华商科创板量化选股混合A
(018973.jj)华商基金管理有限公司
成立日期2023-12-01
总资产规模
1,876.79万 (2024-06-30)
基金类型混合型当前净值0.8400基金经理艾定飞管理费用率1.20%管托费用率0.20%持仓换手率473.53% (2024-06-30) 成立以来分红再投入年化收益率-15.99%
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华商科创板量化选股混合A(018973) - 历史基金净值数据曲线

最后更新于:2024-08-30

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华商科创板量化选股混合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
2024-08-300.84000.8400
2024-08-290.82370.8237
2024-08-280.81220.8122
2024-08-270.81590.8159
2024-08-260.82380.8238
2024-08-230.82920.8292
2024-08-220.83320.8332
2024-08-210.83850.8385
2024-08-200.83990.8399
2024-08-190.85270.8527
2024-08-160.85680.8568
2024-08-150.85940.8594
2024-08-140.85540.8554
2024-08-130.86850.8685
2024-08-120.86610.8661
2024-08-090.86440.8644
2024-08-080.87120.8712
2024-08-070.86850.8685
2024-08-060.87400.8740
2024-08-050.86090.8609
2024-08-020.88330.8833
2024-08-010.89770.8977
2024-07-310.90340.9034
2024-07-300.86250.8625
2024-07-290.86220.8622
2024-07-260.87300.8730
2024-07-250.86680.8668
2024-07-240.86710.8671
2024-07-230.87820.8782
2024-07-220.91460.9146
2024-07-190.91260.9126
2024-07-180.90170.9017
2024-07-170.89260.8926
2024-07-160.89420.8942
2024-07-150.87700.8770
2024-07-120.87910.8791
2024-07-110.87770.8777
2024-07-100.86710.8671
2024-07-090.86710.8671
2024-07-080.84630.8463
2024-07-050.85730.8573
2024-07-040.84810.8481
2024-07-030.86180.8618
2024-07-020.85980.8598
2024-07-010.87250.8725
2024-06-280.87850.8785
2024-06-270.88330.8833
2024-06-260.90000.9000
2024-06-250.88530.8853
2024-06-240.90750.9075