华安策略优选混合A
(040008.jj)华安基金管理有限公司
成立日期2007-08-10
总资产规模
33.77亿 (2024-06-30)
基金类型混合型当前净值1.6486基金经理杨明管理费用率1.50%管托费用率0.25%持仓换手率281.91% (2024-06-30) 成立以来分红再投入年化收益率-2.35%
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华安策略优选混合A(040008) - 历史月度涨跌幅

最后更新于:2024-08-30

数据选项
1月2月3月4月5月6月7月8月9月10月11月12月年度涨跌幅
2024-6.45%10.60%0.42%3.69%0.13%-1.64%-5.54%-2.61%---------2.39%
20235.24%-2.58%-4.11%-4.50%-5.57%0.62%3.04%-5.37%-1.46%-2.59%-1.97%-0.31%-18.41%
2022-9.12%-0.04%-7.55%-3.89%2.99%4.01%-9.16%-2.15%-5.19%-4.70%7.22%0.36%-25.28%
20217.90%-2.56%-2.69%4.27%3.12%0.49%-3.24%-0.77%-0.53%-1.49%-1.89%1.66%3.76%
2020-3.97%-1.29%-5.32%7.03%4.78%8.89%14.57%1.40%-6.13%2.78%4.81%9.19%40.58%
20199.23%9.87%7.82%2.04%-6.06%7.17%0.02%0.61%-0.58%3.07%-1.33%5.90%43.21%
20186.14%-4.52%-4.30%-5.33%0.00%-2.41%5.62%-2.57%2.09%-7.71%-1.31%-5.53%-19.00%
20171.74%5.05%1.45%6.34%2.11%8.45%5.44%3.37%0.62%4.16%4.73%1.01%54.28%
2016-18.79%-1.96%11.68%1.17%-1.51%3.61%6.05%-0.82%-0.02%-0.33%-1.32%-4.22%-9.07%
20154.96%4.32%11.02%10.59%13.71%-9.26%-9.44%-8.45%-0.01%12.74%4.98%3.82%41.29%
20140.17%-2.44%-4.25%0.02%0.03%1.81%5.30%-1.09%4.63%1.60%6.39%15.41%29.56%
20134.46%0.67%-4.94%0.31%6.57%-10.85%3.27%6.11%7.52%-7.22%6.21%-1.83%8.58%
2012-3.60%6.93%-5.18%4.88%1.57%-2.17%-5.92%-3.00%3.21%-4.26%-6.42%14.35%-1.71%
2011-5.87%6.37%-6.22%-5.11%-6.67%3.60%1.69%-1.64%-8.21%2.64%-2.54%-6.29%-25.87%
2010-10.16%2.04%1.63%-7.01%-5.51%-6.42%8.82%4.97%2.84%8.10%2.29%-2.41%-2.88%
20095.78%2.81%11.91%5.29%4.16%12.45%11.30%-20.15%7.96%8.68%5.77%1.24%67.60%
2008-9.74%0.10%-13.49%1.76%-7.12%-14.61%1.06%-10.21%-6.26%-20.18%7.75%2.27%-52.81%
2007----------------4.75%3.82%-11.97%7.24%--