华宝医药生物混合C
(019029.jj ) 华宝基金管理有限公司
基金类型混合型成立日期2023-08-30总资产规模1,076.09万 (2025-09-30) 基金净值3.3800 (2026-01-12) 基金经理张金涛管理费用率1.20%管托费用率0.20% (2025-10-28) 成立以来分红再投入年化收益率15.58% (1294 / 8992)
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华宝医药生物混合C(019029) - 历史基金净值数据曲线

最后更新于:2026-01-12

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华宝医药生物混合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
2026-01-123.38003.8410
2026-01-093.42103.8820
2026-01-083.33203.7930
2026-01-073.31203.7730
2026-01-063.18903.6500
2026-01-053.17503.6360
2025-12-313.03603.4970
2025-12-303.04303.5040
2025-12-293.09203.5530
2025-12-263.15503.6160
2025-12-253.16403.6250
2025-12-243.17703.6380
2025-12-233.18903.6500
2025-12-223.17503.6360
2025-12-193.17603.6370
2025-12-183.12103.5820
2025-12-173.15203.6130
2025-12-163.11703.5780
2025-12-153.17403.6350
2025-12-123.29603.7570
2025-12-113.30203.7630
2025-12-103.29903.7600
2025-12-093.30303.7640
2025-12-083.32703.7880
2025-12-053.33403.7950
2025-12-043.33903.8000
2025-12-033.29203.7530
2025-12-023.31103.7720
2025-12-013.36103.8220
2025-11-283.40303.8640
2025-11-273.37803.8390
2025-11-263.40803.8690
2025-11-253.34203.8030
2025-11-243.32603.7870
2025-11-213.26103.7220
2025-11-203.33503.7960
2025-11-193.31903.7800
2025-11-183.35303.8140
2025-11-173.35703.8180
2025-11-143.43503.8960
2025-11-133.44703.9080
2025-11-123.33703.7980
2025-11-113.28303.7440
2025-11-103.30303.7640
2025-11-073.27103.7320
2025-11-063.33603.7970
2025-11-053.32803.7890
2025-11-043.36103.8220
2025-11-033.45903.9200
2025-10-313.47003.9310