华夏成长混合
(000001.jj)华夏基金管理有限公司持有人户数16.80万
成立日期2001-12-18
总资产规模
25.79亿 (2024-09-30)
基金类型混合型当前净值0.8410基金经理王泽实管理费用率1.20%管托费用率0.20%持仓换手率116.88% (2024-06-30) 成立以来分红再投入年化收益率7.45%
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华夏成长混合(000001) - 历史月度涨跌幅

最后更新于:2024-12-20

数据选项
1月2月3月4月5月6月7月8月9月10月11月12月年度涨跌幅
2024-13.44%9.62%-0.13%1.89%-0.66%1.74%-0.26%-3.55%14.73%-0.24%0.12%0.12%7.68%
20232.28%-2.73%-6.22%0.11%-1.93%2.29%-4.90%0.34%-1.90%-5.92%-0.48%-4.99%-21.99%
2022-12.99%1.71%-4.11%-8.77%4.91%9.27%-0.75%-1.78%-0.48%4.32%-5.71%-2.05%-17.04%
20211.99%-4.76%-1.89%8.19%4.07%-0.62%-10.63%-4.86%4.30%-2.65%1.52%-0.80%-7.30%
20202.35%2.92%-6.62%6.99%2.41%9.24%12.30%-1.98%-3.21%0.94%0.14%0.69%27.66%
20191.96%13.25%7.08%0.53%-6.31%2.71%0.46%-0.36%0.18%-0.27%-1.42%6.87%26.01%
20181.06%-2.18%-1.34%-2.17%2.31%-5.60%-0.96%-5.31%0.41%-5.89%1.51%-2.34%-19.05%
20170.48%3.36%2.69%-0.27%-1.72%5.99%-1.22%2.90%2.22%3.60%-4.60%2.93%17.12%
2016-22.14%-3.25%8.07%-2.40%-0.55%2.01%0.72%1.25%-1.06%1.51%-1.31%-5.16%-22.73%
20154.41%5.37%17.05%12.13%17.28%-14.24%-12.45%-9.61%-1.99%6.41%2.63%2.29%25.84%
20140.00%-0.18%-4.77%-0.38%0.76%1.79%2.04%2.36%8.78%0.98%3.04%0.34%15.20%
20135.41%1.88%-0.78%-0.78%8.17%-7.92%4.15%1.99%5.21%-2.39%2.45%-1.68%15.71%
2012-0.56%6.17%-4.44%4.54%2.54%-2.68%-3.92%-2.32%2.82%-0.22%-5.18%11.61%7.25%
2011-1.52%5.99%-4.04%-2.36%-5.09%1.82%-0.54%-3.14%-7.13%2.59%-3.40%-9.86%-24.45%
2010-5.42%2.08%1.40%-4.01%-5.34%-3.20%7.32%3.45%1.74%4.57%0.69%1.02%3.45%
20097.00%0.99%13.74%6.82%3.63%10.60%12.90%-20.60%6.92%8.01%7.28%0.07%67.25%
2008-6.55%0.62%-11.74%-0.35%-3.04%-11.14%1.97%-10.93%-5.96%-18.81%8.51%2.72%-44.93%
20077.94%3.69%5.38%22.66%12.27%0.50%15.56%15.85%3.87%0.81%-12.75%13.03%125.67%
20067.19%1.56%4.98%17.27%16.96%2.09%-5.81%1.81%6.50%0.99%14.89%14.73%117.56%
2005-2.07%3.93%-4.46%1.83%-9.87%2.10%0.98%2.04%0.53%-3.03%-2.70%6.32%-5.33%
20048.12%4.38%2.83%-6.08%-1.69%-5.63%1.67%-1.74%4.93%-2.07%0.96%-0.83%3.94%
20036.88%0.40%0.89%0.68%2.23%-4.50%1.34%-3.25%-3.56%1.74%2.03%8.27%13.08%
20021.00%0.30%0.99%2.25%-1.82%7.13%-2.61%0.48%-2.76%-3.04%-1.41%-3.18%-3.10%