华泰保兴成长优选A
(005904.jj ) 华泰保兴基金管理有限公司
基金类型混合型成立日期2018-06-07总资产规模12.25亿 (2025-12-31) 基金净值2.4782 (2026-01-28) 基金经理田荣管理费用率1.20%管托费用率0.20% (2025-10-29) 持仓换手率387.50% (2025-06-30) 成立以来分红再投入年化收益率16.01% (1390 / 9012)
备注 (0): 双击编辑备注
发表讨论

华泰保兴成长优选A(005904) - 历史基金累计净值数据曲线

最后更新于:2026-01-28

数据选项
加载中......
华泰保兴成长优选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
2026-01-282.47822.8682
2026-01-272.42562.8156
2026-01-262.44022.8302
2026-01-232.41832.8083
2026-01-222.36372.7537
2026-01-212.37812.7681
2026-01-202.34232.7323
2026-01-192.34432.7343
2026-01-162.31162.7016
2026-01-152.32632.7163
2026-01-142.29322.6832
2026-01-132.30082.6908
2026-01-122.29232.6823
2026-01-092.29502.6850
2026-01-082.28372.6737
2026-01-072.29522.6852
2026-01-062.30312.6931
2026-01-052.24842.6384
2025-12-312.21852.6085
2025-12-302.22192.6119
2025-12-292.19902.5890
2025-12-262.23692.6269
2025-12-252.19762.5876
2025-12-242.19702.5870
2025-12-232.18842.5784
2025-12-222.17512.5651
2025-12-192.14462.5346
2025-12-182.12062.5106
2025-12-172.13262.5226
2025-12-162.08112.4711
2025-12-152.11892.5089
2025-12-122.12932.5193
2025-12-112.10402.4940
2025-12-102.12312.5131
2025-12-092.11512.5051
2025-12-082.15092.5409
2025-12-052.14752.5375
2025-12-042.11962.5096
2025-12-032.11102.5010
2025-12-022.11212.5021
2025-12-012.13212.5221
2025-11-282.12442.5144
2025-11-272.10482.4948
2025-11-262.10652.4965
2025-11-252.10392.4939
2025-11-242.07282.4628
2025-11-212.08242.4724
2025-11-202.15362.5436
2025-11-192.16412.5541
2025-11-182.14492.5349