华宝国策导向混合A
(001088.jj ) 华宝基金管理有限公司
基金类型混合型成立日期2015-05-08总资产规模1.98亿 (2025-12-31) 基金净值1.3190 (2026-02-11) 基金经理丁靖斐管理费用率1.20%管托费用率0.20% (2025-06-30) 持仓换手率606.59% (2025-06-30) 成立以来分红再投入年化收益率2.61% (6257 / 9093)
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华宝国策导向混合A(001088) - 历史基金净值数据曲线

最后更新于:2026-02-11

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华宝国策导向混合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
2026-02-111.31901.3190
2026-02-101.32001.3200
2026-02-091.32601.3260
2026-02-061.29401.2940
2026-02-051.29501.2950
2026-02-041.31401.3140
2026-02-031.33201.3320
2026-02-021.29901.2990
2026-01-301.33101.3310
2026-01-291.32901.3290
2026-01-281.33701.3370
2026-01-271.32401.3240
2026-01-261.30901.3090
2026-01-231.31401.3140
2026-01-221.32001.3200
2026-01-211.31101.3110
2026-01-201.29201.2920
2026-01-191.31001.3100
2026-01-161.30901.3090
2026-01-151.30701.3070
2026-01-141.29901.2990
2026-01-131.30401.3040
2026-01-121.31501.3150
2026-01-091.30401.3040
2026-01-081.29101.2910
2026-01-071.30101.3010
2026-01-061.29101.2910
2026-01-051.28901.2890
2025-12-311.27401.2740
2025-12-301.27601.2760
2025-12-291.25501.2550
2025-12-261.25301.2530
2025-12-251.25101.2510
2025-12-241.24101.2410
2025-12-231.23701.2370
2025-12-221.23501.2350
2025-12-191.21301.2130
2025-12-181.20501.2050
2025-12-171.22901.2290
2025-12-161.18801.1880
2025-12-151.20401.2040
2025-12-121.22601.2260
2025-12-111.22401.2240
2025-12-101.24601.2460
2025-12-091.23001.2300
2025-12-081.23001.2300
2025-12-051.20001.2000
2025-12-041.18001.1800
2025-12-031.17001.1700
2025-12-021.17201.1720