华宝新活力混合
(003154.jj)华宝基金管理有限公司持有人户数7,054.00
成立日期2016-09-07
总资产规模
5,154.82万 (2024-09-30)
基金类型混合型当前净值1.6702基金经理曾健飞管理费用率0.60%管托费用率0.15%持仓换手率136.23% (2024-06-30) 成立以来分红再投入年化收益率6.91%
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华宝新活力混合(003154) - 历史基金累计净值数据曲线

最后更新于:2024-12-23

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华宝新活力混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-231.67021.7252
2024-12-201.67531.7303
2024-12-191.66751.7225
2024-12-181.66451.7195
2024-12-171.66101.7160
2024-12-161.66631.7213
2024-12-131.66561.7206
2024-12-121.66341.7184
2024-12-111.66141.7164
2024-12-101.65101.7060
2024-12-091.64451.6995
2024-12-061.64251.6975
2024-12-051.64271.6977
2024-12-041.64081.6958
2024-12-031.64331.6983
2024-12-021.64511.7001
2024-11-291.63821.6932
2024-11-281.63561.6906
2024-11-271.63451.6895
2024-11-261.63341.6884
2024-11-251.63291.6879
2024-11-221.63171.6867
2024-11-211.63431.6893
2024-11-201.63221.6872
2024-11-191.63111.6861
2024-11-181.62811.6831
2024-11-151.63231.6873
2024-11-141.63591.6909
2024-11-131.63791.6929
2024-11-121.63801.6930
2024-11-111.63721.6922
2024-11-081.63291.6879
2024-11-071.63191.6869
2024-11-061.63121.6862
2024-11-051.63271.6877
2024-11-041.62611.6811
2024-11-011.62191.6769
2024-10-311.62371.6787
2024-10-301.62251.6775
2024-10-291.62261.6776
2024-10-281.62481.6798
2024-10-251.62441.6794
2024-10-241.62261.6776
2024-10-231.62251.6775
2024-10-221.62371.6787
2024-10-211.62131.6763
2024-10-181.61821.6732
2024-10-171.61021.6652
2024-10-161.60961.6646
2024-10-151.61101.6660