恒生前海丰元兴瑞债券C
(026494.jj )
基金经理张昆钟恩庚基金类型债券型成立日期2026-04-10总资产规模1,163.96万 (2026-06-30) 基金净值0.9829 (2026-09-17) 管理费用率0.60%管托费用率0.10% (2026-06-30) 成立以来分红再投入年化收益率-1.71% (7401 / 7479)
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恒生前海丰元兴瑞债券C(026494) - 历史基金净值数据曲线

最后更新于:2026-09-17

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恒生前海丰元兴瑞债券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
2026-09-170.98290.9829
2026-09-160.98190.9819
2026-09-150.97860.9786
2026-09-140.97980.9798
2026-09-110.98030.9803
2026-09-100.98460.9846
2026-09-090.98750.9875
2026-09-080.98710.9871
2026-09-070.98590.9859
2026-09-040.98600.9860
2026-09-030.98850.9885
2026-09-020.98710.9871
2026-09-010.99010.9901
2026-08-310.99280.9928
2026-08-280.98980.9898
2026-08-270.99050.9905
2026-08-260.98590.9859
2026-08-250.98550.9855
2026-08-240.98560.9856
2026-08-210.99000.9900
2026-08-200.98950.9895
2026-08-190.98850.9885
2026-08-180.99620.9962
2026-08-170.99560.9956
2026-08-140.99020.9902
2026-08-130.98870.9887
2026-08-120.99150.9915
2026-08-110.99140.9914
2026-08-100.99370.9937
2026-08-070.99260.9926
2026-08-060.99080.9908
2026-08-050.99020.9902
2026-08-040.98510.9851
2026-08-030.98280.9828
2026-07-310.98390.9839
2026-07-300.98060.9806
2026-07-290.98290.9829
2026-07-280.98000.9800
2026-07-270.98420.9842
2026-07-240.97980.9798
2026-07-230.98620.9862
2026-07-220.98240.9824
2026-07-210.98370.9837
2026-07-200.97770.9777
2026-07-170.98060.9806
2026-07-160.98940.9894
2026-07-150.99370.9937
2026-07-140.99600.9960
2026-07-130.99190.9919
2026-07-100.99940.9994