博时转债增强债券A
(050019.jj ) 博时基金管理有限公司
基金类型债券型成立日期2010-11-24总资产规模12.13亿 (2025-09-30) 基金净值2.5517 (2026-01-12) 基金经理过钧高晖管理费用率0.75%管托费用率0.20% (2025-06-30) 持仓换手率49.34% (2025-06-30) 成立以来分红再投入年化收益率6.41% (373 / 7200)
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博时转债增强债券A(050019) - 历史基金净值数据曲线

最后更新于:2026-01-12

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博时转债增强债券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
2026-01-122.55172.5567
2026-01-092.50462.5096
2026-01-082.46762.4726
2026-01-072.43872.4437
2026-01-062.41522.4202
2026-01-052.37332.3783
2025-12-312.32862.3336
2025-12-302.32302.3280
2025-12-292.31562.3206
2025-12-262.32202.3270
2025-12-252.32712.3321
2025-12-242.30012.3051
2025-12-232.26742.2724
2025-12-222.27462.2796
2025-12-192.25042.2554
2025-12-182.24162.2466
2025-12-172.24112.2461
2025-12-162.20332.2083
2025-12-152.23242.2374
2025-12-122.23412.2391
2025-12-112.20642.2114
2025-12-102.22122.2262
2025-12-092.20372.2087
2025-12-082.22332.2283
2025-12-052.20702.2120
2025-12-042.16582.1708
2025-12-032.16202.1670
2025-12-022.16682.1718
2025-12-012.18742.1924
2025-11-282.18152.1865
2025-11-272.16492.1699
2025-11-262.18182.1868
2025-11-252.20772.2127
2025-11-242.18332.1883
2025-11-212.15952.1645
2025-11-202.19582.2008
2025-11-192.20502.2100
2025-11-182.20042.2054
2025-11-172.21602.2210
2025-11-142.22302.2280
2025-11-132.25392.2589
2025-11-122.21772.2227
2025-11-112.22582.2308
2025-11-102.23482.2398
2025-11-072.23312.2381
2025-11-062.24832.2533
2025-11-052.21262.2176
2025-11-042.19822.2032
2025-11-032.23292.2379
2025-10-312.23532.2403