华泰保兴嘉睿3个月持有债券发起A
(019793.jj ) 华泰保兴基金管理有限公司
基金类型债券型成立日期2024-06-13总资产规模5,192.12万 (2025-09-30) 基金净值1.0964 (2026-01-21) 基金经理赵旭照周咏梅黄俊卿管理费用率0.40%管托费用率0.10% (2025-09-26) 持仓换手率65.61% (2025-06-30) 成立以来分红再投入年化收益率5.90% (480 / 7187)
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华泰保兴嘉睿3个月持有债券发起A(019793) - 历史基金净值数据曲线

最后更新于:2026-01-21

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华泰保兴嘉睿3个月持有债券发起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
2026-01-211.09641.0964
2026-01-201.09321.0932
2026-01-191.09241.0924
2026-01-161.09001.0900
2026-01-151.08881.0888
2026-01-141.08731.0873
2026-01-131.08601.0860
2026-01-121.08761.0876
2026-01-091.08561.0856
2026-01-081.08311.0831
2026-01-071.08341.0834
2026-01-061.08381.0838
2026-01-051.08031.0803
2025-12-311.07771.0777
2025-12-301.07801.0780
2025-12-291.07671.0767
2025-12-261.07721.0772
2025-12-251.07651.0765
2025-12-241.07571.0757
2025-12-231.07311.0731
2025-12-221.07201.0720
2025-12-191.07001.0700
2025-12-181.06881.0688
2025-12-171.06841.0684
2025-12-161.06401.0640
2025-12-151.06601.0660
2025-12-121.06631.0663
2025-12-111.06371.0637
2025-12-101.06481.0648
2025-12-091.06411.0641
2025-12-081.06561.0656
2025-12-051.06521.0652
2025-12-041.06181.0618
2025-12-031.06221.0622
2025-12-021.06181.0618
2025-12-011.06261.0626
2025-11-281.06101.0610
2025-11-271.06021.0602
2025-11-261.05941.0594
2025-11-251.05921.0592
2025-11-241.05741.0574
2025-11-211.05591.0559
2025-11-201.05971.0597
2025-11-191.06081.0608
2025-11-181.06121.0612
2025-11-171.06301.0630
2025-11-141.06431.0643
2025-11-131.06761.0676
2025-11-121.06511.0651
2025-11-111.06481.0648