华夏恒生ETF联接A
(000071.jj)恒生指数华夏基金管理有限公司
成立日期2012-08-21
总资产规模
49.86亿 (2024-03-31)
基金类型指数型基金(ETF,联接型)当前净值1.0877基金经理徐猛管理费用率0.60%管托费用率0.15%成立以来分红再投入年化收益率0.71%
备注 (2): 双击编辑备注
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华夏恒生ETF联接A(000071) - 历史月度涨跌幅

最后更新于:2024-07-05

数据选项
基金名称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华夏恒生ETF联接A -8.60%6.04%0.36%7.21%2.25%-0.90%0.89%----------6.62%
恒生指数 -9.16%6.63%0.18%7.39%1.78%-2.00%0.46%----------4.41%
2023华夏恒生ETF联接A 6.30%-6.83%1.73%-1.76%-5.59%5.76%5.66%-7.91%-4.72%-1.48%-1.16%-0.29%-11.05%
恒生指数 10.42%-9.41%3.10%-2.48%-8.35%3.74%6.15%-8.45%-3.11%-3.91%-0.41%0.03%-13.82%
2022华夏恒生ETF联接A 0.61%-4.32%-3.38%-0.47%2.04%3.32%-6.74%1.10%-10.65%-13.60%25.76%3.20%-7.79%
恒生指数 1.73%-4.58%-3.15%-4.13%1.54%2.08%-7.79%-1.00%-13.69%-14.72%26.62%6.37%-15.46%
2021华夏恒生ETF联接A 2.68%2.27%-0.74%-0.06%0.40%0.39%-9.29%-0.24%-4.35%1.80%-7.48%-0.42%-14.76%
恒生指数 3.87%2.46%-2.08%1.22%1.49%-1.11%-9.94%-0.32%-5.04%3.26%-7.49%-0.33%-14.08%
2020华夏恒生ETF联接A -2.01%-4.54%-7.61%3.70%-5.54%6.03%-0.13%0.74%-6.96%1.46%6.63%2.26%-7.05%
恒生指数 -6.66%-0.69%-9.67%4.41%-6.83%6.38%0.69%2.37%-6.82%2.76%9.27%3.38%-3.40%
2019华夏恒生ETF联接A 5.26%1.94%1.99%2.03%-6.08%6.29%-2.34%-4.79%1.36%2.83%-2.26%6.30%12.24%
恒生指数 8.11%2.47%1.46%2.23%-9.42%6.10%-2.68%-7.39%1.43%3.12%-2.08%7.00%9.07%
2018华夏恒生ETF联接A 6.11%-5.97%-3.20%1.06%2.21%-2.06%1.47%-2.02%0.98%-8.94%5.72%-3.56%-8.93%
恒生指数 9.92%-6.21%-2.44%2.38%-1.10%-4.97%-1.29%-2.43%-0.36%-10.11%6.11%-2.49%-13.61%
2017华夏恒生ETF联接A 4.87%1.73%1.74%1.77%3.84%-0.28%5.55%0.76%-0.61%2.58%2.61%1.10%28.64%
恒生指数 6.18%1.63%1.56%2.09%4.25%0.41%6.05%2.37%-1.49%2.51%3.30%2.54%35.99%
2016华夏恒生ETF联接A -9.26%-2.65%7.44%1.17%1.35%3.43%5.00%5.72%1.65%-0.24%0.24%-2.67%10.54%
恒生指数 -10.18%-2.90%8.71%1.40%-1.20%-0.10%5.28%4.96%1.39%-1.56%-0.63%-3.46%0.39%
2015华夏恒生ETF联接A 3.74%1.26%0.62%10.18%-1.93%-2.78%-5.05%-7.10%-3.34%7.71%-1.93%1.03%1.03%
恒生指数 3.82%1.29%0.31%12.98%-2.52%-4.28%-6.15%-12.04%-3.80%8.60%-2.84%-0.37%-7.16%
2014华夏恒生ETF联接A -5.34%3.59%-2.28%-0.20%5.18%0.97%7.18%0.09%-6.69%4.40%-0.18%-1.93%3.89%
恒生指数 -5.45%3.64%-3.00%-0.08%4.28%0.47%6.75%-0.06%-7.31%4.64%-0.04%-1.59%1.28%
2013华夏恒生ETF联接A 3.01%-2.92%-2.82%0.30%-0.80%-5.42%4.78%-0.81%4.60%1.27%2.51%-3.20%-0.10%
恒生指数 4.73%-2.99%-3.13%1.96%-1.52%-7.10%5.19%-0.70%5.19%1.52%2.91%-2.41%2.87%
2012华夏恒生ETF联接A ----------------0.20%0.40%0.10%2.18%--
恒生指数 10.61%6.32%-5.19%2.62%-11.68%4.36%1.83%-1.59%6.97%3.85%1.80%2.84%22.91%
2011华夏恒生ETF联接A --------------------------
恒生指数 1.79%-0.47%0.81%0.82%-0.15%-5.43%0.19%-8.49%-14.33%12.92%-9.44%2.47%-19.97%
2010华夏恒生ETF联接A --------------------------
恒生指数 -8.00%2.42%3.06%-0.62%-6.36%1.84%4.48%-2.35%8.87%3.30%-0.38%0.12%5.32%
2009华夏恒生ETF联接A --------------------------
恒生指数 -7.71%-3.51%5.97%14.33%17.07%1.14%11.94%-4.13%6.24%3.81%0.32%0.23%52.02%
2008华夏恒生ETF联接A --------------------------
恒生指数 -15.67%3.73%-6.09%12.72%-4.75%-9.91%2.85%-6.46%-15.27%-22.47%-0.58%3.59%-48.27%
2007华夏恒生ETF联接A --------------------------
恒生指数 0.71%-2.26%0.76%2.62%1.55%5.52%6.49%3.45%13.17%15.51%-8.64%-2.90%39.31%
2006华夏恒生ETF联接A --------------------------
恒生指数 5.89%1.05%-0.71%5.42%-4.82%2.58%4.33%2.48%0.87%4.45%3.47%5.30%34.20%
2005华夏恒生ETF联接A --------------------------
恒生指数 -3.57%3.45%-4.78%2.90%-0.30%2.41%4.79%0.15%3.52%-6.75%3.83%-0.41%4.54%
2004华夏恒生ETF联接A --------------------------
恒生指数 5.67%4.65%-8.81%-5.83%2.14%0.72%-0.39%5.00%2.10%-0.50%7.70%1.21%13.15%
2003华夏恒生ETF联接A --------------------------
恒生指数 -0.67%-1.47%-5.35%0.96%8.83%0.95%5.82%7.64%2.94%8.55%1.04%2.10%34.92%
2002华夏恒生ETF联接A --------------------------
恒生指数 -5.90%-2.26%5.25%4.21%-1.70%-6.22%-3.12%-2.18%-9.67%4.07%6.66%-7.43%-18.21%
2001华夏恒生ETF联接A --------------------------
恒生指数 6.67%-8.16%-13.71%4.90%-1.58%-1.00%-5.57%-9.96%-10.28%1.24%11.96%1.05%-24.50%
2000华夏恒生ETF联接A --------------------------
恒生指数 -10.58%10.54%1.38%-10.84%-5.19%9.80%4.24%1.52%-8.47%-4.82%-6.12%7.95%-13.09%