华宝化工ETF联接A
(012537.jj)细分化工 (半年) 华宝基金管理有限公司持有人户数1.09万
成立日期2021-06-24
总资产规模
3,082.87万 (2024-09-30)
基金类型指数型基金(ETF,联接型)当前净值0.5869基金经理陈建华管理费用率0.50%管托费用率0.10%持仓换手率98.11% (2024-06-30) 成立以来分红再投入年化收益率-14.16%
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华宝化工ETF联接A(012537) - 历史基金净值数据曲线

最后更新于:2024-12-20

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华宝化工ETF联接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
2024-12-200.58690.5869
2024-12-190.58950.5895
2024-12-180.59170.5917
2024-12-170.59140.5914
2024-12-160.59110.5911
2024-12-130.59750.5975
2024-12-120.61090.6109
2024-12-110.60610.6061
2024-12-100.60430.6043
2024-12-090.60150.6015
2024-12-060.60120.6012
2024-12-050.59340.5934
2024-12-040.59490.5949
2024-12-030.60200.6020
2024-12-020.60390.6039
2024-11-290.59870.5987
2024-11-280.59290.5929
2024-11-270.59970.5997
2024-11-260.59090.5909
2024-11-250.59540.5954
2024-11-220.59520.5952
2024-11-210.61620.6162
2024-11-200.61650.6165
2024-11-190.61090.6109
2024-11-180.59910.5991
2024-11-150.60650.6065
2024-11-140.61490.6149
2024-11-130.62940.6294
2024-11-120.62820.6282
2024-11-110.63160.6316
2024-11-080.62410.6241
2024-11-070.62360.6236
2024-11-060.61520.6152
2024-11-050.61130.6113
2024-11-040.59720.5972
2024-11-010.59080.5908
2024-10-310.58760.5876
2024-10-300.58790.5879
2024-10-290.59020.5902
2024-10-280.60130.6013
2024-10-250.59740.5974
2024-10-240.58290.5829
2024-10-230.59250.5925
2024-10-220.58420.5842
2024-10-210.57680.5768
2024-10-180.57460.5746
2024-10-170.55960.5596
2024-10-160.57000.5700
2024-10-150.57230.5723
2024-10-140.58470.5847