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) - 历史基金净值数据曲线

最后更新于:2024-12-20

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华夏成长混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-200.84103.4040
2024-12-190.83903.4020
2024-12-180.83603.3990
2024-12-170.83203.3950
2024-12-160.83103.3940
2024-12-130.84003.4030
2024-12-120.85203.4150
2024-12-110.84303.4060
2024-12-100.84303.4060
2024-12-090.84103.4040
2024-12-060.84603.4090
2024-12-050.83903.4020
2024-12-040.83703.4000
2024-12-030.84403.4070
2024-12-020.84703.4100
2024-11-290.84003.4030
2024-11-280.83203.3950
2024-11-270.83403.3970
2024-11-260.81803.3810
2024-11-250.81703.3800
2024-11-220.82403.3870
2024-11-210.84503.4080
2024-11-200.84703.4100
2024-11-190.83903.4020
2024-11-180.82903.3920
2024-11-150.83903.4020
2024-11-140.85403.4170
2024-11-130.87503.4380
2024-11-120.87803.4410
2024-11-110.88603.4490
2024-11-080.87403.4370
2024-11-070.86703.4300
2024-11-060.85803.4210
2024-11-050.86103.4240
2024-11-040.84203.4050
2024-11-010.83003.3930
2024-10-310.83903.4020
2024-10-300.84203.4050
2024-10-290.84503.4080
2024-10-280.85203.4150
2024-10-250.85403.4170
2024-10-240.84903.4120
2024-10-230.85603.4190
2024-10-220.86103.4240
2024-10-210.85803.4210
2024-10-180.84803.4110
2024-10-170.81903.3820
2024-10-160.81603.3790
2024-10-150.82403.3870
2024-10-140.83603.3990