华夏策略混合
(002031.jj)华夏基金管理有限公司
成立日期2008-10-23
总资产规模
5.25亿 (2024-03-31)
基金类型混合型当前净值4.2540基金经理陈伟彦管理费用率1.20%管托费用率0.20%持仓换手率183.84% (2023-12-31) 成立以来分红再投入年化收益率11.83%
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华夏策略混合(002031) - 历史月度涨跌幅

最后更新于:2024-07-05

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
2024-9.78%8.92%0.95%3.91%-0.60%-2.69%-2.70%-----------2.99%
20235.38%-3.69%-1.75%-2.94%-1.63%3.69%0.24%-3.02%-3.53%-3.06%-0.47%-2.12%-12.56%
2022-9.48%-0.05%-6.27%-7.77%4.28%9.04%-2.30%-4.17%-5.41%-0.80%0.28%-1.65%-22.94%
20210.25%-1.97%-4.05%5.04%3.86%2.03%-0.13%6.11%-3.92%3.45%0.63%-3.71%7.11%
20203.41%2.95%-7.22%8.72%1.26%13.40%11.49%-0.60%-3.77%3.50%2.01%9.58%52.13%
20191.48%10.62%5.77%-0.71%-5.24%5.17%2.00%1.91%1.65%1.16%0.21%6.56%34.12%
20181.01%-2.57%-0.70%-2.95%4.86%-4.69%-0.09%-4.78%2.24%-8.34%3.41%-1.81%-14.20%
20170.55%2.56%1.30%-0.91%-1.64%5.38%-1.31%2.03%1.54%3.66%-2.27%1.88%13.25%
2016-10.37%0.34%6.24%0.43%1.98%1.88%2.52%1.70%-0.69%1.32%1.43%-1.79%4.18%
201510.40%8.98%17.56%7.52%9.67%-13.31%-9.13%-9.53%-4.43%11.83%9.02%2.72%42.26%
20144.16%-1.92%-4.44%-0.22%-0.22%0.49%2.70%1.31%6.17%0.88%1.36%-1.24%8.96%
20136.91%2.04%-2.28%-0.18%7.89%-7.75%3.00%4.85%6.64%-2.96%2.42%-2.57%18.11%
2012-0.66%7.67%-4.65%4.18%1.65%-3.04%-5.84%0.20%0.33%0.00%-5.85%10.90%3.49%
2011-1.66%5.99%0.27%2.18%-6.50%3.05%2.68%-1.42%-12.20%5.06%-0.38%-10.39%-14.25%
2010-0.79%5.03%3.53%-2.83%-3.76%-7.35%10.01%3.68%5.67%10.50%4.98%-0.93%29.50%
20097.17%3.80%10.37%3.71%3.58%9.11%16.36%-14.41%5.48%9.49%10.25%1.01%84.30%
2008--------------------1.10%2.08%--