华夏睿磐泰兴混合A
(004202.jj)华夏基金管理有限公司持有人户数1.43万
成立日期2017-07-14
总资产规模
5.47亿 (2024-09-30)
基金类型混合型当前净值1.2668基金经理宋洋管理费用率0.80%管托费用率0.20%持仓换手率79.51% (2024-06-30) 成立以来分红再投入年化收益率5.37%
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华夏睿磐泰兴混合A(004202) - 历史基金净值数据曲线

最后更新于:2024-12-20

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华夏睿磐泰兴混合A历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.26681.4615
2024-12-191.26481.4595
2024-12-181.26531.4600
2024-12-171.26661.4613
2024-12-161.27211.4668
2024-12-131.27031.4650
2024-12-121.27061.4653
2024-12-111.26851.4632
2024-12-101.26701.4617
2024-12-091.26501.4597
2024-12-061.26401.4587
2024-12-051.26351.4582
2024-12-041.26211.4568
2024-12-031.26311.4578
2024-12-021.26211.4568
2024-11-291.25891.4536
2024-11-281.25761.4523
2024-11-271.25761.4523
2024-11-261.25691.4516
2024-11-251.25661.4513
2024-11-221.25571.4504
2024-11-211.25711.4518
2024-11-201.25671.4514
2024-11-191.25641.4511
2024-11-181.25591.4506
2024-11-151.25731.4520
2024-11-141.25901.4537
2024-11-131.26401.4587
2024-11-121.26281.4575
2024-11-111.26401.4587
2024-11-081.26021.4549
2024-11-071.26041.4551
2024-11-061.25691.4516
2024-11-051.25671.4514
2024-11-041.25381.4485
2024-11-011.25131.4460
2024-10-311.25221.4469
2024-10-301.25201.4467
2024-10-291.25271.4474
2024-10-281.25341.4481
2024-10-251.25301.4477
2024-10-241.25241.4471
2024-10-231.25271.4474
2024-10-221.25341.4481
2024-10-211.25391.4486
2024-10-181.25301.4477
2024-10-171.25021.4449
2024-10-161.25031.4450
2024-10-151.25071.4454
2024-10-141.25191.4466