0.7843
0.15%+0.0012
单位净值 [2023-05-16]
- 最近一月:10.75%
- 最近一季:9.07%
- 最近半年:20.61%
- 今年以来:12.87%
- 最近一年:26.56%
- 最近两年:0.58%
- 最近三年:-11.15%
- 成立以来:-21.57%
-
成立日期:2016-05-16
-
基金评级:
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- 成立日期:2016-05-16
- 管理公司:华宝证券
净值明细
| 净值日期 |
单位净值 |
累计净值 |
| 2023-05-16 |
0.7843 |
0.7843 |
| 2023-05-12 |
0.7831 |
0.7831 |
| 2023-05-05 |
0.7940 |
0.7940 |
| 2023-04-25 |
0.7010 |
0.7010 |
| 2023-04-18 |
0.7252 |
0.7252 |
| 2023-04-11 |
0.7082 |
0.7082 |
| 2023-04-04 |
0.7155 |
0.7155 |
| 2023-03-28 |
0.7094 |
0.7094 |
| 2023-03-21 |
0.7143 |
0.7143 |
| 2023-03-14 |
0.6998 |
0.6998 |
| 2023-03-07 |
0.7324 |
0.7324 |
| 2023-02-28 |
0.7227 |
0.7227 |
| 2023-02-21 |
0.7264 |
0.7264 |
| 2023-02-14 |
0.7191 |
0.7191 |
| 2023-02-07 |
0.7203 |
0.7203 |
| 2023-01-31 |
0.7240 |
0.7240 |
| 2023-01-17 |
0.7022 |
0.7022 |
| 2023-01-10 |
0.6756 |
0.6756 |
| 2023-01-04 |
0.6852 |
0.6852 |
| 2022-12-27 |
0.6949 |
0.6949 |