华夏信兴回报混合A
(019470.jj ) 华夏基金管理有限公司
基金类型混合型成立日期2023-11-24总资产规模8,559.16万 (2025-12-31) 基金净值1.2688 (2026-03-13) 基金经理王君正管理费用率0.60%管托费用率0.20% (2025-06-30) 持仓换手率210.85% (2025-06-30) 成立以来分红再投入年化收益率10.91% (2181 / 9047)
备注 (0): 双击编辑备注
发表讨论

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:2026-03-13

数据选项
加载中......
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
2026-03-131.26881.2688
2026-03-121.27711.2771
2026-03-111.28551.2855
2026-03-101.28141.2814
2026-03-091.26421.2642
2026-03-061.27801.2780
2026-03-051.26671.2667
2026-03-041.26081.2608
2026-03-031.27251.2725
2026-03-021.29471.2947
2026-02-271.30231.3023
2026-02-261.30181.3018
2026-02-251.31431.3143
2026-02-241.31111.3111
2026-02-131.31151.3115
2026-02-121.32591.3259
2026-02-111.32771.3277
2026-02-101.32841.3284
2026-02-091.32371.3237
2026-02-061.30801.3080
2026-02-051.31601.3160
2026-02-041.31721.3172
2026-02-031.31101.3110
2026-02-021.29851.2985
2026-01-301.33251.3325
2026-01-291.34741.3474
2026-01-281.34281.3428
2026-01-271.33111.3311
2026-01-261.32351.3235
2026-01-231.32461.3246
2026-01-221.32121.3212
2026-01-211.32241.3224
2026-01-201.31361.3136
2026-01-191.30951.3095
2026-01-161.31401.3140
2026-01-151.31361.3136
2026-01-141.31961.3196
2026-01-131.31341.3134
2026-01-121.30971.3097
2026-01-091.29771.2977
2026-01-081.28741.2874
2026-01-071.29451.2945
2026-01-061.28931.2893
2026-01-051.27611.2761
2025-12-311.24741.2474
2025-12-301.24951.2495
2025-12-291.24631.2463
2025-12-261.25391.2539
2025-12-251.25421.2542
2025-12-241.25491.2549