华夏鼎福三个月定开债券A
(005791.jj ) 华夏基金管理有限公司
基金经理武文琦基金类型债券型成立日期2018-09-21总资产规模20.11亿 (2026-03-31) 基金净值1.0558 (2026-06-05) 管理费用率0.30%管托费用率0.10% (2026-05-29) 成立以来分红再投入年化收益率3.48% (2253 / 7313)
备注 (0): 双击编辑备注
发表讨论

华夏鼎福三个月定开债券A(005791) - 历史基金净值数据曲线

最后更新于:2026-06-05

数据选项
加载中......
华夏鼎福三个月定开债券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
2026-06-051.05581.2702
2026-06-041.05631.2707
2026-06-031.05511.2695
2026-06-021.05531.2697
2026-06-011.05521.2696
2026-05-291.05471.2691
2026-05-281.05431.2687
2026-05-271.05411.2685
2026-05-261.05371.2681
2026-05-251.05331.2677
2026-05-221.05231.2667
2026-05-211.05231.2667
2026-05-201.05221.2666
2026-05-191.05221.2666
2026-05-181.05151.2659
2026-05-151.05071.2651
2026-05-141.05071.2651
2026-05-131.05071.2651
2026-05-121.05041.2648
2026-05-111.05021.2646
2026-05-081.04981.2642
2026-05-071.04981.2642
2026-05-061.04981.2642
2026-04-301.05001.2644
2026-04-291.05011.2645
2026-04-281.04991.2643
2026-04-271.04971.2641
2026-04-241.05001.2644
2026-04-231.05041.2648
2026-04-221.05061.2650
2026-04-211.05001.2644
2026-04-201.04951.2639
2026-04-171.04931.2637
2026-04-161.04861.2630
2026-04-151.04871.2631
2026-04-141.04851.2629
2026-04-131.04851.2629
2026-04-101.04821.2626
2026-04-091.04781.2622
2026-04-081.04781.2622
2026-04-071.04741.2618
2026-04-031.04681.2612
2026-04-021.04641.2608
2026-04-011.04631.2607
2026-03-311.04641.2608
2026-03-301.04621.2606
2026-03-271.04581.2602
2026-03-261.04581.2602
2026-03-251.04571.2601
2026-03-241.04551.2599