华安新兴消费混合C
(010555.jj )
基金经理陈媛裘倩倩李杨基金类型混合型成立日期2020-12-11总资产规模3.13亿 (2026-06-30) 基金净值0.5224 (2026-08-28) 管理费用率1.20%管托费用率0.20% (2025-12-16) 成立以来分红再投入年化收益率-10.74% (9070 / 9402)
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华安新兴消费混合C(010555) - 历史基金累计净值数据曲线

最后更新于:2026-08-28

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华安新兴消费混合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
2026-08-280.52240.5224
2026-08-270.52650.5265
2026-08-260.52280.5228
2026-08-250.52060.5206
2026-08-240.51580.5158
2026-08-210.52510.5251
2026-08-200.52680.5268
2026-08-190.52250.5225
2026-08-180.53560.5356
2026-08-170.53680.5368
2026-08-140.52860.5286
2026-08-130.52810.5281
2026-08-120.52800.5280
2026-08-110.52980.5298
2026-08-100.53470.5347
2026-08-070.53030.5303
2026-08-060.52400.5240
2026-08-050.52560.5256
2026-08-040.51640.5164
2026-08-030.50690.5069
2026-07-310.51450.5145
2026-07-300.51030.5103
2026-07-290.52110.5211
2026-07-280.52090.5209
2026-07-270.53570.5357
2026-07-240.52430.5243
2026-07-230.52700.5270
2026-07-220.52750.5275
2026-07-210.53370.5337
2026-07-200.52010.5201
2026-07-170.52540.5254
2026-07-160.55900.5590
2026-07-150.57290.5729
2026-07-140.58050.5805
2026-07-130.56900.5690
2026-07-100.58340.5834
2026-07-090.59960.5996
2026-07-080.57700.5770
2026-07-070.59010.5901
2026-07-060.59740.5974
2026-07-030.59950.5995
2026-07-020.59410.5941
2026-07-010.61920.6192
2026-06-300.62520.6252
2026-06-290.61600.6160
2026-06-260.61230.6123
2026-06-250.62360.6236
2026-06-240.61390.6139
2026-06-230.60600.6060
2026-06-220.62800.6280