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鹏华双债保利债券B(鹏华双债保利)基金净值查询(000338)

今天最新净值 1.2547 0.0051 0.4100% 2025-02-10
盘中实时估值(仅供参考) 1.2310 0.0023 0.1861%
  • 累计净值:1.6237
  • 成立日期:2013-09-18
  • 基金类型:债券型-混合二级
  • 成立份额:3.693亿份
  • 最近份额:27.9395亿
  • 最近资产:30.93亿元
  • 基金公司:鹏华基金
  • 基金经理:王石千
近半年鹏华双债保利债券B|鹏华双债保利基金净值查询
基金历史净值按日期查询: -
近半年,鹏华双债保利债券B(000338)基金累计收益率7.32%
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
2025-02-10 000338 鹏华双债保利债券B 1.2558 1.6248 1.2547 1.6237 0.0011 0.09%
2025-02-07 000338 鹏华双债保利债券B 1.2547 1.6237 1.2496 1.6186 0.0051 0.41%
2025-02-06 000338 鹏华双债保利债券B 1.2496 1.6186 1.2438 1.6128 0.0058 0.47%
2025-02-05 000338 鹏华双债保利债券B 1.2438 1.6128 1.2431 1.6121 0.0007 0.06%
2025-01-27 000338 鹏华双债保利债券B 1.2431 1.6121 1.2453 1.6143 -0.0022 -0.18%
2025-01-22 000338 鹏华双债保利债券B 1.2400 1.6090 1.2435 1.6125 -0.0035 -0.28%
2025-01-14 000338 鹏华双债保利债券B 1.2382 1.6072 1.2271 1.5961 0.0111 0.90%
2025-01-13 000338 鹏华双债保利债券B 1.2271 1.5961 1.2277 1.5967 -0.0006 -0.05%
2025-01-10 000338 鹏华双债保利债券B 1.2277 1.5967 1.2330 1.6020 -0.0053 -0.43%
2025-01-09 000338 鹏华双债保利债券B 1.2330 1.6020 1.2336 1.6026 -0.0006 -0.05%
2025-01-08 000338 鹏华双债保利债券B 1.2336 1.6026 1.2347 1.6037 -0.0011 -0.09%
2025-01-07 000338 鹏华双债保利债券B 1.2347 1.6037 1.2313 1.6003 0.0034 0.28%
2025-01-06 000338 鹏华双债保利债券B 1.2313 1.6003 1.2323 1.6013 -0.0010 -0.08%
2025-01-03 000338 鹏华双债保利债券B 1.2323 1.6013 1.2364 1.6054 -0.0041 -0.33%
2025-01-02 000338 鹏华双债保利债券B 1.2364 1.6054 1.2455 1.6145 -0.0091 -0.73%
2024-12-31 000338 鹏华双债保利债券B 1.2455 1.6145 1.2517 1.6207 -0.0062 -0.50%
2024-12-26 000338 鹏华双债保利债券B 1.2496 1.6186 1.2479 1.6169 0.0017 0.14%
2024-12-25 000338 鹏华双债保利债券B 1.2479 1.6169 1.2507 1.6197 -0.0028 -0.22%
2024-12-24 000338 鹏华双债保利债券B 1.2507 1.6197 1.2459 1.6149 0.0048 0.39%
2024-12-23 000338 鹏华双债保利债券B 1.2459 1.6149 1.2490 1.6180 -0.0031 -0.25%
2024-12-20 000338 鹏华双债保利债券B 1.2490 1.6180 1.2477 1.6167 0.0013 0.10%
2024-12-19 000338 鹏华双债保利债券B 1.2477 1.6167 1.2480 1.6170 -0.0003 -0.02%
2024-12-18 000338 鹏华双债保利债券B 1.2480 1.6170 1.2461 1.6151 0.0019 0.15%
2024-12-17 000338 鹏华双债保利债券B 1.2461 1.6151 1.2497 1.6187 -0.0036 -0.29%
2024-12-16 000338 鹏华双债保利债券B 1.2497 1.6187 1.2559 1.6249 -0.0062 -0.49%
2024-12-13 000338 鹏华双债保利债券B 1.2559 1.6249 1.2622 1.6312 -0.0063 -0.50%
2024-12-12 000338 鹏华双债保利债券B 1.2622 1.6312 1.2572 1.6262 0.0050 0.40%
2024-12-11 000338 鹏华双债保利债券B 1.2572 1.6262 1.2540 1.6230 0.0032 0.26%
2024-12-10 000338 鹏华双债保利债券B 1.2540 1.6230 1.2483 1.6173 0.0057 0.46%
2024-12-09 000338 鹏华双债保利债券B 1.2483 1.6173 1.2490 1.6180 -0.0007 -0.06%
2024-12-06 000338 鹏华双债保利债券B 1.2490 1.6180 1.2441 1.6131 0.0049 0.39%
2024-12-05 000338 鹏华双债保利债券B 1.2441 1.6131 1.2421 1.6111 0.0020 0.16%
2024-12-04 000338 鹏华双债保利债券B 1.2421 1.6111 1.2449 1.6139 -0.0028 -0.22%
2024-12-03 000338 鹏华双债保利债券B 1.2449 1.6139 1.2444 1.6134 0.0005 0.04%
2024-12-02 000338 鹏华双债保利债券B 1.2444 1.6134 1.2393 1.6083 0.0051 0.41%
2024-11-29 000338 鹏华双债保利债券B 1.2393 1.6083 1.2335 1.6025 0.0058 0.47%
2024-11-28 000338 鹏华双债保利债券B 1.2335 1.6025 1.2349 1.6039 -0.0014 -0.11%
2024-11-27 000338 鹏华双债保利债券B 1.2349 1.6039 1.2278 1.5968 0.0071 0.58%
2024-11-26 000338 鹏华双债保利债券B 1.2278 1.5968 1.2287 1.5977 -0.0009 -0.07%
2024-11-25 000338 鹏华双债保利债券B 1.2287 1.5977 1.2296 1.5986 -0.0009 -0.07%
2024-11-22 000338 鹏华双债保利债券B 1.2296 1.5986 1.2399 1.6089 -0.0103 -0.83%
2024-11-21 000338 鹏华双债保利债券B 1.2399 1.6089 1.2394 1.6084 0.0005 0.04%
2024-11-20 000338 鹏华双债保利债券B 1.2394 1.6084 1.2361 1.6051 0.0033 0.27%
2024-11-19 000338 鹏华双债保利债券B 1.2361 1.6051 1.2318 1.6008 0.0043 0.35%
2024-11-18 000338 鹏华双债保利债券B 1.2318 1.6008 1.2374 1.6064 -0.0056 -0.45%
2024-11-15 000338 鹏华双债保利债券B 1.2374 1.6064 1.2434 1.6124 -0.0060 -0.48%
2024-11-14 000338 鹏华双债保利债券B 1.2434 1.6124 1.2506 1.6196 -0.0072 -0.58%
2024-11-13 000338 鹏华双债保利债券B 1.2506 1.6196 1.2468 1.6158 0.0038 0.30%
2024-11-12 000338 鹏华双债保利债券B 1.2468 1.6158 1.2485 1.6175 -0.0017 -0.14%
2024-11-11 000338 鹏华双债保利债券B 1.2485 1.6175 1.2400 1.6090 0.0085 0.69%
2024-11-08 000338 鹏华双债保利债券B 1.2400 1.6090 1.2412 1.6102 -0.0012 -0.10%
2024-11-07 000338 鹏华双债保利债券B 1.2412 1.6102 1.2308 1.5998 0.0104 0.84%
2024-11-06 000338 鹏华双债保利债券B 1.2308 1.5998 1.2335 1.6025 -0.0027 -0.22%
2024-11-05 000338 鹏华双债保利债券B 1.2335 1.6025 1.2238 1.5928 0.0097 0.79%
2024-11-04 000338 鹏华双债保利债券B 1.2238 1.5928 1.2174 1.5864 0.0064 0.53%
2024-11-01 000338 鹏华双债保利债券B 1.2174 1.5864 1.2186 1.5876 -0.0012 -0.10%
2024-10-31 000338 鹏华双债保利债券B 1.2186 1.5876 1.2179 1.5869 0.0007 0.06%
2024-10-30 000338 鹏华双债保利债券B 1.2179 1.5869 1.2200 1.5890 -0.0021 -0.17%
2024-10-29 000338 鹏华双债保利债券B 1.2200 1.5890 1.2238 1.5928 -0.0038 -0.31%
2024-10-28 000338 鹏华双债保利债券B 1.2238 1.5928 1.2207 1.5897 0.0031 0.25%
2024-10-25 000338 鹏华双债保利债券B 1.2207 1.5897 1.2149 1.5839 0.0058 0.48%
2024-10-24 000338 鹏华双债保利债券B 1.2149 1.5839 1.2202 1.5892 -0.0053 -0.43%
2024-10-23 000338 鹏华双债保利债券B 1.2202 1.5892 1.2209 1.5899 -0.0007 -0.06%
2024-10-22 000338 鹏华双债保利债券B 1.2209 1.5899 1.2196 1.5886 0.0013 0.11%
2024-10-21 000338 鹏华双债保利债券B 1.2196 1.5886 1.2166 1.5856 0.0030 0.25%
2024-10-18 000338 鹏华双债保利债券B 1.2166 1.5856 1.2043 1.5733 0.0123 1.02%
2024-10-17 000338 鹏华双债保利债券B 1.2043 1.5733 1.2068 1.5758 -0.0025 -0.21%
2024-10-16 000338 鹏华双债保利债券B 1.2068 1.5758 1.2066 1.5756 0.0002 0.02%
2024-10-15 000338 鹏华双债保利债券B 1.2066 1.5756 1.2133 1.5823 -0.0067 -0.55%
2024-10-14 000338 鹏华双债保利债券B 1.2133 1.5823 1.2025 1.5715 0.0108 0.90%
2024-10-11 000338 鹏华双债保利债券B 1.2025 1.5715 1.2137 1.5827 -0.0112 -0.92%
2024-10-10 000338 鹏华双债保利债券B 1.2137 1.5827 1.2131 1.5821 0.0006 0.05%
2024-10-09 000338 鹏华双债保利债券B 1.2131 1.5821 1.2493 1.6183 -0.0362 -2.90%
2024-10-08 000338 鹏华双债保利债券B 1.2493 1.6183 1.2230 1.5920 0.0263 2.15%
2024-09-30 000338 鹏华双债保利债券B 1.2230 1.5920 1.1923 1.5613 0.0307 2.57%
2024-09-27 000338 鹏华双债保利债券B 1.1923 1.5613 1.1770 1.5460 0.0153 1.30%
2024-09-26 000338 鹏华双债保利债券B 1.1770 1.5460 1.1630 1.5320 0.0140 1.20%
2024-09-25 000338 鹏华双债保利债券B 1.1630 1.5320 1.1598 1.5288 0.0032 0.28%
2024-09-24 000338 鹏华双债保利债券B 1.1598 1.5288 1.1452 1.5142 0.0146 1.27%
2024-09-23 000338 鹏华双债保利债券B 1.1452 1.5142 1.1456 1.5146 -0.0004 -0.03%
2024-09-20 000338 鹏华双债保利债券B 1.1456 1.5146 1.1465 1.5155 -0.0009 -0.08%
2024-09-19 000338 鹏华双债保利债券B 1.1465 1.5155 1.1435 1.5125 0.0030 0.26%
2024-09-18 000338 鹏华双债保利债券B 1.1435 1.5125 1.1440 1.5130 -0.0005 -0.04%
2024-09-13 000338 鹏华双债保利债券B 1.1440 1.5130 1.1458 1.5148 -0.0018 -0.16%
2024-09-12 000338 鹏华双债保利债券B 1.1458 1.5148 1.1473 1.5163 -0.0015 -0.13%
2024-09-11 000338 鹏华双债保利债券B 1.1473 1.5163 1.1476 1.5166 -0.0003 -0.03%
2024-09-10 000338 鹏华双债保利债券B 1.1476 1.5166 1.1485 1.5175 -0.0009 -0.08%
2024-09-09 000338 鹏华双债保利债券B 1.1485 1.5175 1.1533 1.5223 -0.0048 -0.42%
2024-09-06 000338 鹏华双债保利债券B 1.1533 1.5223 1.1581 1.5271 -0.0048 -0.41%
2024-09-05 000338 鹏华双债保利债券B 1.1581 1.5271 1.1564 1.5254 0.0017 0.15%
2024-09-04 000338 鹏华双债保利债券B 1.1564 1.5254 1.1572 1.5262 -0.0008 -0.07%
2024-09-03 000338 鹏华双债保利债券B 1.1572 1.5262 1.1547 1.5237 0.0025 0.22%
2024-09-02 000338 鹏华双债保利债券B 1.1547 1.5237 1.1607 1.5297 -0.0060 -0.52%
2024-08-30 000338 鹏华双债保利债券B 1.1607 1.5297 1.1533 1.5223 0.0074 0.64%
2024-08-29 000338 鹏华双债保利债券B 1.1533 1.5223 1.1510 1.5200 0.0023 0.20%
2024-08-28 000338 鹏华双债保利债券B 1.1510 1.5200 1.1531 1.5221 -0.0021 -0.18%
2024-08-27 000338 鹏华双债保利债券B 1.1531 1.5221 1.1555 1.5245 -0.0024 -0.21%
2024-08-26 000338 鹏华双债保利债券B 1.1555 1.5245 1.1535 1.5225 0.0020 0.17%
2024-08-23 000338 鹏华双债保利债券B 1.1535 1.5225 1.1539 1.5229 -0.0004 -0.03%
2024-08-22 000338 鹏华双债保利债券B 1.1539 1.5229 1.1559 1.5249 -0.0020 -0.17%
2024-08-21 000338 鹏华双债保利债券B 1.1559 1.5249 1.1568 1.5258 -0.0009 -0.08%
2024-08-20 000338 鹏华双债保利债券B 1.1568 1.5258 1.1623 1.5313 -0.0055 -0.47%
2024-08-19 000338 鹏华双债保利债券B 1.1623 1.5313 1.1606 1.5296 0.0017 0.15%
2024-08-16 000338 鹏华双债保利债券B 1.1606 1.5296 1.1623 1.5313 -0.0017 -0.15%
2024-08-15 000338 鹏华双债保利债券B 1.1623 1.5313 1.1625 1.5315 -0.0002 -0.02%
2024-08-14 000338 鹏华双债保利债券B 1.1625 1.5315 1.1662 1.5352 -0.0037 -0.32%
2024-08-13 000338 鹏华双债保利债券B 1.1662 1.5352 1.1658 1.5348 0.0004 0.03%
2024-08-12 000338 鹏华双债保利债券B 1.1658 1.5348 1.1674 1.5364 -0.0016 -0.14%
鹏华基金旗下基金涨幅榜
基金名称 单位净值 日增长率
科创新能 1.3066 1.88%
鹏华碳中和主题混合A 0.9072 1.31%
鹏华碳中和主题混合C 0.8987 1.30%
鹏华新能源汽车混合A 0.7146 1.25%
鹏华新能源汽车混合C 0.7046 1.24%
传媒ETF 1.0940 1.23%
传媒LOF 1.0004 1.18%
鹏华创新升级混合A 0.8284 1.05%
鹏华创新升级混合C 0.8061 1.04%
鹏华国证2000指数增强A 1.0125 1.02%
债券型-混合二级基金涨幅榜
基金名称 单位净值 日增长率
天弘多元收益A 1.1468 0.70%
中邮睿泽一年持有债券A 1.0354 0.70%
中邮睿泽一年持有债券C 1.0247 0.70%
天弘多元收益债券E 1.1466 0.69%
天弘多元收益C 1.1329 0.69%
宝盈融源可转债债券A 1.1170 0.61%
宝盈融源可转债债券C 1.0995 0.60%
信澳信用债债券A 1.0100 0.60%
信澳信用债债券C 1.0030 0.60%
融通可转债A 0.9618 0.53%