华夏战略新兴成指ETF联接C
(006910.jj ) 新兴成指 (半年) 华夏基金管理有限公司
基金类型指数型基金(ETF,联接型)成立日期2019-06-05总资产规模7,423.90万 (2025-12-31) 基金净值2.0732 (2026-03-20) 基金经理鲁亚运管理费用率0.50%管托费用率0.10% (2025-05-30) 成立以来分红再投入年化收益率11.33% (2069 / 5721)
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华夏战略新兴成指ETF联接C(006910) - 历史月度涨跌幅

数据选项
基金名称1月2月3月4月5月6月7月8月9月10月11月12月年度涨跌幅年度超额收益率
2026华夏战略新兴成指ETF联接C 3.94%-0.29%-3.48%------------------0.03%3.67%
新兴成指 4.25%-0.50%-7.10%-------------------3.64%
2025华夏战略新兴成指ETF联接C -1.21%4.51%-0.71%-5.41%0.63%8.36%9.60%24.81%8.29%-2.97%-3.76%6.27%55.43%-0.36%
新兴成指 -1.65%4.90%-1.02%-6.01%0.40%8.40%9.99%26.42%8.71%-3.22%-4.11%6.31%55.79%
2024华夏战略新兴成指ETF联接C -14.20%12.38%0.35%1.03%-2.70%-3.43%-0.92%-3.99%27.46%-1.26%0.82%-0.66%10.15%2.39%
新兴成指 -15.06%13.25%0.31%0.73%-3.10%-4.10%-1.24%-4.35%29.09%-2.02%0.80%-0.94%7.76%
2023华夏战略新兴成指ETF联接C 9.43%-6.01%-2.10%-5.21%-4.61%2.10%0%-5.28%-4.99%-3.07%-4.59%-0.72%-23.20%3.30%
新兴成指 10.11%-6.37%-2.25%-5.91%-5.48%1.68%-0.33%-5.98%-5.38%-3.27%-4.99%-1.03%-26.50%
2022华夏战略新兴成指ETF联接C -10.89%1.19%-8.86%-9.26%5.01%14.16%-7.10%-5.10%-10.65%-2.59%3.27%-1.84%-30.46%2.20%
新兴成指 -11.63%1.25%-9.39%-9.97%4.83%15.37%-7.67%-5.47%-11.28%-2.85%3.46%-1.98%-32.67%
2021华夏战略新兴成指ETF联接C 7.90%-5.09%-7.67%8.83%5.34%4.98%-2.47%-2.55%-1.61%1.33%0.97%-2.26%6.41%3.81%
新兴成指 8.23%-5.74%-8.66%8.85%5.20%4.64%-3.33%-3.12%-1.90%1.41%0.72%-2.09%2.60%
2020华夏战略新兴成指ETF联接C 7.16%5.72%-7.54%10.53%0.26%16.19%15.19%-0.46%-3.97%2.35%0.01%14.85%74.61%6.67%
新兴成指 6.94%4.88%-8.28%10.98%-0.43%16.60%14.60%-1.19%-4.99%2.11%-0.39%15.79%67.94%
2019华夏战略新兴成指ETF联接C ----------2.13%2.30%4.13%1.44%3.27%0.46%6.56%22.01%-24.16%
新兴成指 4.55%20.37%5.86%-2.89%-8.92%5.36%2.20%3.25%1.47%3.39%-0.23%6.60%46.17%
2018华夏战略新兴成指ETF联接C ----------------------------
新兴成指 0.002%1.03%0.65%-7.58%1.81%-5.50%-3.18%-9.03%-1.72%-13.74%2.87%-7.50%-35.76%
2017华夏战略新兴成指ETF联接C ----------------------------
新兴成指 0.64%3.49%3.67%0.32%-1.34%8.91%-0.54%2.75%4.82%5.05%-3.59%0.43%26.81%