华宝上证科创板芯片指数发起C
(021225.jj ) 科创芯片 (季度) 华宝基金管理有限公司
基金类型指数型基金成立日期2024-08-30总资产规模5.80亿 (2025-12-31) 基金净值2.9748 (2026-01-27) 基金经理陈建华管理费用率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116.83% (5 / 5609)
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华宝上证科创板芯片指数发起C(021225) - 历史基金净值数据曲线

最后更新于:2026-01-27

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华宝上证科创板芯片指数发起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
2026-01-272.97482.9748
2026-01-262.89512.8951
2026-01-232.94082.9408
2026-01-222.94052.9405
2026-01-212.94402.9440
2026-01-202.83202.8320
2026-01-192.85512.8551
2026-01-162.87662.8766
2026-01-152.79842.7984
2026-01-142.75722.7572
2026-01-132.69122.6912
2026-01-122.79412.7941
2026-01-092.76302.7630
2026-01-082.74052.7405
2026-01-072.72122.7212
2026-01-062.65652.6565
2026-01-052.61042.6104
2025-12-312.50432.5043
2025-12-302.53542.5354
2025-12-292.50082.5008
2025-12-262.49132.4913
2025-12-252.51082.5108
2025-12-242.50522.5052
2025-12-232.46842.4684
2025-12-222.44642.4464
2025-12-192.38132.3813
2025-12-182.38892.3889
2025-12-172.42222.4222
2025-12-162.35542.3554
2025-12-152.39692.3969
2025-12-122.47422.4742
2025-12-112.42142.4214
2025-12-102.45942.4594
2025-12-092.45812.4581
2025-12-082.46802.4680
2025-12-052.40402.4040
2025-12-042.40602.4060
2025-12-032.35402.3540
2025-12-022.36762.3676
2025-12-012.40342.4034
2025-11-282.38862.3886
2025-11-272.35622.3562
2025-11-262.35472.3547
2025-11-252.30702.3070
2025-11-242.28682.2868
2025-11-212.27642.2764
2025-11-202.37582.3758
2025-11-192.40012.4001
2025-11-182.42232.4223
2025-11-172.39772.3977