华夏创业板新能源ETF发起式联接C
(024420.jj )
基金类型指数型基金(ETF,联接型)成立日期2025-08-08基金净值1.3251 (2025-12-12) 基金经理单宽之管理费用率0.15%管托费用率0.05% (2025-08-07) 成立以来分红再投入年化收益率32.50% (46 / 1309)
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华夏创业板新能源ETF发起式联接C(024420) - 历史基金累计净值数据曲线

最后更新于:2025-12-12

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华夏创业板新能源ETF发起式联接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
2025-12-121.32511.3251
2025-12-111.31881.3188
2025-12-101.33031.3303
2025-12-091.33791.3379
2025-12-081.34891.3489
2025-12-051.32131.3213
2025-12-041.30451.3045
2025-12-031.29641.2964
2025-12-021.31251.3125
2025-12-011.32691.3269
2025-11-281.32391.3239
2025-11-271.30661.3066
2025-11-261.30511.3051
2025-11-251.29671.2967
2025-11-241.27331.2733
2025-11-211.26951.2695
2025-11-201.33701.3370
2025-11-191.35641.3564
2025-11-181.35711.3571
2025-11-171.40721.4072
2025-11-141.40771.4077
2025-11-131.44351.4435
2025-11-121.37781.3778
2025-11-111.40491.4049
2025-11-101.40421.4042
2025-11-071.43101.4310
2025-11-061.42121.4212
2025-11-051.40191.4019
2025-11-041.35491.3549
2025-11-031.40271.4027
2025-10-311.40051.4005
2025-10-301.41211.4121
2025-10-291.40921.4092
2025-10-281.32821.3282
2025-10-271.33151.3315
2025-10-241.33041.3304
2025-10-231.29001.2900
2025-10-221.27851.2785
2025-10-211.29311.2931
2025-10-201.27131.2713
2025-10-171.24831.2483
2025-10-161.32481.3248
2025-10-151.31191.3119
2025-10-141.27591.2759
2025-10-131.31831.3183
2025-10-101.32301.3230
2025-10-091.40981.4098
2025-09-301.38581.3858
2025-09-291.36491.3649
2025-09-261.32331.3233