华宝研究精选混合
(009989.jj)华宝基金管理有限公司
成立日期2020-08-26
总资产规模
5.02亿 (2024-06-30)
基金类型混合型当前净值0.6911基金经理贺喆管理费用率1.20%管托费用率0.20%持仓换手率466.24% (2023-12-31) 成立以来分红再投入年化收益率-8.98%
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华宝研究精选混合(009989) - 历史基金净值数据曲线

最后更新于:2024-07-29

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华宝研究精选混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2024-07-290.69110.6911
2024-07-260.69900.6990
2024-07-250.68870.6887
2024-07-240.68430.6843
2024-07-230.69180.6918
2024-07-220.71140.7114
2024-07-190.71030.7103
2024-07-180.70960.7096
2024-07-170.70660.7066
2024-07-160.71280.7128
2024-07-150.71530.7153
2024-07-120.72290.7229
2024-07-110.72450.7245
2024-07-100.71030.7103
2024-07-090.71180.7118
2024-07-080.70020.7002
2024-07-050.71240.7124
2024-07-040.70880.7088
2024-07-030.71940.7194
2024-07-020.72330.7233
2024-07-010.73220.7322
2024-06-280.72770.7277
2024-06-270.72260.7226
2024-06-260.73380.7338
2024-06-250.72240.7224
2024-06-240.72250.7225
2024-06-210.73840.7384
2024-06-200.73830.7383
2024-06-190.74860.7486
2024-06-180.75450.7545
2024-06-170.74920.7492
2024-06-140.75440.7544
2024-06-130.75110.7511
2024-06-120.75580.7558
2024-06-110.75280.7528
2024-06-070.74950.7495
2024-06-060.74660.7466
2024-06-050.75800.7580
2024-06-040.76660.7666
2024-06-030.76310.7631
2024-05-310.76760.7676
2024-05-300.76530.7653
2024-05-290.76610.7661
2024-05-280.76550.7655
2024-05-270.77220.7722
2024-05-240.76730.7673
2024-05-230.77340.7734
2024-05-220.78870.7887
2024-05-210.78630.7863
2024-05-200.79120.7912