华夏兴融混合C
(015147.jj)华夏基金管理有限公司持有人户数39.00
成立日期2022-02-23
总资产规模
5.80万 (2024-09-30)
基金类型混合型(LOF,封闭式)当前净值0.6883基金经理翟宇航管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率-12.18%
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华夏兴融混合C(015147) - 历史基金累计净值数据曲线

最后更新于:2024-12-20

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华夏兴融混合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
2024-12-200.68830.6883
2024-12-190.69210.6921
2024-12-180.69400.6940
2024-12-170.69310.6931
2024-12-160.69880.6988
2024-12-130.70080.7008
2024-12-120.71300.7130
2024-12-110.70700.7070
2024-12-100.69940.6994
2024-12-090.69450.6945
2024-12-060.69510.6951
2024-12-050.69000.6900
2024-12-040.69050.6905
2024-12-030.69130.6913
2024-12-020.69300.6930
2024-11-290.68860.6886
2024-11-280.68300.6830
2024-11-270.68510.6851
2024-11-260.67820.6782
2024-11-250.67900.6790
2024-11-220.68240.6824
2024-11-210.69570.6957
2024-11-200.69540.6954
2024-11-190.69170.6917
2024-11-180.68610.6861
2024-11-150.68940.6894
2024-11-140.69750.6975
2024-11-130.70910.7091
2024-11-120.70670.7067
2024-11-110.71000.7100
2024-11-080.71480.7148
2024-11-070.71590.7159
2024-11-060.70610.7061
2024-11-050.70460.7046
2024-11-040.69330.6933
2024-11-010.68480.6848
2024-10-310.68400.6840
2024-10-300.68930.6893
2024-10-290.69220.6922
2024-10-280.69960.6996
2024-10-250.69390.6939
2024-10-240.69030.6903
2024-10-230.69320.6932
2024-10-220.69590.6959
2024-10-210.69450.6945
2024-10-180.68670.6867
2024-10-170.66790.6679
2024-10-160.67150.6715
2024-10-150.67120.6712
2024-10-140.68650.6865