华宝成长策略混合C
(021448.jj)华宝基金管理有限公司
成立日期2024-05-13
总资产规模
6,387.84 (2024-09-30)
基金类型混合型当前净值1.5167基金经理汤慧管理费用率1.20%管托费用率0.20%成立以来分红再投入年化收益率9.11%
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华宝成长策略混合C(021448) - 历史基金净值数据曲线

最后更新于:2024-12-24

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华宝成长策略混合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
2024-12-241.51671.5167
2024-12-231.50671.5067
2024-12-201.52191.5219
2024-12-191.52591.5259
2024-12-181.52141.5214
2024-12-171.53121.5312
2024-12-161.53101.5310
2024-12-131.53941.5394
2024-12-121.56171.5617
2024-12-111.53221.5322
2024-12-101.52391.5239
2024-12-091.52081.5208
2024-12-061.52891.5289
2024-12-051.51351.5135
2024-12-041.50731.5073
2024-12-031.52401.5240
2024-12-021.53661.5366
2024-11-291.50851.5085
2024-11-281.49811.4981
2024-11-271.51051.5105
2024-11-261.47421.4742
2024-11-251.46621.4662
2024-11-221.48541.4854
2024-11-211.52841.5284
2024-11-201.53631.5363
2024-11-191.52591.5259
2024-11-181.50431.5043
2024-11-151.53291.5329
2024-11-141.56771.5677
2024-11-131.60841.6084
2024-11-121.58221.5822
2024-11-111.59431.5943
2024-11-081.57571.5757
2024-11-071.58831.5883
2024-11-061.56181.5618
2024-11-051.58821.5882
2024-11-041.55281.5528
2024-11-011.52861.5286
2024-10-311.53531.5353
2024-10-301.54331.5433
2024-10-291.55681.5568
2024-10-281.57811.5781
2024-10-251.59061.5906
2024-10-241.57671.5767
2024-10-231.59341.5934
2024-10-221.59701.5970
2024-10-211.58481.5848
2024-10-181.58841.5884
2024-10-171.49901.4990
2024-10-161.50271.5027