华宝稳健养老(FOF)Y
(017271.jj )
基金类型FOF(养老目标基金)成立日期2022-11-22总资产规模1,063.34万 (2025-12-31) 基金净值1.4076 (2026-02-11) 基金经理孙梦祎管理费用率0.30%管托费用率0.08% (2025-06-30) 成立以来分红再投入年化收益率4.81% (676 / 1384)
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华宝稳健养老(FOF)Y(017271) - 历史基金净值数据曲线

最后更新于:2026-02-11

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华宝稳健养老(FOF)Y历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-02-111.40761.4076
2026-02-101.40911.4091
2026-02-091.40791.4079
2026-02-061.39431.3943
2026-02-051.39581.3958
2026-02-041.40571.4057
2026-02-031.40921.4092
2026-02-021.39691.3969
2026-01-301.41811.4181
2026-01-291.42591.4259
2026-01-281.42961.4296
2026-01-271.42391.4239
2026-01-261.41951.4195
2026-01-231.42041.4204
2026-01-221.41651.4165
2026-01-211.41381.4138
2026-01-201.40531.4053
2026-01-191.41071.4107
2026-01-161.41151.4115
2026-01-151.40911.4091
2026-01-141.40641.4064
2026-01-131.40051.4005
2026-01-121.40711.4071
2026-01-091.39821.3982
2026-01-081.39311.3931
2026-01-071.39431.3943
2026-01-061.39251.3925
2026-01-051.38751.3875
2025-12-291.37741.3774
2025-12-261.37881.3788
2025-12-251.37761.3776
2025-12-241.37731.3773
2025-12-231.37361.3736
2025-12-221.37181.3718
2025-12-191.36381.3638
2025-12-181.36131.3613
2025-12-171.36521.3652
2025-12-161.35501.3550
2025-12-151.36161.3616
2025-12-121.36621.3662
2025-12-111.36271.3627
2025-12-101.36771.3677
2025-12-091.36701.3670
2025-12-081.36741.3674
2025-12-051.36131.3613
2025-12-041.35821.3582
2025-12-031.35721.3572
2025-12-021.35901.3590
2025-12-011.36251.3625
2025-11-281.35781.3578