华安聚弘精选混合A
(012234.jj ) 华安基金管理有限公司
基金经理饶晓鹏基金类型混合型成立日期2021-08-27总资产规模7.26亿 (2026-06-30) 基金净值0.6476 (2026-07-24) 管理费用率1.20%管托费用率0.20% (2026-06-26) 成立以来分红再投入年化收益率-8.47% (8642 / 9321)
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华安聚弘精选混合A(012234) - 历史基金净值数据曲线

最后更新于:2026-07-24

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华安聚弘精选混合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
2026-07-240.64760.6476
2026-07-230.65760.6576
2026-07-220.65120.6512
2026-07-210.65310.6531
2026-07-200.65140.6514
2026-07-170.63490.6349
2026-07-160.65960.6596
2026-07-150.66800.6680
2026-07-140.65400.6540
2026-07-130.64650.6465
2026-07-100.65050.6505
2026-07-090.65290.6529
2026-07-080.64890.6489
2026-07-070.66250.6625
2026-07-060.68050.6805
2026-07-030.68130.6813
2026-07-020.67330.6733
2026-07-010.68650.6865
2026-06-300.67930.6793
2026-06-290.68240.6824
2026-06-260.66150.6615
2026-06-250.67650.6765
2026-06-240.67620.6762
2026-06-230.66970.6697
2026-06-220.68300.6830
2026-06-180.66860.6686
2026-06-170.66990.6699
2026-06-160.67110.6711
2026-06-150.67900.6790
2026-06-120.67590.6759
2026-06-110.66500.6650
2026-06-100.67150.6715
2026-06-090.67210.6721
2026-06-080.66980.6698
2026-06-050.68030.6803
2026-06-040.68740.6874
2026-06-030.69870.6987
2026-06-020.70390.7039
2026-06-010.70050.7005
2026-05-290.69960.6996
2026-05-280.70320.7032
2026-05-270.70490.7049
2026-05-260.70960.7096
2026-05-250.70610.7061
2026-05-220.71420.7142
2026-05-210.71300.7130
2026-05-200.72600.7260
2026-05-190.72470.7247
2026-05-180.72670.7267
2026-05-150.72880.7288