华宝稳健回报混合
(000993.jj)华宝基金管理有限公司
成立日期2015-03-27
总资产规模
1.15亿 (2024-06-30)
基金类型混合型当前净值1.2980基金经理徐欣管理费用率1.20%管托费用率0.20%持仓换手率508.86% (2023-12-31) 成立以来分红再投入年化收益率2.83%
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华宝稳健回报混合(000993) - 历史基金累计净值数据曲线

最后更新于:2024-07-26

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华宝稳健回报混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-261.29801.2980
2024-07-251.30601.3060
2024-07-241.32501.3250
2024-07-231.31601.3160
2024-07-221.32401.3240
2024-07-191.32901.3290
2024-07-181.33701.3370
2024-07-171.32201.3220
2024-07-161.34301.3430
2024-07-151.33601.3360
2024-07-121.33501.3350
2024-07-111.34501.3450
2024-07-101.34601.3460
2024-07-091.35101.3510
2024-07-081.33301.3330
2024-07-051.32601.3260
2024-07-041.32901.3290
2024-07-031.33201.3320
2024-07-021.33801.3380
2024-07-011.33801.3380
2024-06-281.32301.3230
2024-06-271.30901.3090
2024-06-261.31601.3160
2024-06-251.30901.3090
2024-06-241.32201.3220
2024-06-211.33001.3300
2024-06-201.33101.3310
2024-06-191.33301.3330
2024-06-181.33601.3360
2024-06-171.32401.3240
2024-06-141.32801.3280
2024-06-131.31401.3140
2024-06-121.30601.3060
2024-06-111.30201.3020
2024-06-071.31101.3110
2024-06-061.31701.3170
2024-06-051.31201.3120
2024-06-041.32301.3230
2024-06-031.31201.3120
2024-05-311.29501.2950
2024-05-301.29701.2970
2024-05-291.30301.3030
2024-05-281.30301.3030
2024-05-271.30601.3060
2024-05-241.29001.2900
2024-05-231.30301.3030
2024-05-221.31101.3110
2024-05-211.31801.3180
2024-05-201.31801.3180
2024-05-171.30501.3050