华宝油气C
(007844.jj ) 华宝基金管理有限公司
基金类型指数型基金(LOF)成立日期2020-01-15总资产规模7.20亿 (2025-12-31) 基金净值0.7428 (2026-01-29) 基金经理周晶杨洋管理费用率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11.00% (251 / 577)
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华宝油气C(007844) - 历史基金净值数据曲线

最后更新于:2026-01-29

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华宝油气C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-01-290.74280.7428
2026-01-280.73360.7336
2026-01-270.72640.7264
2026-01-260.72280.7228
2026-01-230.72610.7261
2026-01-220.72380.7238
2026-01-210.72420.7242
2026-01-200.69930.6993
2026-01-190.70250.7025
2026-01-160.70290.7029
2026-01-150.70270.7027
2026-01-140.71160.7116
2026-01-130.70030.7003
2026-01-120.68960.6896
2026-01-090.68890.6889
2026-01-080.69490.6949
2026-01-070.67200.6720
2026-01-060.68010.6801
2026-01-050.69040.6904
2025-12-300.69120.6912
2025-12-290.68680.6868
2025-12-260.67960.6796
2025-12-250.68480.6848
2025-12-240.68560.6856
2025-12-230.68890.6889
2025-12-220.68310.6831
2025-12-190.67980.6798
2025-12-180.67760.6776
2025-12-170.69150.6915
2025-12-160.67700.6770
2025-12-150.70300.7030
2025-12-120.71260.7126
2025-12-110.71940.7194
2025-12-100.73130.7313
2025-12-090.72830.7283
2025-12-080.72680.7268
2025-12-050.73950.7395
2025-12-040.73800.7380
2025-12-030.73850.7385
2025-12-020.72150.7215
2025-12-010.73150.7315
2025-11-280.72670.7267
2025-11-270.71490.7149
2025-11-260.71510.7151
2025-11-250.70830.7083
2025-11-240.71130.7113
2025-11-210.70650.7065
2025-11-200.70100.7010
2025-11-190.71720.7172
2025-11-180.72520.7252