华夏中证银行ETF联接C
(008299.jj)中证银行 (半年) 华夏基金管理有限公司持有人户数1.23万
成立日期2019-12-06
总资产规模
9,852.74万 (2024-09-30)
基金类型指数型基金(ETF,联接型)当前净值1.3937基金经理李俊管理费用率0.50%管托费用率0.10%成立以来分红再投入年化收益率6.98%
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华夏中证银行ETF联接C(008299) - 历史基金累计净值数据曲线

最后更新于:2024-11-08

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华夏中证银行ETF联接C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-11-081.39371.3937
2024-11-071.41211.4121
2024-11-061.38501.3850
2024-11-051.39631.3963
2024-11-041.38641.3864
2024-11-011.37601.3760
2024-10-311.36231.3623
2024-10-301.37051.3705
2024-10-291.38631.3863
2024-10-281.38581.3858
2024-10-251.39841.3984
2024-10-241.40651.4065
2024-10-231.40961.4096
2024-10-221.40481.4048
2024-10-211.40491.4049
2024-10-181.42161.4216
2024-10-171.41571.4157
2024-10-161.43571.4357
2024-10-151.40331.4033
2024-10-141.43141.4314
2024-10-111.38861.3886
2024-10-101.40301.4030
2024-10-091.35151.3515
2024-10-081.43281.4328
2024-09-301.39531.3953
2024-09-271.33701.3370
2024-09-261.34861.3486
2024-09-251.30411.3041
2024-09-241.28011.2801
2024-09-231.23111.2311
2024-09-201.21321.2132
2024-09-191.20471.2047
2024-09-181.20481.2048
2024-09-131.19361.1936
2024-09-121.19691.1969
2024-09-111.18881.1888
2024-09-101.21551.2155
2024-09-091.20721.2072
2024-09-061.22781.2278
2024-09-051.22561.2256
2024-09-041.22751.2275
2024-09-031.23161.2316
2024-09-021.25241.2524
2024-08-301.24801.2480
2024-08-291.27561.2756
2024-08-281.31601.3160
2024-08-271.32571.3257
2024-08-261.32231.3223
2024-08-231.32081.3208
2024-08-221.31421.3142