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华夏鼎沛债券C基金净值查询(005887)

今天最新净值 1.3165 0.0085 0.65% 2026-09-17
盘中实时估值(仅供参考) 1.1340 0.0012 0.1043% 2026-03-24 15:39:58
  • 累计净值:1.4126
  • 成立日期:2018-06-26
  • 基金类型:债券型-混合二级
  • 成立份额:
  • 最近份额:1.5199亿
  • 最近资产:0.93亿元
  • 基金公司:华夏基金
  • 基金经理:韩丽楠
近半年华夏鼎沛债券C基金净值查询
基金历史净值按日期查询: -
近半年,华夏鼎沛债券C(005887)基金累计收益率15.84%
净值日期 基金代码 基金名称 最新单位净值 最新累计净值 上期单位净值 上期累计净值 当日增长值 当日增长率
2026-09-17 005887 华夏鼎沛债券C 1.3122 1.4083 1.3165 1.4126 -0.0043 -0.33%
2026-09-16 005887 华夏鼎沛债券C 1.3165 1.4126 1.3080 1.4041 0.0085 0.65%
2026-09-15 005887 华夏鼎沛债券C 1.3080 1.4041 1.3108 1.4069 -0.0028 -0.21%
2026-09-14 005887 华夏鼎沛债券C 1.3108 1.4069 1.3149 1.4110 -0.0041 -0.31%
2026-09-11 005887 华夏鼎沛债券C 1.3149 1.4110 1.3189 1.4150 -0.0040 -0.30%
2026-09-10 005887 华夏鼎沛债券C 1.3189 1.4150 1.3254 1.4215 -0.0065 -0.49%
2026-09-09 005887 华夏鼎沛债券C 1.3254 1.4215 1.3310 1.4271 -0.0056 -0.42%
2026-09-08 005887 华夏鼎沛债券C 1.3310 1.4271 1.3305 1.4266 0.0005 0.04%
2026-09-07 005887 华夏鼎沛债券C 1.3305 1.4266 1.3301 1.4262 0.0004 0.03%
2026-09-04 005887 华夏鼎沛债券C 1.3301 1.4262 1.3282 1.4243 0.0019 0.14%
2026-09-03 005887 华夏鼎沛债券C 1.3282 1.4243 1.3278 1.4239 0.0004 0.03%
2026-09-02 005887 华夏鼎沛债券C 1.3278 1.4239 1.3307 1.4268 -0.0029 -0.22%
2026-09-01 005887 华夏鼎沛债券C 1.3307 1.4268 1.3364 1.4325 -0.0057 -0.43%
2026-08-31 005887 华夏鼎沛债券C 1.3364 1.4325 1.3334 1.4295 0.0030 0.22%
2026-08-28 005887 华夏鼎沛债券C 1.3334 1.4295 1.3379 1.4340 -0.0045 -0.34%
2026-08-27 005887 华夏鼎沛债券C 1.3379 1.4340 1.3333 1.4294 0.0046 0.35%
2026-08-26 005887 华夏鼎沛债券C 1.3333 1.4294 1.3349 1.4310 -0.0016 -0.12%
2026-08-25 005887 华夏鼎沛债券C 1.3349 1.4310 1.3364 1.4325 -0.0015 -0.11%
2026-08-24 005887 华夏鼎沛债券C 1.3364 1.4325 1.3437 1.4398 -0.0073 -0.54%
2026-08-21 005887 华夏鼎沛债券C 1.3437 1.4398 1.3457 1.4418 -0.0020 -0.15%
2026-08-20 005887 华夏鼎沛债券C 1.3457 1.4418 1.3472 1.4433 -0.0015 -0.11%
2026-08-19 005887 华夏鼎沛债券C 1.3472 1.4433 1.3775 1.4736 -0.0303 -2.20%
2026-08-18 005887 华夏鼎沛债券C 1.3775 1.4736 1.3852 1.4813 -0.0077 -0.56%
2026-08-17 005887 华夏鼎沛债券C 1.3852 1.4813 1.3508 1.4469 0.0344 2.55%
2026-08-14 005887 华夏鼎沛债券C 1.3508 1.4469 1.3480 1.4441 0.0028 0.21%
2026-08-13 005887 华夏鼎沛债券C 1.3480 1.4441 1.3663 1.4624 -0.0183 -1.34%
2026-08-12 005887 华夏鼎沛债券C 1.3663 1.4624 1.3605 1.4566 0.0058 0.43%
2026-08-11 005887 华夏鼎沛债券C 1.3605 1.4566 1.3823 1.4784 -0.0218 -1.60%
2026-08-10 005887 华夏鼎沛债券C 1.3823 1.4784 1.3912 1.4873 -0.0089 -0.64%
2026-08-07 005887 华夏鼎沛债券C 1.3912 1.4873 1.3696 1.4657 0.0216 1.58%
2026-08-06 005887 华夏鼎沛债券C 1.3696 1.4657 1.3596 1.4557 0.0100 0.74%
2026-08-05 005887 华夏鼎沛债券C 1.3596 1.4557 1.3374 1.4335 0.0222 1.66%
2026-08-04 005887 华夏鼎沛债券C 1.3374 1.4335 1.3326 1.4287 0.0048 0.36%
2026-08-03 005887 华夏鼎沛债券C 1.3326 1.4287 1.3328 1.4289 -0.0002 -0.02%
2026-07-31 005887 华夏鼎沛债券C 1.3328 1.4289 1.3331 1.4292 -0.0003 -0.02%
2026-07-30 005887 华夏鼎沛债券C 1.3331 1.4292 1.3322 1.4283 0.0009 0.07%
2026-07-29 005887 华夏鼎沛债券C 1.3322 1.4283 1.3310 1.4271 0.0012 0.09%
2026-07-28 005887 华夏鼎沛债券C 1.3310 1.4271 1.3315 1.4276 -0.0005 -0.04%
2026-07-27 005887 华夏鼎沛债券C 1.3315 1.4276 1.3277 1.4238 0.0038 0.29%
2026-07-24 005887 华夏鼎沛债券C 1.3277 1.4238 1.3319 1.4280 -0.0042 -0.32%
2026-07-23 005887 华夏鼎沛债券C 1.3319 1.4280 1.3348 1.4309 -0.0029 -0.22%
2026-07-22 005887 华夏鼎沛债券C 1.3348 1.4309 1.3410 1.4371 -0.0062 -0.46%
2026-07-21 005887 华夏鼎沛债券C 1.3410 1.4371 1.3385 1.4346 0.0025 0.19%
2026-07-20 005887 华夏鼎沛债券C 1.3385 1.4346 1.3424 1.4385 -0.0039 -0.29%
2026-07-17 005887 华夏鼎沛债券C 1.3424 1.4385 1.3524 1.4485 -0.0100 -0.74%
2026-07-16 005887 华夏鼎沛债券C 1.3524 1.4485 1.3603 1.4564 -0.0079 -0.58%
2026-07-15 005887 华夏鼎沛债券C 1.3603 1.4564 1.3805 1.4766 -0.0202 -1.46%
2026-07-14 005887 华夏鼎沛债券C 1.3805 1.4766 1.3800 1.4761 0.0005 0.04%
2026-07-13 005887 华夏鼎沛债券C 1.3800 1.4761 1.3980 1.4941 -0.0180 -1.29%
2026-07-10 005887 华夏鼎沛债券C 1.3980 1.4941 1.4341 1.5302 -0.0361 -2.52%
2026-07-09 005887 华夏鼎沛债券C 1.4341 1.5302 1.3844 1.4805 0.0497 3.59%
2026-07-08 005887 华夏鼎沛债券C 1.3844 1.4805 1.3962 1.4923 -0.0118 -0.85%
2026-07-07 005887 华夏鼎沛债券C 1.3962 1.4923 1.4068 1.5029 -0.0106 -0.75%
2026-07-06 005887 华夏鼎沛债券C 1.4068 1.5029 1.4104 1.5065 -0.0036 -0.26%
2026-07-03 005887 华夏鼎沛债券C 1.4104 1.5065 1.4293 1.5254 -0.0189 -1.34%
2026-07-02 005887 华夏鼎沛债券C 1.4293 1.5254 1.4714 1.5675 -0.0421 -2.86%
2026-07-01 005887 华夏鼎沛债券C 1.4714 1.5675 1.4875 1.5836 -0.0161 -1.08%
2026-06-30 005887 华夏鼎沛债券C 1.4875 1.5836 1.4355 1.5316 0.0520 3.62%
2026-06-29 005887 华夏鼎沛债券C 1.4355 1.5316 1.4230 1.5191 0.0125 0.88%
2026-06-26 005887 华夏鼎沛债券C 1.4230 1.5191 1.4307 1.5268 -0.0077 -0.54%
2026-06-25 005887 华夏鼎沛债券C 1.4307 1.5268 1.4178 1.5139 0.0129 0.91%
2026-06-24 005887 华夏鼎沛债券C 1.4178 1.5139 1.3851 1.4812 0.0327 2.36%
2026-06-23 005887 华夏鼎沛债券C 1.3851 1.4812 1.4060 1.5021 -0.0209 -1.49%
2026-06-22 005887 华夏鼎沛债券C 1.4060 1.5021 1.4045 1.5006 0.0015 0.11%
2026-06-18 005887 华夏鼎沛债券C 1.4045 1.5006 1.4000 1.4961 0.0045 0.32%
2026-06-17 005887 华夏鼎沛债券C 1.4000 1.4961 1.3731 1.4692 0.0269 1.96%
2026-06-16 005887 华夏鼎沛债券C 1.3731 1.4692 1.3482 1.4443 0.0249 1.85%
2026-06-15 005887 华夏鼎沛债券C 1.3482 1.4443 1.3010 1.3971 0.0472 3.63%
2026-06-12 005887 华夏鼎沛债券C 1.3010 1.3971 1.2964 1.3925 0.0046 0.35%
2026-06-11 005887 华夏鼎沛债券C 1.2964 1.3925 1.2855 1.3816 0.0109 0.85%
2026-06-10 005887 华夏鼎沛债券C 1.2855 1.3816 1.2997 1.3958 -0.0142 -1.09%
2026-06-09 005887 华夏鼎沛债券C 1.2997 1.3958 1.2685 1.3646 0.0312 2.46%
2026-06-08 005887 华夏鼎沛债券C 1.2685 1.3646 1.2846 1.3807 -0.0161 -1.25%
2026-06-05 005887 华夏鼎沛债券C 1.2846 1.3807 1.3042 1.4003 -0.0196 -1.50%
2026-06-04 005887 华夏鼎沛债券C 1.3042 1.4003 1.2913 1.3874 0.0129 1.00%
2026-06-03 005887 华夏鼎沛债券C 1.2913 1.3874 1.2949 1.3910 -0.0036 -0.28%
2026-06-02 005887 华夏鼎沛债券C 1.2949 1.3910 1.2829 1.3790 0.0120 0.94%
2026-06-01 005887 华夏鼎沛债券C 1.2829 1.3790 1.3044 1.4005 -0.0215 -1.65%
2026-05-29 005887 华夏鼎沛债券C 1.3044 1.4005 1.3388 1.4349 -0.0344 -2.57%
2026-05-28 005887 华夏鼎沛债券C 1.3388 1.4349 1.3010 1.3971 0.0378 2.91%
2026-05-27 005887 华夏鼎沛债券C 1.3010 1.3971 1.3139 1.4100 -0.0129 -0.98%
2026-05-26 005887 华夏鼎沛债券C 1.3139 1.4100 1.3249 1.4210 -0.0110 -0.83%
2026-05-25 005887 华夏鼎沛债券C 1.3249 1.4210 1.2951 1.3912 0.0298 2.30%
2026-05-22 005887 华夏鼎沛债券C 1.2951 1.3912 1.2717 1.3678 0.0234 1.84%
2026-05-21 005887 华夏鼎沛债券C 1.2717 1.3678 1.2978 1.3939 -0.0261 -2.01%
2026-05-20 005887 华夏鼎沛债券C 1.2978 1.3939 1.2812 1.3773 0.0166 1.30%
2026-05-19 005887 华夏鼎沛债券C 1.2812 1.3773 1.2521 1.3482 0.0291 2.32%
2026-05-18 005887 华夏鼎沛债券C 1.2521 1.3482 1.2436 1.3397 0.0085 0.68%
2026-05-15 005887 华夏鼎沛债券C 1.2436 1.3397 1.2587 1.3548 -0.0151 -1.20%
2026-05-14 005887 华夏鼎沛债券C 1.2587 1.3548 1.2810 1.3771 -0.0223 -1.74%
2026-05-13 005887 华夏鼎沛债券C 1.2810 1.3771 1.2546 1.3507 0.0264 2.10%
2026-05-12 005887 华夏鼎沛债券C 1.2546 1.3507 1.2670 1.3631 -0.0124 -0.98%
2026-05-11 005887 华夏鼎沛债券C 1.2670 1.3631 1.2396 1.3357 0.0274 2.21%
2026-05-08 005887 华夏鼎沛债券C 1.2396 1.3357 1.2457 1.3418 -0.0061 -0.49%
2026-04-30 005887 华夏鼎沛债券C 1.2065 1.3026 1.1973 1.2934 0.0092 0.77%
2026-04-29 005887 华夏鼎沛债券C 1.1973 1.2934 1.1876 1.2837 0.0097 0.82%
2026-04-28 005887 华夏鼎沛债券C 1.1876 1.2837 1.1946 1.2907 -0.0070 -0.59%
2026-04-27 005887 华夏鼎沛债券C 1.1946 1.2907 1.1839 1.2800 0.0107 0.90%
2026-04-24 005887 华夏鼎沛债券C 1.1839 1.2800 1.1880 1.2841 -0.0041 -0.35%
2026-04-23 005887 华夏鼎沛债券C 1.1880 1.2841 1.2025 1.2986 -0.0145 -1.21%
2026-04-22 005887 华夏鼎沛债券C 1.2025 1.2986 1.1840 1.2801 0.0185 1.56%
2026-04-21 005887 华夏鼎沛债券C 1.1840 1.2801 1.1923 1.2884 -0.0083 -0.70%
2026-04-20 005887 华夏鼎沛债券C 1.1923 1.2884 1.1845 1.2806 0.0078 0.66%
2026-04-17 005887 华夏鼎沛债券C 1.1845 1.2806 1.1748 1.2709 0.0097 0.83%
2026-04-16 005887 华夏鼎沛债券C 1.1748 1.2709 1.1563 1.2524 0.0185 1.60%
2026-04-15 005887 华夏鼎沛债券C 1.1563 1.2524 1.1529 1.2490 0.0034 0.29%
2026-04-14 005887 华夏鼎沛债券C 1.1529 1.2490 1.1410 1.2371 0.0119 1.04%
2026-04-13 005887 华夏鼎沛债券C 1.1410 1.2371 1.1469 1.2430 -0.0059 -0.51%
2026-04-10 005887 华夏鼎沛债券C 1.1469 1.2430 1.1456 1.2417 0.0013 0.11%
2026-04-09 005887 华夏鼎沛债券C 1.1456 1.2417 1.1444 1.2405 0.0012 0.10%
2026-04-08 005887 华夏鼎沛债券C 1.1444 1.2405 1.1141 1.2102 0.0303 2.72%
2026-04-07 005887 华夏鼎沛债券C 1.1141 1.2102 1.1147 1.2108 -0.0006 -0.05%
2026-04-03 005887 华夏鼎沛债券C 1.1147 1.2108 1.1138 1.2099 0.0009 0.08%
2026-04-02 005887 华夏鼎沛债券C 1.1138 1.2099 1.1188 1.2149 -0.0050 -0.45%
2026-04-01 005887 华夏鼎沛债券C 1.1188 1.2149 1.1055 1.2016 0.0133 1.20%
2026-03-31 005887 华夏鼎沛债券C 1.1055 1.2016 1.1208 1.2169 -0.0153 -1.37%
2026-03-30 005887 华夏鼎沛债券C 1.1208 1.2169 1.1201 1.2162 0.0007 0.06%
2026-03-27 005887 华夏鼎沛债券C 1.1201 1.2162 1.1214 1.2175 -0.0013 -0.12%
2026-03-26 005887 华夏鼎沛债券C 1.1214 1.2175 1.1353 1.2314 -0.0139 -1.22%
2026-03-25 005887 华夏鼎沛债券C 1.1353 1.2314 1.1243 1.2204 0.0110 0.98%
2026-03-24 005887 华夏鼎沛债券C 1.1243 1.2204 1.1119 1.2080 0.0124 1.12%
2026-03-23 005887 华夏鼎沛债券C 1.1119 1.2080 1.1248 1.2209 -0.0129 -1.15%
2026-03-20 005887 华夏鼎沛债券C 1.1248 1.2209 1.1319 1.2280 -0.0071 -0.63%
2026-03-19 005887 华夏鼎沛债券C 1.1319 1.2280 1.1504 1.2465 -0.0185 -1.61%
2026-03-18 005887 华夏鼎沛债券C 1.1504 1.2465 1.1328 1.2289 0.0176 1.55%
债券型-混合二级基金涨幅榜
基金名称 单位净值 日增长率
鹏华丰盛债券A 1.0511 1.37%
鹏华丰盛债券D 1.0469 1.37%
鹏华丰盛债券B 1.1067 1.36%
惠升和悦债券A 1.1723 1.19%
惠升和悦债券C 1.1719 1.19%
惠升和睿兴利债券A 1.1115 0.81%
惠升和睿兴利债券C 1.0869 0.81%
国泰民安增利债券A 1.2073 0.53%
国泰民安增利债券C 1.1780 0.53%
国泰民安增利债券D 1.2079 0.53%