华夏行业景气混合A
(003567.jj ) 华夏基金管理有限公司
基金经理钟帅基金类型混合型成立日期2017-02-04总资产规模104.89亿 (2026-06-30) 基金净值5.4157 (2026-07-31) 管理费用率1.20%管托费用率0.20% (2026-05-29) 成立以来分红再投入年化收益率19.49% (616 / 9345)
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华夏行业景气混合A(003567) - 历史基金净值数据曲线

最后更新于:2026-07-31

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华夏行业景气混合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
2026-07-315.41575.4157
2026-07-305.24105.2410
2026-07-295.48935.4893
2026-07-285.46825.4682
2026-07-275.74465.7446
2026-07-245.53405.5340
2026-07-235.63335.6333
2026-07-225.63825.6382
2026-07-215.71095.7109
2026-07-205.46855.4685
2026-07-175.71905.7190
2026-07-166.08946.0894
2026-07-156.26786.2678
2026-07-146.37976.3797
2026-07-136.23466.2346
2026-07-106.56276.5627
2026-07-096.70266.7026
2026-07-086.52166.5216
2026-07-076.64326.6432
2026-07-066.75216.7521
2026-07-036.83786.8378
2026-07-026.79396.7939
2026-07-017.01727.0172
2026-06-307.07487.0748
2026-06-296.93336.9333
2026-06-266.96656.9665
2026-06-257.11797.1179
2026-06-246.99976.9997
2026-06-236.96066.9606
2026-06-227.02617.0261
2026-06-187.01627.0162
2026-06-176.92016.9201
2026-06-166.82796.8279
2026-06-156.69996.6999
2026-06-126.42656.4265
2026-06-116.35616.3561
2026-06-106.35926.3592
2026-06-096.47456.4745
2026-06-086.27076.2707
2026-06-056.52026.5202
2026-06-046.59446.5944
2026-06-036.54636.5463
2026-06-026.48426.4842
2026-06-016.42116.4211
2026-05-296.51186.5118
2026-05-286.69366.6936
2026-05-276.58716.5871
2026-05-266.65696.6569
2026-05-256.71716.7171
2026-05-226.60096.6009