华宝油气美元
(001481.jj)华宝基金管理有限公司
成立日期2015-06-17
总资产规模
3.91亿 (2021-12-31)
基金类型指数型基金(LOF)当前净值0.1120基金经理周晶杨洋管理费用率1.00%管托费用率0.28%成立以来分红再投入年化收益率-0.85%
备注 (0): 双击编辑备注
发表讨论

华宝油气美元(001481) - 历史基金净值数据曲线

最后更新于:2024-07-25

数据选项
加载中......
华宝油气美元历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-250.11200.1120
2024-07-240.11070.1107
2024-07-230.11140.1114
2024-07-220.11310.1131
2024-07-190.11360.1136
2024-07-180.11430.1143
2024-07-170.11490.1149
2024-07-160.11500.1150
2024-07-150.11490.1149
2024-07-120.11330.1133
2024-07-110.11310.1131
2024-07-100.11130.1113
2024-07-090.11080.1108
2024-07-080.11180.1118
2024-07-050.11180.1118
2024-07-040.11460.1146
2024-07-030.11460.1146
2024-07-020.11370.1137
2024-07-010.11330.1133
2024-06-280.11320.1132
2024-06-270.11280.1128
2024-06-260.11280.1128
2024-06-250.11390.1139
2024-06-240.11400.1140
2024-06-210.11090.1109
2024-06-200.11190.1119
2024-06-190.11070.1107
2024-06-180.11070.1107
2024-06-170.11050.1105
2024-06-140.11060.1106
2024-06-130.11240.1124
2024-06-120.11410.1141
2024-06-110.11540.1154
2024-06-070.11290.1129
2024-06-060.11350.1135
2024-06-050.11300.1130
2024-06-040.11260.1126
2024-06-030.11420.1142
2024-05-310.11760.1176
2024-05-300.11530.1153
2024-05-290.11480.1148
2024-05-280.11670.1167
2024-05-270.11490.1149
2024-05-240.11490.1149
2024-05-230.11470.1147
2024-05-220.11580.1158
2024-05-210.11750.1175
2024-05-200.11840.1184
2024-05-170.11790.1179
2024-05-160.11640.1164