华夏鼎清债券A
(010014.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2020-12-03总资产规模41.99亿 (2026-03-31) 基金净值1.3589 (2026-07-10) 管理费用率0.50%管托费用率0.14% (2026-05-29) 成立以来分红再投入年化收益率5.63% (486 / 7386)
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华夏鼎清债券A(010014) - 历史基金净值数据曲线

最后更新于:2026-07-10

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华夏鼎清债券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
2026-07-101.35891.3589
2026-07-091.37331.3733
2026-07-081.35661.3566
2026-07-071.35951.3595
2026-07-061.36411.3641
2026-07-031.37021.3702
2026-07-021.37111.3711
2026-07-011.39301.3930
2026-06-301.40101.4010
2026-06-291.38711.3871
2026-06-261.38581.3858
2026-06-251.39351.3935
2026-06-241.38211.3821
2026-06-231.37181.3718
2026-06-221.38371.3837
2026-06-181.37951.3795
2026-06-171.36801.3680
2026-06-161.35691.3569
2026-06-151.34371.3437
2026-06-121.31901.3190
2026-06-111.32131.3213
2026-06-101.31751.3175
2026-06-091.32281.3228
2026-06-081.30591.3059
2026-06-051.31691.3169
2026-06-041.32791.3279
2026-06-031.32061.3206
2026-06-021.31571.3157
2026-06-011.30361.3036
2026-05-291.31681.3168
2026-05-281.32571.3257
2026-05-271.31321.3132
2026-05-261.31701.3170
2026-05-251.31841.3184
2026-05-221.30551.3055
2026-05-211.28961.2896
2026-05-201.30271.3027
2026-05-191.29721.2972
2026-05-181.29361.2936
2026-05-151.28931.2893
2026-05-141.29661.2966
2026-05-131.30491.3049
2026-05-121.29491.2949
2026-05-111.29391.2939
2026-05-081.28651.2865
2026-05-071.28511.2851
2026-05-061.27661.2766
2026-04-301.26531.2653
2026-04-291.26431.2643
2026-04-281.26181.2618