基金超市-華寶添益D
- 基金凈值
凈值日期 | 萬份收益 | 七日年化收益率 |
2024-11-19 | 0.3415 | 1.2670% |
2024-11-18 | 0.3393 | 1.2670% |
2024-11-17 | 0.6849 | 1.2660% |
2024-11-15 | 0.3390 | 1.2650% |
2024-11-14 | 0.3518 | 1.2660% |
華寶添益D基金代(dai)碼:021809
- 凈值更新時間 : 2024-11-19
- 七日年化收益率 1.2670%
- 每萬份基金凈收益 0.3415
- 最新規模約(2024-09-30) 36.75 億 元
資產組合
數據截止日期:
- 2024-09-30
債券組合
數據截止日期:
- 2024-09-30
持有份額
適合客戶類型
- 保守型
- 穩健型
- 進取型
- 積極型
- 激進型
基金經理
- 高文慶
- 厲卓然
- 高文慶
碩士。2010年(nian)(nian)(nian)(nian)7月加入華(hua)(hua)(hua)寶(bao)(bao)基(ji)(ji)(ji)(ji)金(jin)(jin)管(guan)理(li)(li)(li)(li)(li)有限公司,先后擔(dan)任(ren)助理(li)(li)(li)(li)(li)風險分析師、助理(li)(li)(li)(li)(li)產品經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li)、信用分析師、高(gao)級信用分析師、基(ji)(ji)(ji)(ji)金(jin)(jin)經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li)助理(li)(li)(li)(li)(li)等職務。2017年(nian)(nian)(nian)(nian)3月至(zhi)(zhi)2023年(nian)(nian)(nian)(nian)2月任(ren)華(hua)(hua)(hua)寶(bao)(bao)現金(jin)(jin)寶(bao)(bao)貨(huo)幣市場基(ji)(ji)(ji)(ji)金(jin)(jin)基(ji)(ji)(ji)(ji)金(jin)(jin)經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li),2017年(nian)(nian)(nian)(nian)3月至(zhi)(zhi)2023年(nian)(nian)(nian)(nian)8月任(ren)華(hua)(hua)(hua)寶(bao)(bao)新起(qi)(qi)點靈活配(pei)置混合(he)型(xing)(xing)證(zheng)(zheng)券投(tou)(tou)資(zi)基(ji)(ji)(ji)(ji)金(jin)(jin)基(ji)(ji)(ji)(ji)金(jin)(jin)經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li),2019年(nian)(nian)(nian)(nian)3月起(qi)(qi)任(ren)華(hua)(hua)(hua)寶(bao)(bao)中短(duan)債(zhai)(zhai)債(zhai)(zhai)券型(xing)(xing)發(fa)起(qi)(qi)式(shi)(shi)證(zheng)(zheng)券投(tou)(tou)資(zi)基(ji)(ji)(ji)(ji)金(jin)(jin)基(ji)(ji)(ji)(ji)金(jin)(jin)經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li),2019年(nian)(nian)(nian)(nian)5月起(qi)(qi)任(ren)華(hua)(hua)(hua)寶(bao)(bao)寶(bao)(bao)怡純債(zhai)(zhai)債(zhai)(zhai)券型(xing)(xing)證(zheng)(zheng)券投(tou)(tou)資(zi)基(ji)(ji)(ji)(ji)金(jin)(jin)基(ji)(ji)(ji)(ji)金(jin)(jin)經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li),2019年(nian)(nian)(nian)(nian)7月起(qi)(qi)任(ren)華(hua)(hua)(hua)寶(bao)(bao)現金(jin)(jin)添益交易型(xing)(xing)貨(huo)幣市場基(ji)(ji)(ji)(ji)金(jin)(jin)基(ji)(ji)(ji)(ji)金(jin)(jin)經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li),2019年(nian)(nian)(nian)(nian)9月起(qi)(qi)任(ren)華(hua)(hua)(hua)寶(bao)(bao)政策性(xing)金(jin)(jin)融(rong)債(zhai)(zhai)債(zhai)(zhai)券型(xing)(xing)證(zheng)(zheng)券投(tou)(tou)資(zi)基(ji)(ji)(ji)(ji)金(jin)(jin)基(ji)(ji)(ji)(ji)金(jin)(jin)經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li),2024年(nian)(nian)(nian)(nian)6月起(qi)(qi)任(ren)華(hua)(hua)(hua)寶(bao)(bao)浮動凈值型(xing)(xing)發(fa)起(qi)(qi)式(shi)(shi)貨(huo)幣市場基(ji)(ji)(ji)(ji)金(jin)(jin)基(ji)(ji)(ji)(ji)金(jin)(jin)經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li),2024年(nian)(nian)(nian)(nian)7月起(qi)(qi)任(ren)華(hua)(hua)(hua)寶(bao)(bao)寶(bao)(bao)嘉(jia)30天(tian)持有期債(zhai)(zhai)券型(xing)(xing)證(zheng)(zheng)券投(tou)(tou)資(zi)基(ji)(ji)(ji)(ji)金(jin)(jin)基(ji)(ji)(ji)(ji)金(jin)(jin)經(jing)(jing)(jing)(jing)理(li)(li)(li)(li)(li)。