华夏债券增强六个月持有债券C
(024783.jj )
基金经理吴凡金安达基金类型债券型成立日期2025-07-22总资产规模1,326.96万 (2026-06-30) 基金净值1.0690 (2026-08-25) 管理费用率0.60%管托费用率0.15% (2026-06-30) 成立以来分红再投入年化收益率1.20% (6722 / 7427)
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华夏债券增强六个月持有债券C(024783) - 历史基金净值数据曲线

最后更新于:2026-08-25

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华夏债券增强六个月持有债券C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-08-251.06901.0690
2026-08-241.06921.0692
2026-08-211.06901.0690
2026-08-201.06831.0683
2026-08-191.06781.0678
2026-08-181.06921.0692
2026-08-171.06911.0691
2026-08-141.06801.0680
2026-08-131.06811.0681
2026-08-121.06821.0682
2026-08-111.06801.0680
2026-08-101.06851.0685
2026-08-071.06801.0680
2026-08-061.06791.0679
2026-08-051.06791.0679
2026-08-041.06781.0678
2026-08-031.06751.0675
2026-07-311.06781.0678
2026-07-301.06781.0678
2026-07-291.06791.0679
2026-07-281.06661.0666
2026-07-271.06781.0678
2026-07-241.06731.0673
2026-07-231.06871.0687
2026-07-221.06811.0681
2026-07-211.06811.0681
2026-07-201.06701.0670
2026-07-171.06531.0653
2026-07-161.06671.0667
2026-07-151.06711.0671
2026-07-141.06641.0664
2026-07-131.06521.0652
2026-07-101.06561.0656
2026-07-091.06621.0662
2026-07-081.06591.0659
2026-07-071.06601.0660
2026-07-061.06681.0668
2026-07-031.06631.0663
2026-07-021.06541.0654
2026-07-011.06621.0662
2026-06-301.06591.0659
2026-06-291.06621.0662
2026-06-261.06601.0660
2026-06-251.06831.0683
2026-06-241.06881.0688
2026-06-231.06961.0696
2026-06-221.07341.0734
2026-06-181.07221.0722
2026-06-171.07391.0739
2026-06-161.07371.0737