华夏中证沪港深500ETF发起式联接C
(017558.jj)沪港深500华夏基金管理有限公司
成立日期2022-12-28
总资产规模
66.87万 (2024-03-31)
基金类型指数型基金(ETF,联接型)当前净值0.9004基金经理徐猛管理费用率0.50%管托费用率0.10%成立以来分红再投入年化收益率-6.67%
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华夏中证沪港深500ETF发起式联接C(017558) - 历史基金净值数据曲线

最后更新于:2024-07-05

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华夏中证沪港深500ETF发起式联接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
2024-07-050.90040.9004
2024-07-040.90610.9061
2024-07-030.90720.9072
2024-07-020.90420.9042
2024-07-010.90460.9046
2024-06-280.90210.9021
2024-06-270.90040.9004
2024-06-260.91040.9104
2024-06-250.90670.9067
2024-06-240.90870.9087
2024-06-210.91220.9122
2024-06-200.91820.9182
2024-06-190.92350.9235
2024-06-180.91630.9163
2024-06-170.91500.9150
2024-06-140.91580.9158
2024-06-130.91540.9154
2024-06-120.91390.9139
2024-06-110.91690.9169
2024-06-070.92430.9243
2024-06-060.92860.9286
2024-06-050.92790.9279
2024-06-040.93080.9308
2024-06-030.92570.9257
2024-05-310.91930.9193
2024-05-300.92420.9242
2024-05-290.93110.9311
2024-05-280.93610.9361
2024-05-270.93950.9395
2024-05-240.93110.9311
2024-05-230.94190.9419
2024-05-220.95220.9522
2024-05-210.95050.9505
2024-05-200.95980.9598
2024-05-170.95660.9566
2024-05-160.94960.9496
2024-05-150.94020.9402
2024-05-140.94430.9443
2024-05-130.94570.9457
2024-05-100.94410.9441
2024-05-090.93620.9362
2024-05-080.92570.9257
2024-05-070.93310.9331
2024-05-060.93450.9345
2024-04-300.91240.9124
2024-04-290.91440.9144
2024-04-260.90610.9061
2024-04-250.89180.8918
2024-04-240.88930.8893
2024-04-230.88000.8800