华安低碳生活混合A
(006122.jj ) 华安基金管理有限公司
基金经理熊哲颖基金类型混合型成立日期2019-03-12总资产规模4.62亿 (2026-06-30) 基金净值3.2761 (2026-08-28) 管理费用率1.20%管托费用率0.20% (2026-06-26) 成立以来分红再投入年化收益率17.23% (964 / 9409)
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华安低碳生活混合A(006122) - 历史基金累计净值数据曲线

最后更新于:2026-08-28

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华安低碳生活混合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
2026-08-283.27613.2761
2026-08-273.31843.3184
2026-08-263.30243.3024
2026-08-253.28853.2885
2026-08-243.33243.3324
2026-08-213.37473.3747
2026-08-203.31703.3170
2026-08-193.32343.3234
2026-08-183.46673.4667
2026-08-173.50333.5033
2026-08-143.39523.3952
2026-08-133.37183.3718
2026-08-123.39303.3930
2026-08-113.35333.3533
2026-08-103.33553.3355
2026-08-073.35143.3514
2026-08-063.27423.2742
2026-08-053.29613.2961
2026-08-043.20833.2083
2026-08-033.11103.1110
2026-07-313.12483.1248
2026-07-303.07883.0788
2026-07-293.17723.1772
2026-07-283.14333.1433
2026-07-273.27023.2702
2026-07-243.18013.1801
2026-07-233.24373.2437
2026-07-223.16303.1630
2026-07-213.20493.2049
2026-07-203.05743.0574
2026-07-173.18453.1845
2026-07-163.37593.3759
2026-07-153.47253.4725
2026-07-143.55393.5539
2026-07-133.43743.4374
2026-07-103.59093.5909
2026-07-093.70503.7050
2026-07-083.64913.6491
2026-07-073.81573.8157
2026-07-063.89213.8921
2026-07-033.89403.8940
2026-07-023.85403.8540
2026-07-013.98733.9873
2026-06-304.02144.0214
2026-06-293.91283.9128
2026-06-263.95773.9577
2026-06-254.08544.0854
2026-06-244.10414.1041
2026-06-234.01344.0134
2026-06-224.17624.1762