华夏信兴回报混合A
(019470.jj ) 华夏基金管理有限公司
基金经理王君正基金类型混合型成立日期2023-11-24总资产规模8,194.25万 (2026-06-30) 基金净值1.2955 (2026-08-26) 管理费用率0.60%管托费用率0.20% (2026-05-29) 成立以来分红再投入年化收益率9.86% (2343 / 9378)
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华夏信兴回报混合A(019470) - 历史基金净值数据曲线

最后更新于:2026-08-26

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华夏信兴回报混合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
2026-08-261.29551.2955
2026-08-251.28091.2809
2026-08-241.28461.2846
2026-08-211.31611.3161
2026-08-201.30481.3048
2026-08-191.29711.2971
2026-08-181.35561.3556
2026-08-171.35691.3569
2026-08-141.31801.3180
2026-08-131.31401.3140
2026-08-121.32761.3276
2026-08-111.31741.3174
2026-08-101.32791.3279
2026-08-071.32141.3214
2026-08-061.29661.2966
2026-08-051.29791.2979
2026-08-041.26911.2691
2026-08-031.23741.2374
2026-07-311.25411.2541
2026-07-301.24401.2440
2026-07-291.27251.2725
2026-07-281.26471.2647
2026-07-271.30201.3020
2026-07-241.28271.2827
2026-07-231.29361.2936
2026-07-221.29191.2919
2026-07-211.30071.3007
2026-07-201.25631.2563
2026-07-171.25081.2508
2026-07-161.29251.2925
2026-07-151.31281.3128
2026-07-141.31091.3109
2026-07-131.29181.2918
2026-07-101.31081.3108
2026-07-091.33311.3331
2026-07-081.30531.3053
2026-07-071.30531.3053
2026-07-061.31741.3174
2026-07-031.31271.3127
2026-07-021.30371.3037
2026-07-011.32931.3293
2026-06-301.33291.3329
2026-06-291.32331.3233
2026-06-261.29501.2950
2026-06-251.31761.3176
2026-06-241.30831.3083
2026-06-231.29221.2922
2026-06-221.31751.3175
2026-06-181.29991.2999
2026-06-171.30311.3031