银华可转债债券A
(005771.jj ) 银华基金管理股份有限公司
基金类型债券型成立日期2018-08-31总资产规模4.59亿 (2025-09-30) 基金净值1.5899 (2025-12-11) 基金经理孙慧管理费用率0.80%管托费用率0.20% (2025-09-12) 持仓换手率44.04% (2025-06-30) 成立以来分红再投入年化收益率6.58% (277 / 7120)
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银华可转债债券A(005771) - 历史基金净值数据曲线

最后更新于:2025-12-11

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银华可转债债券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
2025-12-111.58991.5899
2025-12-101.60291.6029
2025-12-091.59371.5937
2025-12-081.60331.6033
2025-12-051.58821.5882
2025-12-041.56711.5671
2025-12-031.56841.5684
2025-12-021.57151.5715
2025-12-011.57941.5794
2025-11-281.57381.5738
2025-11-271.56121.5612
2025-11-261.56801.5680
2025-11-251.58261.5826
2025-11-241.57651.5765
2025-11-211.56531.5653
2025-11-201.59231.5923
2025-11-191.59881.5988
2025-11-181.60241.6024
2025-11-171.61431.6143
2025-11-141.62411.6241
2025-11-131.64031.6403
2025-11-121.62141.6214
2025-11-111.62801.6280
2025-11-101.63201.6320
2025-11-071.62891.6289
2025-11-061.62901.6290
2025-11-051.62021.6202
2025-11-041.60821.6082
2025-11-031.62701.6270
2025-10-311.62671.6267
2025-10-301.62951.6295
2025-10-291.65391.6539
2025-10-281.63541.6354
2025-10-271.64021.6402
2025-10-241.61981.6198
2025-10-231.60111.6011
2025-10-221.60031.6003
2025-10-211.61141.6114
2025-10-201.58811.5881
2025-10-171.58461.5846
2025-10-161.60981.6098
2025-10-151.62821.6282
2025-10-141.61341.6134
2025-10-131.63971.6397
2025-10-101.64721.6472
2025-10-091.66041.6604
2025-09-301.65191.6519
2025-09-291.63711.6371
2025-09-261.61701.6170
2025-09-251.62331.6233