华宝双债增强债券A
(011280.jj ) 华宝基金管理有限公司
基金类型债券型成立日期2021-04-23总资产规模9.20亿 (2025-09-30) 基金净值1.2022 (2025-12-19) 基金经理李栋梁李巍管理费用率0.70%管托费用率0.10% (2025-06-30) 持仓换手率7.76% (2024-12-31) 成立以来分红再投入年化收益率4.03% (1308 / 7127)
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华宝双债增强债券A(011280) - 历史基金净值数据曲线

最后更新于:2025-12-19

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华宝双债增强债券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
2025-12-191.20221.2022
2025-12-181.19921.1992
2025-12-171.19681.1968
2025-12-161.19221.1922
2025-12-151.19541.1954
2025-12-121.19701.1970
2025-12-111.19531.1953
2025-12-101.19811.1981
2025-12-091.19471.1947
2025-12-081.19871.1987
2025-12-051.19581.1958
2025-12-041.18861.1886
2025-12-031.19051.1905
2025-12-021.19151.1915
2025-12-011.19531.1953
2025-11-281.19271.1927
2025-11-271.18901.1890
2025-11-261.19391.1939
2025-11-251.20091.2009
2025-11-241.19971.1997
2025-11-211.19641.1964
2025-11-201.20321.2032
2025-11-191.20411.2041
2025-11-181.20281.2028
2025-11-171.20471.2047
2025-11-141.20801.2080
2025-11-131.21361.2136
2025-11-121.20621.2062
2025-11-111.20721.2072
2025-11-101.20821.2082
2025-11-071.20331.2033
2025-11-061.20361.2036
2025-11-051.20111.2011
2025-11-041.19651.1965
2025-11-031.20311.2031
2025-10-311.20101.2010
2025-10-301.19691.1969
2025-10-291.20391.2039
2025-10-281.19951.1995
2025-10-271.19961.1996
2025-10-241.19291.1929
2025-10-231.18841.1884
2025-10-221.18561.1856
2025-10-211.18831.1883
2025-10-201.18251.1825
2025-10-171.18201.1820
2025-10-161.18621.1862
2025-10-151.18991.1899
2025-10-141.18701.1870
2025-10-131.19181.1918