华夏汽车产业混合A
(017721.jj)华夏基金管理有限公司持有人户数1,969.00
成立日期2023-02-15
总资产规模
1.30亿 (2024-09-30)
基金类型混合型当前净值0.8709基金经理连骁管理费用率1.20%管托费用率0.20%持仓换手率245.45% (2024-06-30) 成立以来分红再投入年化收益率-7.67%
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华夏汽车产业混合A(017721) - 历史基金净值数据曲线

最后更新于:2024-11-08

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华夏汽车产业混合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
2024-11-080.87090.8709
2024-11-070.87260.8726
2024-11-060.86390.8639
2024-11-050.87540.8754
2024-11-040.85850.8585
2024-11-010.83650.8365
2024-10-310.84570.8457
2024-10-300.85760.8576
2024-10-290.86470.8647
2024-10-280.85680.8568
2024-10-250.85690.8569
2024-10-240.84740.8474
2024-10-230.85790.8579
2024-10-220.84120.8412
2024-10-210.82880.8288
2024-10-180.83710.8371
2024-10-170.80580.8058
2024-10-160.81080.8108
2024-10-150.81510.8151
2024-10-140.84330.8433
2024-10-110.84030.8403
2024-10-100.85390.8539
2024-10-090.83940.8394
2024-10-080.87000.8700
2024-09-300.84780.8478
2024-09-270.79570.7957
2024-09-260.76920.7692
2024-09-250.74530.7453
2024-09-240.74230.7423
2024-09-230.72530.7253
2024-09-200.72690.7269
2024-09-190.72720.7272
2024-09-180.71730.7173
2024-09-130.70010.7001
2024-09-120.70390.7039
2024-09-110.70500.7050
2024-09-100.69350.6935
2024-09-090.69100.6910
2024-09-060.69600.6960
2024-09-050.69810.6981
2024-09-040.69550.6955
2024-09-030.69470.6947
2024-09-020.68480.6848
2024-08-300.70060.7006
2024-08-290.68220.6822
2024-08-280.67660.6766
2024-08-270.68070.6807
2024-08-260.67910.6791
2024-08-230.67780.6778
2024-08-220.67840.6784