华宝致远混合A
(008253.jj ) 华宝基金管理有限公司
基金类型QDII成立日期2019-11-27总资产规模1.76亿 (2025-12-31) 基金净值1.4335 (2026-03-05) 基金经理周晶杨洋管理费用率1.20%管托费用率0.20% (2025-12-09) 持仓换手率434.76% (2025-06-30) 成立以来分红再投入年化收益率5.91% (311 / 576)
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华宝致远混合A(008253) - 历史基金净值数据曲线

最后更新于:2026-03-05

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华宝致远混合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
2026-03-051.43351.4335
2026-03-041.45591.4559
2026-03-031.44711.4471
2026-03-021.53161.5316
2026-02-271.51141.5114
2026-02-261.52361.5236
2026-02-251.56531.5653
2026-02-241.53461.5346
2026-02-121.47611.4761
2026-02-111.49251.4925
2026-02-101.45991.4599
2026-02-091.48651.4865
2026-02-061.46581.4658
2026-02-051.40921.4092
2026-02-041.41091.4109
2026-02-031.48551.4855
2026-02-021.49151.4915
2026-01-301.46071.4607
2026-01-291.49311.4931
2026-01-281.49681.4968
2026-01-271.46981.4698
2026-01-261.43071.4307
2026-01-231.43771.4377
2026-01-221.44991.4499
2026-01-211.44581.4458
2026-01-201.41311.4131
2026-01-191.43911.4391
2026-01-161.44041.4404
2026-01-151.42531.4253
2026-01-141.40801.4080
2026-01-131.42301.4230
2026-01-121.41891.4189
2026-01-091.40241.4024
2026-01-081.37171.3717
2026-01-071.39991.3999
2026-01-061.40391.4039
2026-01-051.36531.3653
2025-12-301.34431.3443
2025-12-291.34771.3477
2025-12-261.35811.3581
2025-12-251.36151.3615
2025-12-241.36291.3629
2025-12-231.35831.3583
2025-12-221.35021.3502
2025-12-191.33451.3345
2025-12-181.30111.3011
2025-12-171.26951.2695
2025-12-161.30531.3053
2025-12-151.30911.3091
2025-12-121.32221.3222