华夏中证半导体材料设备主题ETF发起式联接A
(020356.jj)华夏基金管理有限公司
成立日期2024-01-26
总资产规模
1,520.64万 (2024-06-30)
基金类型指数型基金(ETF,联接型)当前净值1.2030持有人户数1,488.00基金经理单宽之管理费用率0.50%管托费用率0.10%持仓换手率45.32% (2024-06-30) 成立以来分红再投入年化收益率20.11%
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华夏中证半导体材料设备主题ETF发起式联接A(020356) - 历史基金累计净值数据曲线

最后更新于:2024-09-30

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华夏中证半导体材料设备主题ETF发起式联接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
2024-09-301.20301.2030
2024-09-271.05631.0563
2024-09-260.98930.9893
2024-09-250.95080.9508
2024-09-240.95150.9515
2024-09-230.91690.9169
2024-09-200.93270.9327
2024-09-190.94230.9423
2024-09-180.94300.9430
2024-09-130.94130.9413
2024-09-120.95760.9576
2024-09-110.96590.9659
2024-09-100.96670.9667
2024-09-090.95450.9545
2024-09-060.95910.9591
2024-09-050.98040.9804
2024-09-040.97850.9785
2024-09-030.98100.9810
2024-09-020.97340.9734
2024-08-301.01091.0109
2024-08-290.98560.9856
2024-08-280.97100.9710
2024-08-270.96480.9648
2024-08-260.97470.9747
2024-08-230.97110.9711
2024-08-220.98270.9827
2024-08-210.99860.9986
2024-08-201.00471.0047
2024-08-191.01861.0186
2024-08-161.02321.0232
2024-08-151.02651.0265
2024-08-141.02211.0221
2024-08-131.04571.0457
2024-08-121.03671.0367
2024-08-091.04631.0463
2024-08-081.05611.0561
2024-08-071.04461.0446
2024-08-061.05181.0518
2024-08-051.04031.0403
2024-08-021.08151.0815
2024-08-011.10481.1048
2024-07-311.09251.0925
2024-07-301.05261.0526
2024-07-291.03891.0389
2024-07-261.04911.0491
2024-07-251.03381.0338
2024-07-241.04111.0411
2024-07-231.06051.0605
2024-07-221.11321.1132
2024-07-191.11401.1140