华安逆向策略混合C
(013638.jj ) 华安基金管理有限公司
基金类型混合型成立日期2021-10-18总资产规模1,132.92万 (2025-12-31) 基金净值5.7930 (2026-04-03) 基金经理万建军管理费用率1.20%管托费用率0.20% (2026-02-27) 成立以来分红再投入年化收益率-5.39% (8283 / 9093)
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华安逆向策略混合C(013638) - 历史基金累计净值数据曲线

最后更新于:2026-04-03

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华安逆向策略混合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
2026-04-035.79305.7930
2026-04-025.74105.7410
2026-04-015.72005.7200
2026-03-315.57105.5710
2026-03-305.70205.7020
2026-03-275.68605.6860
2026-03-265.64005.6400
2026-03-255.71605.7160
2026-03-245.62605.6260
2026-03-235.44905.4490
2026-03-205.57705.5770
2026-03-195.55205.5520
2026-03-185.75505.7550
2026-03-175.68405.6840
2026-03-165.83905.8390
2026-03-135.96005.9600
2026-03-126.02106.0210
2026-03-116.08006.0800
2026-03-106.10206.1020
2026-03-096.02206.0220
2026-03-066.11406.1140
2026-03-056.16606.1660
2026-03-046.08906.0890
2026-03-036.11806.1180
2026-03-026.36106.3610
2026-02-276.31806.3180
2026-02-266.30406.3040
2026-02-256.24406.2440
2026-02-246.15506.1550
2026-02-136.03106.0310
2026-02-126.15306.1530
2026-02-116.07806.0780
2026-02-106.01506.0150
2026-02-096.02106.0210
2026-02-065.88305.8830
2026-02-055.87705.8770
2026-02-046.03106.0310
2026-02-036.03706.0370
2026-02-025.82405.8240
2026-01-306.09306.0930
2026-01-296.19706.1970
2026-01-286.27006.2700
2026-01-276.13406.1340
2026-01-266.08106.0810
2026-01-236.08606.0860
2026-01-226.07706.0770
2026-01-216.09706.0970
2026-01-205.96005.9600
2026-01-195.99305.9930
2026-01-165.94005.9400