(002423.jj ) 华宝基金管理有限公司
基金经理周晶杨洋基金类型指数型基金(LOF)成立日期2016-03-18基金净值0.3955 (2026-07-23) 管理费用率1.00%管托费用率0.20% (2025-12-13) 成立以来分红再投入年化收益率9.54% (236 / 596)
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undefined(002423) - 历史基金累计净值数据曲线

最后更新于:2026-07-23

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undefined历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-07-230.39550.3955
2026-07-220.41380.4138
2026-07-210.41650.4165
2026-07-200.41560.4156
2026-07-170.41850.4185
2026-07-160.42510.4251
2026-07-150.42380.4238
2026-07-140.42020.4202
2026-07-130.42060.4206
2026-07-100.42480.4248
2026-07-090.42360.4236
2026-07-080.41820.4182
2026-07-070.42540.4254
2026-07-060.42740.4274
2026-07-030.42490.4249
2026-07-020.42490.4249
2026-07-010.42780.4278
2026-06-300.42520.4252
2026-06-290.42460.4246
2026-06-260.41660.4166
2026-06-250.41170.4117
2026-06-240.41760.4176
2026-06-230.41320.4132
2026-06-220.41720.4172
2026-06-180.42430.4243
2026-06-170.41870.4187
2026-06-160.42870.4287
2026-06-150.42920.4292
2026-06-120.42260.4226
2026-06-110.42170.4217
2026-06-100.41200.4120
2026-06-090.42010.4201
2026-06-080.41850.4185
2026-06-050.41670.4167
2026-06-040.42450.4245
2026-06-030.42280.4228
2026-06-020.42560.4256
2026-06-010.42780.4278
2026-05-290.43700.4370
2026-05-280.44110.4411
2026-05-270.43920.4392
2026-05-260.43200.4320
2026-05-250.43110.4311
2026-05-220.43120.4312
2026-05-210.42940.4294
2026-05-200.42690.4269
2026-05-190.41680.4168
2026-05-180.42130.4213
2026-05-150.42210.4221
2026-05-140.42950.4295