华宝新活力混合I
(024065.jj ) 华宝基金管理有限公司
基金类型混合型成立日期2025-04-18基金净值2.0468 (2026-04-02) 基金经理喻银尤姜松尚管理费用率0.60%管托费用率0.15% (2026-01-06) 成立以来分红再投入年化收益率26.96% (345 / 9094)
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华宝新活力混合I(024065) - 历史基金净值数据曲线

最后更新于:2026-04-02

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华宝新活力混合I历史净值,最多展示50条数据。
日期基金净值基金累计净值
2026-04-022.04682.0468
2026-04-012.06952.0695
2026-03-312.03352.0335
2026-03-302.06182.0618
2026-03-272.05882.0588
2026-03-262.02322.0232
2026-03-252.04562.0456
2026-03-242.00612.0061
2026-03-231.94211.9421
2026-03-202.04942.0494
2026-03-192.10722.1072
2026-03-182.16532.1653
2026-03-172.13482.1348
2026-03-162.17962.1796
2026-03-132.17432.1743
2026-03-122.18702.1870
2026-03-112.20722.2072
2026-03-102.21372.2137
2026-03-092.17032.1703
2026-03-062.19082.1908
2026-03-052.14522.1452
2026-03-042.12492.1249
2026-03-032.14362.1436
2026-03-022.22232.2223
2026-02-272.25092.2509
2026-02-262.23812.2381
2026-02-252.22612.2261
2026-02-242.20912.2091
2026-02-132.18532.1853
2026-02-122.19842.1984
2026-02-112.18982.1898
2026-02-102.19092.1909
2026-02-092.18622.1862
2026-02-062.15642.1564
2026-02-052.15172.1517
2026-02-042.16822.1682
2026-02-032.15982.1598
2026-02-022.12042.1204
2026-01-302.18872.1887
2026-01-292.20092.2009
2026-01-282.23262.2326
2026-01-272.24622.2462
2026-01-262.23112.2311
2026-01-232.24322.2432
2026-01-222.20382.2038
2026-01-212.19272.1927
2026-01-202.16712.1671
2026-01-192.18662.1866
2026-01-162.17822.1782
2026-01-152.17142.1714