华夏新时代混合(QDII)
(005534.jj)华夏基金管理有限公司持有人户数3.72万
成立日期2018-05-30
总资产规模
1.26亿 (2024-09-30)
基金类型QDII当前净值1.2919基金经理常亚桥管理费用率1.80%管托费用率0.30%持仓换手率24.35倍 (2023-12-31) 成立以来分红再投入年化收益率3.99%
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华夏新时代混合(QDII)(005534) - 历史基金累计净值数据曲线

最后更新于:2024-12-19

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华夏新时代混合(QDII)历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-191.29191.2919
2024-12-181.28831.2883
2024-12-171.30471.3047
2024-12-161.31111.3111
2024-12-131.31371.3137
2024-12-121.31881.3188
2024-12-111.32651.3265
2024-12-101.31901.3190
2024-12-091.31111.3111
2024-12-061.30711.3071
2024-12-051.31391.3139
2024-12-041.29721.2972
2024-12-031.28471.2847
2024-12-021.29151.2915
2024-11-291.27221.2722
2024-11-281.24471.2447
2024-11-271.24731.2473
2024-11-261.22601.2260
2024-11-251.25131.2513
2024-11-221.25811.2581
2024-11-211.27411.2741
2024-11-201.27901.2790
2024-11-191.26551.2655
2024-11-181.24451.2445
2024-11-151.26211.2621
2024-11-141.28771.2877
2024-11-131.32801.3280
2024-11-121.34021.3402
2024-11-111.37341.3734
2024-11-081.33041.3304
2024-11-071.32461.3246
2024-11-061.30401.3040
2024-11-051.28621.2862
2024-11-041.24781.2478
2024-11-011.24311.2431
2024-10-311.28671.2867
2024-10-301.28981.2898
2024-10-291.29011.2901
2024-10-281.31061.3106
2024-10-251.31281.3128
2024-10-241.27741.2774
2024-10-231.29231.2923
2024-10-221.30001.3000
2024-10-211.30231.3023
2024-10-181.29701.2970
2024-10-171.20951.2095
2024-10-161.20311.2031
2024-10-151.21181.2118
2024-10-141.23971.2397
2024-10-111.23341.2334