华夏上证科创板50成份指数增强发起式C
(018178.jj)科创50华夏基金管理有限公司
成立日期2023-07-25
总资产规模
7,598.69万 (2024-06-30)
基金类型指数型基金当前净值0.7836基金经理荣膺管理费用率0.80%管托费用率0.10%成立以来分红再投入年化收益率-21.43%
备注 (0): 双击编辑备注
发表讨论

华夏上证科创板50成份指数增强发起式C(018178) - 历史基金净值数据曲线

最后更新于:2024-07-29

数据选项
加载中......
华夏上证科创板50成份指数增强发起式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
2024-07-290.78360.7836
2024-07-260.79630.7963
2024-07-250.78960.7896
2024-07-240.78950.7895
2024-07-230.79750.7975
2024-07-220.83020.8302
2024-07-190.82760.8276
2024-07-180.81330.8133
2024-07-170.80670.8067
2024-07-160.81040.8104
2024-07-150.79350.7935
2024-07-120.79580.7958
2024-07-110.79550.7955
2024-07-100.78790.7879
2024-07-090.78750.7875
2024-07-080.76940.7694
2024-07-050.77560.7756
2024-07-040.76670.7667
2024-07-030.77830.7783
2024-07-020.77520.7752
2024-07-010.78640.7864
2024-06-280.78890.7889
2024-06-270.79170.7917
2024-06-260.80620.8062
2024-06-250.79410.7941
2024-06-240.81630.8163
2024-06-210.83640.8364
2024-06-200.83290.8329
2024-06-190.82830.8283
2024-06-180.83300.8330
2024-06-170.83320.8332
2024-06-140.82980.8298
2024-06-130.83660.8366
2024-06-120.83270.8327
2024-06-110.83280.8328
2024-06-070.81410.8141
2024-06-060.81790.8179
2024-06-050.82590.8259
2024-06-040.82770.8277
2024-06-030.82460.8246
2024-05-310.81650.8165
2024-05-300.81600.8160
2024-05-290.80680.8068
2024-05-280.80800.8080
2024-05-270.81160.8116
2024-05-240.79920.7992
2024-05-230.81540.8154
2024-05-220.82800.8280
2024-05-210.82220.8222
2024-05-200.82690.8269