
2026-03-311.28321.7084
2026-03-301.28531.7105
2026-03-271.28571.7109
2026-03-261.28551.7107
2026-03-251.28941.7146
2026-03-241.28521.7104
2026-03-231.28331.7085
2026-03-201.28781.7130
2026-03-191.28861.7138
2026-03-181.29101.7162
2026-03-171.28821.7134
2026-03-161.29051.7157
2026-03-131.28981.7150
2026-03-121.29231.7175
2026-03-111.29391.7191
2026-03-101.29381.7190
2026-03-091.29151.7167
2026-03-061.29561.7208
2026-03-051.29451.7197
2026-03-041.29231.7175
2026-03-031.29441.7196
2026-03-021.30031.7255