华夏聚益优选三个月持有债券(FOF)A
(023284.jj )
基金经理孟清扬基金类型FOF成立日期2025-03-07总资产规模426.21万 (2026-06-30) 基金净值1.0084 (2026-07-22) 管理费用率0.20%管托费用率0.05% (2026-05-29) 成立以来分红再投入年化收益率0.61% (1146 / 1579)
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华夏聚益优选三个月持有债券(FOF)A(023284) - 历史基金累计净值数据曲线

最后更新于:2026-07-22

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华夏聚益优选三个月持有债券(FOF)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
2026-07-221.00841.0084
2026-07-211.00781.0078
2026-07-201.00851.0085
2026-07-171.00641.0064
2026-07-161.00761.0076
2026-07-151.00681.0068
2026-07-141.00451.0045
2026-07-131.00371.0037
2026-07-101.00441.0044
2026-07-091.00321.0032
2026-07-081.00421.0042
2026-07-071.00361.0036
2026-07-061.00581.0058
2026-07-031.00331.0033
2026-07-021.00281.0028
2026-07-011.00191.0019
2026-06-301.00121.0012
2026-06-291.00321.0032
2026-06-261.00201.0020
2026-06-251.00321.0032
2026-06-241.00311.0031
2026-06-231.00321.0032
2026-06-221.00481.0048
2026-06-161.00801.0080
2026-06-151.00971.0097
2026-06-121.00921.0092
2026-06-111.00751.0075
2026-06-101.00771.0077
2026-06-091.00761.0076
2026-06-081.00741.0074
2026-06-051.00941.0094
2026-06-041.01031.0103
2026-06-031.01151.0115
2026-06-021.01321.0132
2026-06-011.01321.0132
2026-05-291.01201.0120
2026-05-281.01021.0102
2026-05-271.01091.0109
2026-05-261.01171.0117
2026-05-251.01071.0107
2026-05-221.01051.0105
2026-05-211.01081.0108
2026-05-201.01181.0118
2026-05-191.01221.0122
2026-05-181.01191.0119
2026-05-151.01411.0141
2026-05-141.01611.0161
2026-05-131.01701.0170
2026-05-121.01721.0172
2026-05-111.01821.0182