华宝可持续发展混合A
(012262.jj)华宝基金管理有限公司持有人户数7,127.00
成立日期2021-12-10
总资产规模
5.34亿 (2024-09-30)
基金类型混合型当前净值0.8081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417.04% (2024-06-30) 成立以来分红再投入年化收益率-6.77%
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华宝可持续发展混合A(012262) - 历史基金净值数据曲线

最后更新于:2024-12-25

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华宝可持续发展混合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
2024-12-250.80810.8081
2024-12-240.81030.8103
2024-12-230.80220.8022
2024-12-200.81080.8108
2024-12-190.81240.8124
2024-12-180.81620.8162
2024-12-170.81350.8135
2024-12-160.82600.8260
2024-12-130.83090.8309
2024-12-120.84220.8422
2024-12-110.83470.8347
2024-12-100.83130.8313
2024-12-090.83040.8304
2024-12-060.81960.8196
2024-12-050.81380.8138
2024-12-040.81120.8112
2024-12-030.81930.8193
2024-12-020.82110.8211
2024-11-290.81270.8127
2024-11-280.80370.8037
2024-11-270.80720.8072
2024-11-260.79960.7996
2024-11-250.80320.8032
2024-11-220.79220.7922
2024-11-210.81710.8171
2024-11-200.81830.8183
2024-11-190.80070.8007
2024-11-180.78970.7897
2024-11-150.79330.7933
2024-11-140.79950.7995
2024-11-130.81750.8175
2024-11-120.81720.8172
2024-11-110.82640.8264
2024-11-080.81660.8166
2024-11-070.81350.8135
2024-11-060.79700.7970
2024-11-050.80060.8006
2024-11-040.78880.7888
2024-11-010.78010.7801
2024-10-310.78830.7883
2024-10-300.78300.7830
2024-10-290.78500.7850
2024-10-280.79730.7973
2024-10-250.79280.7928
2024-10-240.78440.7844
2024-10-230.78680.7868
2024-10-220.78240.7824
2024-10-210.77620.7762
2024-10-180.77680.7768
2024-10-170.75960.7596