华宝研究精选混合
(009989.jj ) 华宝基金管理有限公司
基金类型混合型成立日期2020-08-26总资产规模5.29亿 (2025-12-31) 基金净值1.3929 (2026-02-25) 基金经理贺喆管理费用率1.20%管托费用率0.20% (2025-12-10) 持仓换手率679.20% (2025-06-30) 成立以来分红再投入年化收益率6.21% (4322 / 9067)
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华宝研究精选混合(009989) - 历史基金净值数据曲线

最后更新于:2026-02-25

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华宝研究精选混合历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-251.39291.3929
2026-02-241.37431.3743
2026-02-131.35571.3557
2026-02-121.37931.3793
2026-02-111.37351.3735
2026-02-101.34011.3401
2026-02-091.33121.3312
2026-02-061.31291.3129
2026-02-051.29671.2967
2026-02-041.32211.3221
2026-02-031.31351.3135
2026-02-021.28121.2812
2026-01-301.33391.3339
2026-01-291.34381.3438
2026-01-281.34311.3431
2026-01-271.33431.3343
2026-01-261.33401.3340
2026-01-231.34041.3404
2026-01-221.32871.3287
2026-01-211.31531.3153
2026-01-201.30621.3062
2026-01-191.29681.2968
2026-01-161.27041.2704
2026-01-151.27541.2754
2026-01-141.26901.2690
2026-01-131.27721.2772
2026-01-121.27921.2792
2026-01-091.27271.2727
2026-01-081.26481.2648
2026-01-071.26791.2679
2026-01-061.26071.2607
2026-01-051.23681.2368
2025-12-311.21671.2167
2025-12-301.21521.2152
2025-12-291.21831.2183
2025-12-261.21821.2182
2025-12-251.21861.2186
2025-12-241.21381.2138
2025-12-231.20651.2065
2025-12-221.20011.2001
2025-12-191.19281.1928
2025-12-181.18741.1874
2025-12-171.19421.1942
2025-12-161.16481.1648
2025-12-151.18541.1854
2025-12-121.17741.1774
2025-12-111.16641.1664
2025-12-101.17431.1743
2025-12-091.16251.1625
2025-12-081.18251.1825