华宝化工ETF联接C
(012538.jj)细分化工华宝基金管理有限公司
成立日期2021-06-24
总资产规模
1.29亿 (2024-06-30)
基金类型指数型基金(ETF,联接型)当前净值0.5309基金经理陈建华管理费用率0.50%管托费用率0.10%成立以来分红再投入年化收益率-18.54%
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华宝化工ETF联接C(012538) - 历史月度涨跌幅

最后更新于:2024-07-26

数据选项
基金名称1月2月3月4月5月6月7月8月9月10月11月12月年度涨跌幅
2024华宝化工ETF联接C -12.35%12.76%0.83%3.67%-1.16%-5.24%-5.89%-----------8.94%
细分化工 -13.06%13.85%0.79%3.83%-1.82%-6.50%-6.38%-----------10.97%
2023华宝化工ETF联接C 8.61%0.25%-7.07%-6.66%-6.81%2.88%4.54%-7.45%-2.82%-0.67%-5.16%-1.44%-20.95%
细分化工 9.56%0.27%-7.53%-7.55%-7.97%2.68%4.87%-8.14%-3.04%-0.41%-5.45%-1.56%-23.17%
2022华宝化工ETF联接C -8.36%7.61%-12.34%-9.88%10.09%8.82%-5.70%-4.14%-7.14%-9.13%8.54%-2.69%-24.82%
细分化工 -8.83%8.29%-13.12%-10.87%10.46%9.15%-6.41%-4.36%-7.53%-9.66%9.30%-2.96%-26.89%
2021华宝化工ETF联接C ------------1.89%5.86%-3.25%-1.30%-3.46%-1.36%--
细分化工 12.68%2.89%-11.75%2.63%5.29%5.34%4.70%5.89%-3.61%-1.69%-3.68%-1.81%15.72%
2020华宝化工ETF联接C --------------------------
细分化工 -2.95%-3.50%-9.48%5.30%1.20%7.20%25.77%6.47%-5.93%4.29%10.66%7.72%51.68%
2019华宝化工ETF联接C --------------------------
细分化工 1.01%18.60%11.74%0.28%-13.53%1.13%-0.83%-3.85%0.81%-0.72%0.40%11.25%25.10%
2018华宝化工ETF联接C --------------------------
细分化工 1.70%-1.94%-3.01%-4.13%1.34%-6.06%3.28%-6.80%-2.25%-14.83%-4.38%-4.66%-35.51%
2017华宝化工ETF联接C --------------------------
细分化工 -1.26%2.47%1.54%-3.22%-6.30%7.94%5.21%-0.97%4.18%-0.85%-3.17%0.92%5.76%
2016华宝化工ETF联接C --------------------------
细分化工 -27.85%-1.05%14.90%-4.17%-3.20%3.74%3.31%2.93%-2.93%1.79%3.13%-1.62%-15.83%
2015华宝化工ETF联接C --------------------------
细分化工 9.37%5.33%16.70%12.93%19.83%-10.01%-10.35%-13.33%-6.10%14.70%6.24%2.55%49.30%
2014华宝化工ETF联接C --------------------------
细分化工 -4.59%-0.08%0.83%-4.62%0.21%1.37%6.93%3.69%8.03%1.03%4.00%2.30%19.92%
2013华宝化工ETF联接C --------------------------
细分化工 8.57%2.47%-1.70%-7.22%7.12%-18.33%3.42%7.96%2.14%-4.64%7.74%-2.71%1.17%
2012华宝化工ETF联接C --------------------------
细分化工 ------0.12%-1.33%-8.91%-7.66%-1.63%2.73%-3.07%-12.65%17.52%-16.44%