华夏价值精选混合
(007592.jj)华夏基金管理有限公司持有人户数9.21万
成立日期2020-01-10
总资产规模
5.49亿 (2024-09-30)
基金类型混合型当前净值1.2918基金经理朱熠管理费用率1.20%管托费用率0.20%持仓换手率76.82% (2024-06-30) 成立以来分红再投入年化收益率5.32%
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华夏价值精选混合(007592) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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华夏价值精选混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-12-201.29181.2918
2024-12-191.29551.2955
2024-12-181.29371.2937
2024-12-171.29021.2902
2024-12-161.31371.3137
2024-12-131.32661.3266
2024-12-121.36031.3603
2024-12-111.34561.3456
2024-12-101.34301.3430
2024-12-091.35051.3505
2024-12-061.33311.3331
2024-12-051.32571.3257
2024-12-041.32941.3294
2024-12-031.34341.3434
2024-12-021.33801.3380
2024-11-291.32421.3242
2024-11-281.31271.3127
2024-11-271.31561.3156
2024-11-261.29501.2950
2024-11-251.30161.3016
2024-11-221.29201.2920
2024-11-211.32911.3291
2024-11-201.35051.3505
2024-11-191.34001.3400
2024-11-181.32031.3203
2024-11-151.32941.3294
2024-11-141.34091.3409
2024-11-131.37811.3781
2024-11-121.38221.3822
2024-11-111.41081.4108
2024-11-081.40281.4028
2024-11-071.40361.4036
2024-11-061.37071.3707
2024-11-051.36771.3677
2024-11-041.32821.3282
2024-11-011.30681.3068
2024-10-311.32271.3227
2024-10-301.31431.3143
2024-10-291.32391.3239
2024-10-281.33801.3380
2024-10-251.31961.3196
2024-10-241.30311.3031
2024-10-231.31631.3163
2024-10-221.31911.3191
2024-10-211.29901.2990
2024-10-181.29981.2998
2024-10-171.26411.2641
2024-10-161.28801.2880
2024-10-151.27681.2768
2024-10-141.29691.2969