华夏优势增长历史净值查询(〔002229华夏回报净值查询〕002001华夏回报净值天天基金网-芳樟知识)

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摘要:〔002229华夏回报净值查询〕002001华夏回报净值天天基金网-芳樟知识 财经知识的学习和应用需要注重市场分析能力的提升。投资者们需要具备对市场趋势和行业动态的敏锐洞察力,以把

〔002229华夏回报净值查询〕002001华夏回报净值天天基金网-芳樟知识

财经知识的学习和应用需要注重市场分析能力的提升。投资者们需要具备对市场趋势和行业动态的敏锐洞察力,以把握投资机会。长话短说,现在由芳樟知识分析关于002229华夏回报净值查询的相关信息,希望可以帮到你。

答历史业绩优异,熊市和震荡市场表现更加出色,自成立以来获得五倍收益。截至2013年8月21日,该基金设立以来净值增长558.47%,分别超越基金基准和同业平均455.09、271.76个百分点;最近三年,该基金净值增长22.85%,分别超越基金基准和同业平均32.77、25.79个百分点;最近一季度,该基金净值增长1.2%,分别超越基金基准和同业平均6.91、3.17个百分点,长中短期业绩均表现优异。另外,该基金在熊市抗跌优势明显,通过较低的仓位水平、合理的资产配置以及良好的风险控制能力,其阶段业绩表现均好于基金基准和同业基金平均水平,分别位于同期积极投资开放式混合型中114只第4位和158只第5位,同时该基金在震荡市场也有出色的业绩表现。

该基金投资风格稳健,股票仓位较低;从2005年一季度至2013年二季度末,平均股票仓位为60%左右,低于同业平均水平;2012年,股票市场震荡调整,该基金股票平均仓位不足50%,有效控制了下跌风险。在行业配置上,华夏回报紧扣市场风格变化,行业配置有所侧重并注重均衡:具体来看,该基金对于业绩增长稳定、防御性质突出的食品饮料业予以侧重,自2011年二季度至今,该行业的配置比例均在10%,同时对收益相对稳健的金融保险行业相对集中配置,从2009年到2012年一季度末,该行业的配置比例维持在10%的相对较高配置。另外,该基金精于选股,重仓股的优秀表现也为该基金业绩提供了重要支撑。

投资建议及风险提示:华夏回报基金属于混合型基金中的积极投资品种,适合风险承受能力较强,并期望获得较高收益的投资者。该基金属于中高风险的基金品种,因此风险承受能力较低的投资者请谨慎投资。

华夏回报基金正确判断市场走势,合理配置股票和债券等投资工具的比例,准确选择具有投资价值的股票品种和债券品种进行投资,可以在尽量避免基金资产损失的前提下实现较高的绝对回报,凭借良好的过往业绩、优秀的选股能力和风险调整后收益能力被评为2012年度“五年期混合型金牛基金”。

答;华夏基金全部基金一览:基金简称基金代码净值日期净值

华夏大盘精选混合0000112013-03-048.48512.165-1.16%2004-08-11开放开放开放

华夏红利混合*0020112013-03-041.4653.938-2.79%2005-06-30暂停开放开放——

华夏回报混合0020012013-03-041.4113.528-1.60%2003-09-05开放开放开放

华夏经典混合2880012013-03-040.9923.132-1.98%2004-03-15开放开放开放

华夏成长混合0000012013-03-041.0113.112-2.60%2001-12-18开放开放开放

华夏回报二号混合0020212013-03-041.2062.521-1.55%2006-08-14开放开放开放

华夏上证50ETF5100502013-03-041.8432.413-5.15%2004-12-30开放开放暂停————

华夏优势增长股票*0000212013-03-041.1812.351-1.91%2006-11-24暂停开放开放——

华夏策略混合0020312013-03-041.7292.329-2.21%2008-10-23开放开放开放

华夏稳增混合5190292013-03-041.3142.019-2.45%2006-08-09开放开放开放

华夏债券A/B0010012013-03-041.0821.6720.09%2002-10-23开放开放开放

华夏债券C0010032013-03-041.0741.6440.09%2002-10-23开放开放开放

中信稳定双利债券2881022013-03-041.04721.59720.11%2006-07-20开放开放开放

华夏希望债券A0010112013-03-041.0841.324-0.28%2008-03-10开放开放开放

华夏希望债券C0010132013-03-041.0761.306-0.28%2008-03-10开放开放开放

华夏复兴股票0000312013-03-041.1701.170-2.66%2007-09-10开放开放开放

华夏亚债中国指数A0010212013-03-041.0751.0750.09%2011-05-25开放开放开放

华夏亚债中国指数C0010232013-03-041.0671.0670.00%2011-05-25开放开放开放

华夏沪深300ETF5103302013-03-042.54831.0431-4.62%2012-12-25开放开放暂停————

华夏安康债券A0010312013-03-041.0311.031-1.34%2012-09-11开放开放开放

华夏安康债券C0010332013-03-041.0291.029-1.34%2012-09-11开放开放开放

华夏恒生ETF1599202013-03-041.02621.0262-1.44%2012-08-09开放开放暂停————

华夏恒生ETF联接0000712013-03-041.0111.011-1.37%2012-08-21开放开放开放

华夏预期年化收益债券(QDII)A0010612013-03-011.0111.0110.10%2012-12-07开放开放开放

华夏预期年化收益债券(QDII)C0010632013-03-011.0101.0100.10%2012-12-07开放开放开放

华夏恒生ETF联接(美元)0000752013-03-040.16090.1609-1.41%2012-08-21开放开放开放————

基金简称基金代码净值日期万份预期年化收益

预期年化收益率(%)30天的历史预期年化收益率(%)历史预期年化收益率(%)成立日期申购状态赎回状态定投状态网上交易直通车

基金简称基金代码净值日期百万份预期年化收益

预期年化收益率(%)30天的历史预期年化收益率(%)历史预期年化收益率(%)成立日期申购状态赎回状态定投状态网上交易直通车

华夏保证金货币A5198002013-03-041.47983.4603.5443.5442013-02-04开放开放暂停————

华夏保证金货币B5198012013-03-041.64804.1054.1544.1542013-02-04开放开放暂停————

基金简称基金代码净值日期万份预期年化收益

预期年化收益率(%)成立日期申购状态赎回状态定投状态网上交易直通车

华夏理财30天A0010572013-03-041.75715.4754.0372012-10-24开放开放暂停——

华夏理财30天B0010582013-03-041.82335.7194.2772012-10-24开放开放暂停——

运作期起始日运作期到期日运作期历史预期年化收益率(%)

运作期起始日运作期到期日运作期历史预期年化收益率(%)

基金简称基金代码净值日期净值累计净值成立日期到期日期定投状态交易状态

华夏兴华封闭5000082013-03-011.00855.34251998-04-282013-04-28——交易所交易

答12月10日基金净值更新日期:12月7日

代码名称最新净值上期净值最新净值增长率近一周净值增长率近一月净值增长率累计净值累计分红最新份额(亿)

000001NV.OF华夏成长净值2.0452.0270.894.5-4.443.2261.18161.5457

000011NV.OF华夏大盘精选净值6.7166.6271.345.650.076.8960.188.2684

000021NV.OF华夏优势增长净值2.4462.4240.915.25-3.052.5660.1291.6291

000031NV.OF华夏复兴净值0.990.981.025.21-1.880.99049.9911

001001NV.OF华夏债券AB净值1.1121.113-0.090.36-0.271.3620.2543.8711

001003NV.OF华夏债券C净值1.1051.106-0.090.27-0.361.3550.2510.1886

002001NV.OF华夏回报净值1.3521.3420.753.84-1.893.3231.971168.754

002021NV.OF华夏回报2号净值1.181.1690.944.33-1.862.4271.24772.7903

020002NV.OF国泰金龙债券净值1.0651.06500.280.371.2280.1637.6107

020003NV.OF国泰金龙行业精选净值3.2673.2341.024.71-4.054.0990.8321.8937

020005NV.OF国泰金马稳健回报净值1.0111.0020.93.9-4.354.1633.119106.0574

020006NV.OF国泰金象保本增值净值1.4311.4280.210.57-0.281.4310.441.9986

020008NV.OF国泰金鹿保本增值净值1.5941.590.251.4-1.241.6190.0259.1382

020009NV.OF国泰金鹏蓝筹价值净值1.2881.2770.865.05-5.442.1730.88538.6777

020010NV.OF国泰金牛创新成长净值1.2161.2050.914.56-4.11.2660.0581.0883

040002NV.OF华安MSCI中国A股净值4.2624.2011.456.18-4.634.6320.3710.6404

040004NV.OF华安宝利配置净值1.0951.0890.553.89-0.543.3352.2429.9092

040005NV.OF华安宏利净值2.9282.89721.065.54-3.713.3180.3952.9924

040006NV.OF华安国际配置净值1.0231.0160.69001.02301.8104

040007NV.OF华安中小盘成长净值1.46971.44781.516.02-3.422.78461.7749144.3842

040008NV.OF华安策略优选净值1.0221.01510.684.46-4.812.55832.6563243.7349

050001NV.OF博时价值增长净值1.0080.99814.13-3.363.512.502409.9358

050002NV.OF博时裕富净值1.3541.3371.276.11-6.493.3341.98192.2833

050004NV.OF博时精选净值2.12762.1041.125.19-4.253.51761.39120.9471

050006NV.OF博时稳定价值债券B净值1.0531.0520.090.380.191.0910.03814.3767

050007NV.OF博时平衡配置净值1.2571.2470.84.14-5.562.3181.06146.2127

050008NV.OF博时第三产业成长净值1.4941.4810.885.43-3.683.3052.051154.3808

050009NV.OF博时新兴成长净值1.0741.0611.225.09-3.944.0293.4023294.7625

050106NV.OF博时稳定价值债券A净值1.0541.0530.090.470.181.0920.0380.4585

050201NV.OF博时价值增长2号净值0.9760.9670.934.83-5.242.4311.45568.9229

070001NV.OF嘉实成长收益净值1.77821.76370.823.72-1.793.32821.5535.506

070002NV.OF嘉实增长净值4.4254.3930.733.95-1.864.7660.3416.8834

070003NV.OF嘉实稳健净值1.331.3190.834.56-4.113.4561.7369302.1839

070005NV.OF嘉实债券净值1.2591.2560.230.48-2.631.6090.3532.9815

070007NV.OF嘉实浦安保本净值11.0010.10.10.161.8970.8972.3635

070009NV.OF嘉实超短债净值1.00281.00240.040.110.241.04630.04353.0955

070010NV.OF嘉实主题精选净值1.7191.7090.594.43-2.332.8841.16583.1135

070011NV.OF嘉实策略增长净值1.6671.6520.915.04-2.41.6670127.1473

070099NV.OF嘉实优质企业净值000002.9691.8440

080001NV.OF长盛成长价值净值1.1251.1170.714.17-3.62.9691.84419.3219

090001NV.OF大成价值增长净值0.97080.961215.43-1.233.63082.6617.4458

090002NV.OF大成债券AB净值1.06641.0666-0.020.640.141.29590.229521.5133

090003NV.OF大成蓝筹稳健净值1.10881.09870.925.24-3.163.67882.57183.4507

090004NV.OF大成精选增值净值1.91941.89251.425.54-3.623.31991.400540.6571

090006NV.OF大成财富管理2020净值0.9790.970.935.16-2.592.8011.82266.3478

092002NV.OF大成债券C净值1.05631.0566-0.030.620.071.28580.229521.5133

100016NV.OF富国天源平衡净值1.23841.22571.044.58-5.032.4991.260614.8974

100018NV.OF富国天利增长债券净值1.28291.28060.181.16-0.351.71290.4317.457

100020NV.OF富国天益价值净值1.05031.03981.015.16-1.124.06163.011318.2165

100022NV.OF富国天瑞强势地区精选净值2.04692.01261.715.82-3.253.21691.177.7829

100026NV.OF富国天合稳健优选净值0.99330.98370.975.64-2.952.37281.379556.506

110001NV.OF易方达平稳增长净值1.9571.940.885.16-2.733.0671.1144.9782

110003NV.OF易方达上证50净值1.42581.4091.196.16-3.953.27581.85173.4911

110005NV.OF易方达积极成长净值1.67571.66080.95.8-3.614.7371.8812124.7659

110007NV.OF易方达月月收益A净值1.00841.0080.040.10.421.040.03162.8524

110008NV.OF易方达月月收益B净值1.00861.00820.040.110.451.04020.02830.0999

110010NV.OF易方达价值成长净值1.52291.50361.295.76-3.091.55290.03255.6301

112002NV.OF易方达策略成长2号净值1.8491.8340.826.45-4.153.3441.49541.7316

121001NV.OF国投瑞银融华债券净值1.43741.42740.72.52-2.892.28940.8524.5693

121002NV.OF国投瑞银景气行业净值0.95180.9421.044.08-4.422.92081.96954.433

121003NV.OF国投瑞银核心企业净值1.26851.25511.076.21-5.552.70851.44156.4999

121005NV.OF国投瑞银创新动力净值1.49421.479415.63-4.542.72730.840644.6447

121007NV.OF国投瑞银瑞福优先净值1.0541.0510.291.44-0.851.054029.9984

150001NV.SZ国投瑞银瑞福进取净值1.2661.2412.0110.57-9.121.266030.005

150002NV.SZ大成优选净值1.1921.1791.17.68-4.331.192046.7431

150103NV.OF银河银泰理财分红净值1.06581.05491.044.74-4.933.60582.5446.3536

151001NV.OF银河稳健净值1.41671.40320.964.95-2.833.22171.80516.9767

151002NV.OF银河收益净值1.61091.60120.612.05-0.371.91090.33.7866

159901NV.OF易方达深证100ETF净值5.044.971.416.76-7.35.160.1210.6317

159902NV.OF华夏中小板ETF净值2.5812.5690.475.87-0.042.581011.482

160105NV.OF南方积极配置净值1.97511.9570.935.65-3.943.03011.05544.0375

160311NV.OF华夏蓝筹核心净值1.3311.3190.914.88-3.23.8152.043269.5585

160314NV.OF华夏行业精选净值3.6813.6411.14.54-0.924.4680.7875

160505NV.OF博时主题行业净值2.9922.9571.184.11-0.963.9130.92164.0489

160602NV.OF鹏华普天债券A净值1.0911.09100.190.371.220.1291.2807

160603NV.OF鹏华普天收益净值1.0241.0170.695.13-3.853.472.44628.7567

160605NV.OF鹏华中国50净值2.0942.0740.976.24-4.253.6241.5339.31

160607NV.OF鹏华价值优势净值1.0151.0041.15.84-1.463.1142.071134.753

160608NV.OF鹏华普天债券B净值1.0791.0780.090.180.371.2080.1291.6393

160610NV.OF鹏华动力增长净值1.9921.9711.076.41-10.591.992072.7711

160611NV.OF鹏华优质治理净值1.371.3541.185.71-4.861.370158.1272

160706NV.OF嘉实沪深300净值1.2591.2431.295.98-5.483.1271.868265.7051

160805NV.OF长盛同智优势成长净值1.83491.81231.255.47-6.362.74511.602752.9451

160910NV.OF大成创新成长净值1.2631.2481.25.69-3.812.4741.969219.2944

161005NV.OF富国天惠精选成长净值1.89321.8750.975.58-3.183.09321.223.8906

161601NV.OF融通新蓝筹净值1.05081.04510.554.05-2.323.34582.295279.4033

161603NV.OF融通债券净值1.1681.169-0.090-0.341.3430.1752.4121

161604NV.OF融通深证100净值1.8211.7971.336.49-6.712.9911.1768.3123

161605NV.OF融通蓝筹成长净值1.871.8520.975.59-5.631.1341.8806

161606NV.OF融通行业景气净值1.3471.3360.825.23-3.443.2871.946.1191

161607NV.OF融通巨潮100净值1.7341.7121.286.18-5.813.1641.4329.3893

161609NV.OF融通动力先锋净值2.6752.6391.366.15-5.182.7750.135.5389

161610NV.OF融通领先成长净值1.4521.4410.776.45-4.033.7391.924860.6051

161706NV.OF招商优质成长净值1.75581.731.496.61-4.483.66611.910374.0757

161902NV.OF万家增强收益净值1.00341.00310.030.29-0.21.43940.43575.8987

161903NV.OF万家公用事业净值1.67211.639324.49-3.452.40210.731.0406

162006NV.OF长城久富核心成长净值1.64441.62641.114.4-2.733.52521.880855.6008

162102NV.OF金鹰中小盘精选净值1.48141.47240.613.17-9.092.10140.620.4907

162201NV.OF泰达荷银成长净值1.97181.96770.212.32-1.363.05181.085.8915

162202NV.OF泰达荷银周期净值1.83161.82470.384.33-4.643.30661.4756.3977

162203NV.OF泰达荷银稳定净值1.59341.57910.914.13-3.313.09341.55.5038

162205NV.OF泰达荷银风险预算净值1.69841.68860.583.82-2.182.17340.4751.4979

162207NV.OF泰达荷银效率优选净值0.96970.96240.764.18-3.042.33231.405289.7424

162208NV.OF泰达荷银首选企业净值1.94491.93070.734.97-5.541.99490.0522.1494

162209NV.OF泰达荷银市值优选净值1.02171.01071.095.36-4.031.02170118.687

162605NV.OF景顺长城鼎益净值1.5551.5391.046.29-3.543.5451.99110.7062

162607NV.OF景顺长城资源垄断净值1.131.1161.257.01-3.913.0911.961153.261

162703NV.OF广发小盘成长净值2.83562.79791.355.9-3.443.99561.1649.709

163302NV.OF巨田资源优选净值2.06782.04131.35.7-4.433.30281.23510.6396

163402NV.OF兴业趋势投资净值1.28981.27820.915.3-1.735.77053.2239159.6282

163503NV.OF天治核心成长净值0.89720.88681.176.13-5.362.76071.96128.4215

163801NV.OF中银国际中国精选净值2.04352.01661.335.15-3.293.21351.1713.4838

163803NV.OF中银国际持续增长净值1.04731.03870.833.24-1.763.09381.8652152.4451

163804NV.OF中银国际收益净值1.00140.98941.215.09-2.162.18141.1871.5334

166001NV.OF中欧新趋势净值1.72031.69681.384.96-3.261.7203037.2196

180001NV.OF银华优势企业净值1.33451.32350.833.9-6.022.95451.6284.4218

180002NV.OF银华保本增值净值1.20821.20490.281.17-1.351.20820.228413.4139

180003NV.OF银华道琼斯88精选净值1.31341.30080.975.77-5.313.11341.8155.3113

180010NV.OF银华优质增长净值2.21182.19130.945.27-5.373.41181.264.552

180012NV.OF银华富裕主题净值1.19441.18221.035.36-6.772.12940.935122.8829

184689NV.SZ基金普惠净值3.69423.51345.155.15-3.064.73821.04420

184690NV.SZ基金同益净值2.78392.96683.953.951.714.78792.00420

184691NV.SZ基金景宏净值3.34363.1874.914.912.344.63361.2920

184692NV.SZ基金裕隆净值3.65273.48134.924.920.324.81171.15930

184698NV.SZ基金天元净值3.12132.97115.065.060.244.77631.65530

184703NV.SZ基金金盛净值2.74492.63154.314.310.364.52071.77585

184705NV.SZ基金裕泽净值3.4053.25234.74.7-2.174.4451.045

184706NV.SZ基金天华净值2.50152.39664.384.38-1.653.00150.525

184712NV.SZ基金科汇净值4.48464.21576.386.382.775.74211.25758

184719NV.SZ基金融鑫净值3.42163.26644.754.751.124.20440.78288

184721NV.SZ基金丰和净值2.82442.71344.094.09-2.464.00241.17830

200001NV.OF长城久恒净值1.6351.6250.613.22-1.572.7451.115.1203

200002NV.OF长城久泰中标300净值1.84541.82031.386.2-6.594.70542.865.5838

200006NV.OF长城消费增值净值1.05961.05340.594.22-2.432.49961.4443.5424

200007NV.OF长城安心回报净值1.00050.99090.974.5-3.292.56241.561298.175

200008NV.OF长城品牌优选净值1.13771.13010.673.4-2.711.13770244.2692

202001NV.OF南方稳健成长净值1.68391.66840.935.4-2.863.42891.745117.3452

202002NV.OF南方稳健成长2号净值1.41921.40730.855.45-3.573.01621.1253174.7346

202005NV.OF南方成份精选净值1.39451.38430.744.94-4.371.39452.4862258.1184

202007NV.OF南方隆元产业主题净值1.0061.0040.22.03-3.041.0063.0512111.8977

202101NV.OF南方宝元债券净值1.23051.22920.111.52-1.12.40051.1723.1272

202102NV.OF南方多利增强净值1.0651.06370.120.850.141.09310.028110.4451

202202NV.OF南方避险增值净值2.64342.61621.043.79-23.13740.49424.3492

210001NV.OF金鹰成份股优选净值1.03171.01791.354.95-6.652.69481.64649.1537

213001NV.OF宝盈鸿利收益净值1.32131.3051.256.7-5.972.96131.6413.4334

213002NV.OF宝盈泛沿海区域增长净值0.9510.93671.536.45-4.52.84541.783628.4774

213003NV.OF宝盈策略增长净值1.54871.52361.656.97-6.811.74870.249.9933

217001NV.OF招商安泰股票净值1.0281.02210.584.67-6.293.6422.6145.1455

217002NV.OF招商安泰平衡净值2.10322.09470.413.13-5.062.71820.6151.5228

217003NV.OF招商安泰债券A净值1.11521.11450.060.20.011.35170.23651.8329

217005NV.OF招商先锋净值0.99990.98841.165.01-3.692.94991.9595.8941

217008NV.OF招商安本增利债券净值1.19651.19360.241.44-0.681.24150.04540.4378

217009NV.OF招商核心价值净值1.6491.63131.096.01-4.681.6490102.4997

217203NV.OF招商安泰债券B净值1.1081.10730.070.19-0.011.34450.23650.9609

233001NV.OF巨田基础行业净值2.40262.36661.523.32-3.412.66260.260.9283

240001NV.OF华宝兴业宝康消费品净值1.52491.51410.714.78-5.823.28261.757731.1225

240002NV.OF华宝兴业宝康灵活配置净值1.85211.83620.874.14-4.253.39211.5425.3271

240003NV.OF华宝兴业宝康债券净值1.26881.26750.10.680.231.53880.2749.5845

240004NV.OF华宝兴业动力组合净值2.46332.44250.856.19-5.653.54331.0820.2319

240005NV.OF华宝兴业多策略增长净值2.11722.09571.035.4-6.294.23722.1214.9474

240008NV.OF华宝兴业收益增长净值3.67333.6380.975.48-4.113.6733021.7679

240010NV.OF华宝兴业行业精选净值1.25671.24111.264.97-3.491.25670231.8091

253010NV.OF国联安德盛安心成长净值1.8721.8640.432.3-1.992.1420.270.5355

255010NV.OF国联安德盛稳健净值2.9732.9431.025.35-4.313.0930.121.4301

257010NV.OF国联安德盛小盘精选净值1.0651.0541.045.45-4.233.1952.1349.8408

257020NV.OF国联安德盛精选净值1.2261.2081.496.98-5.113.1891.84230.4889

257030NV.OF国联安德盛优势净值1.6631.6470.976.4-6.11.663021.9328

260101NV.OF景顺长城优选股票净值1.63821.61941.166.74-0.693.44891.810745.124

260104NV.OF景顺长城内需增长净值4.6774.6191.266.98-3.035.3670.6918.7866

260108NV.OF景顺长城新兴成长净值1.3921.371.66.99-3.542.7421.3579.9591

260109NV.OF景顺长城内需增长2号净值2.9292.8951.176.9-3.622.929028.9441

260110NV.OF景顺长城精选蓝筹净值1.2551.2430.976.27-3.311.2550208.5979

270001NV.OF广发聚富净值1.54131.52820.864.46-33.85132.3168.1625

270002NV.OF广发稳健增长净值2.30282.28850.635.22-5.93.62281.3254.848

270006NV.OF广发策略优选净值2.95242.92241.035.89-5.043.28240.3383.4972

270007NV.OF广发大盘成长净值1.15511.14450.935.61-4.751.15510251.9832

288002NV.OF中信红利精选净值2.45872.43031.173.83-3.023.85871.443.382

288102NV.OF中信稳定双利债券净值1.05941.05820.110.53-0.711.22640.16734.2889

290002NV.OF泰信先行策略净值0.92610.91371.365.93-8.623.09342.255698.1904

更多的超出这里的字数限制,你自己看看下面的网址

看完本文,相信你已经对002229华夏回报净值查询有所了解,并知道如何处理它了。如果之后再遇到类似的事情,不妨试试芳樟知识推荐的方法去处理。

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我想知道华夏优势增长(000021)在2008年1月24日得价格,请大家帮帮忙把

截至日期单位净值(元)累计净值(元)增长率(%)2008-1-252.52702.64700.36%2008-1-242.51802.63801.74%2008-1-232.47502.59504.43%

有谁知道今天华夏优势和嘉实成长的净值是多少?能告诉我吗?

2011年3月21日华夏优势净值1.9980;嘉实成长净值0.8850

华夏基金净值怎么查询?

  

1、这个基金是新基金,所以查不到净值是很正常的 一般的封闭期是3个月 在封闭期内,每周五晚会公布全球精选基金的最新净值 在开放申购赎回业务后,华夏全球精选基金每个开放日的净值会在T+1日晚在公司网站公布。

  

2、要查询可以上华夏基金的官方网站 www.chinaamc.com

鹏华优质治理基金历史净值 - 嘀咕百科

股票市场是一个不断变化和发展的市场,投资者需要及时了解市场动态和公司信息,以便做出正确的投资决策。下面,带你了解鹏华优质治理基金历史净值,希望本文能帮到你。

本文最佳回答用户:【韦清晖】,现在由小编为你讲解与【鹏华优质治理基金历史净值】的相关内容!

答:12月10日基金净值更新日期:12月7日

代码名称最新净值上期净值最新净值增长率近一周净值增长率近一月净值增长率累计净值累计分红最新份额(亿)

000001NV.OF华夏成长净值2.0452.0270.894.5-4.443.2261.18161.5457

000011NV.OF华夏大盘精选净值6.7166.6271.345.650.076.8960.188.2684

000021NV.OF华夏优势增长净值2.4462.4240.915.25-3.052.5660.1291.6291

000031NV.OF华夏复兴净值0.990.981.025.21-1.880.99049.9911

001001NV.OF华夏债券AB净值1.1121.113-0.090.36-0.271.3620.2543.8711

001003NV.OF华夏债券C净值1.1051.106-0.090.27-0.361.3550.2510.1886

002001NV.OF华夏回报净值1.3521.3420.753.84-1.893.3231.971168.754

002021NV.OF华夏回报2号净值1.181.1690.944.33-1.862.4271.24772.7903

020002NV.OF国泰金龙债券净值1.0651.06500.280.371.2280.1637.6107

020003NV.OF国泰金龙行业精选净值3.2673.2341.024.71-4.054.0990.8321.8937

020005NV.OF国泰金马稳健回报净值1.0111.0020.93.9-4.354.1633.119106.0574

020006NV.OF国泰金象保本增值净值1.4311.4280.210.57-0.281.4310.441.9986

020008NV.OF国泰金鹿保本增值净值1.5941.590.251.4-1.241.6190.0259.1382

020009NV.OF国泰金鹏蓝筹价值净值1.2881.2770.865.05-5.442.1730.88538.6777

020010NV.OF国泰金牛创新成长净值1.2161.2050.914.56-4.11.2660.0581.0883

040002NV.OF华安MSCI中国A股净值4.2624.2011.456.18-4.634.6320.3710.6404

040004NV.OF华安宝利配置净值1.0951.0890.553.89-0.543.3352.2429.9092

040005NV.OF华安宏利净值2.9282.89721.065.54-3.713.3180.3952.9924

040006NV.OF华安国际配置净值1.0231.0160.69001.02301.8104

040007NV.OF华安中小盘成长净值1.46971.44781.516.02-3.422.78461.7749144.3842

040008NV.OF华安策略优选净值1.0221.01510.684.46-4.812.55832.6563243.7349

050001NV.OF博时价值增长净值1.0080.99814.13-3.363.512.502409.9358

050002NV.OF博时裕富净值1.3541.3371.276.11-6.493.3341.98192.2833

050004NV.OF博时精选净值2.12762.1041.125.19-4.253.51761.39120.9471

050006NV.OF博时稳定价值债券B净值1.0531.0520.090.380.191.0910.03814.3767

050007NV.OF博时平衡配置净值1.2571.2470.84.14-5.562.3181.06146.2127

050008NV.OF博时第三产业成长净值1.4941.4810.885.43-3.683.3052.051154.3808

050009NV.OF博时新兴成长净值1.0741.0611.225.09-3.944.0293.4023294.7625

050106NV.OF博时稳定价值债券A净值1.0541.0530.090.470.181.0920.0380.4585

050201NV.OF博时价值增长2号净值0.9760.9670.934.83-5.242.4311.45568.9229

070001NV.OF嘉实成长收益净值1.77821.76370.823.72-1.793.32821.5535.506

070002NV.OF嘉实增长净值4.4254.3930.733.95-1.864.7660.3416.8834

070003NV.OF嘉实稳健净值1.331.3190.834.56-4.113.4561.7369302.1839

070005NV.OF嘉实债券净值1.2591.2560.230.48-2.631.6090.3532.9815

070007NV.OF嘉实浦安保本净值11.0010.10.10.161.8970.8972.3635

070009NV.OF嘉实超短债净值1.00281.00240.040.110.241.04630.04353.0955

070010NV.OF嘉实主题精选净值1.7191.7090.594.43-2.332.8841.16583.1135

070011NV.OF嘉实策略增长净值1.6671.6520.915.04-2.41.6670127.1473

070099NV.OF嘉实优质企业净值000002.9691.8440

080001NV.OF长盛成长价值净值1.1251.1170.714.17-3.62.9691.84419.3219

090001NV.OF大成价值增长净值0.97080.961215.43-1.233.63082.6617.4458

090002NV.OF大成债券AB净值1.06641.0666-0.020.640.141.29590.229521.5133

090003NV.OF大成蓝筹稳健净值1.10881.09870.925.24-3.163.67882.57183.4507

090004NV.OF大成精选增值净值1.91941.89251.425.54-3.623.31991.400540.6571

090006NV.OF大成财富管理2020净值0.9790.970.935.16-2.592.8011.82266.3478

092002NV.OF大成债券C净值1.05631.0566-0.030.620.071.28580.229521.5133

100016NV.OF富国天源平衡净值1.23841.22571.044.58-5.032.4991.260614.8974

100018NV.OF富国天利增长债券净值1.28291.28060.181.16-0.351.71290.4317.457

100020NV.OF富国天益价值净值1.05031.03981.015.16-1.124.06163.011318.2165

100022NV.OF富国天瑞强势地区精选净值2.04692.01261.715.82-3.253.21691.177.7829

100026NV.OF富国天合稳健优选净值0.99330.98370.975.64-2.952.37281.379556.506

110001NV.OF易方达平稳增长净值1.9571.940.885.16-2.733.0671.1144.9782

110003NV.OF易方达上证50净值1.42581.4091.196.16-3.953.27581.85173.4911

110005NV.OF易方达积极成长净值1.67571.66080.95.8-3.614.7371.8812124.7659

110007NV.OF易方达月月收益A净值1.00841.0080.040.10.421.040.03162.8524

110008NV.OF易方达月月收益B净值1.00861.00820.040.110.451.04020.02830.0999

110010NV.OF易方达价值成长净值1.52291.50361.295.76-3.091.55290.03255.6301

112002NV.OF易方达策略成长2号净值1.8491.8340.826.45-4.153.3441.49541.7316

121001NV.OF国投瑞银融华债券净值1.43741.42740.72.52-2.892.28940.8524.5693

121002NV.OF国投瑞银景气行业净值0.95180.9421.044.08-4.422.92081.96954.433

121003NV.OF国投瑞银核心企业净值1.26851.25511.076.21-5.552.70851.44156.4999

121005NV.OF国投瑞银创新动力净值1.49421.479415.63-4.542.72730.840644.6447

121007NV.OF国投瑞银瑞福优先净值1.0541.0510.291.44-0.851.054029.9984

150001NV.SZ国投瑞银瑞福进取净值1.2661.2412.0110.57-9.121.266030.005

150002NV.SZ大成优选净值1.1921.1791.17.68-4.331.192046.7431

150103NV.OF银河银泰理财分红净值1.06581.05491.044.74-4.933.60582.5446.3536

151001NV.OF银河稳健净值1.41671.40320.964.95-2.833.22171.80516.9767

151002NV.OF银河收益净值1.61091.60120.612.05-0.371.91090.33.7866

159901NV.OF易方达深证100ETF净值5.044.971.416.76-7.35.160.1210.6317

159902NV.OF华夏中小板ETF净值2.5812.5690.475.87-0.042.581011.482

160105NV.OF南方积极配置净值1.97511.9570.935.65-3.943.03011.05544.0375

160311NV.OF华夏蓝筹核心净值1.3311.3190.914.88-3.23.8152.043269.5585

160314NV.OF华夏行业精选净值3.6813.6411.14.54-0.924.4680.7875

160505NV.OF博时主题行业净值2.9922.9571.184.11-0.963.9130.92164.0489

160602NV.OF鹏华普天债券A净值1.0911.09100.190.371.220.1291.2807

160603NV.OF鹏华普天收益净值1.0241.0170.695.13-3.853.472.44628.7567

160605NV.OF鹏华中国50净值2.0942.0740.976.24-4.253.6241.5339.31

160607NV.OF鹏华价值优势净值1.0151.0041.15.84-1.463.1142.071134.753

160608NV.OF鹏华普天债券B净值1.0791.0780.090.180.371.2080.1291.6393

160610NV.OF鹏华动力增长净值1.9921.9711.076.41-10.591.992072.7711

160611NV.OF鹏华优质治理净值1.371.3541.185.71-4.861.370158.1272

160706NV.OF嘉实沪深300净值1.2591.2431.295.98-5.483.1271.868265.7051

160805NV.OF长盛同智优势成长净值1.83491.81231.255.47-6.362.74511.602752.9451

160910NV.OF大成创新成长净值1.2631.2481.25.69-3.812.4741.969219.2944

161005NV.OF富国天惠精选成长净值1.89321.8750.975.58-3.183.09321.223.8906

161601NV.OF融通新蓝筹净值1.05081.04510.554.05-2.323.34582.295279.4033

161603NV.OF融通债券净值1.1681.169-0.090-0.341.3430.1752.4121

161604NV.OF融通深证100净值1.8211.7971.336.49-6.712.9911.1768.3123

161605NV.OF融通蓝筹成长净值1.871.8520.975.59-5.631.1341.8806

161606NV.OF融通行业景气净值1.3471.3360.825.23-3.443.2871.946.1191

161607NV.OF融通巨潮100净值1.7341.7121.286.18-5.813.1641.4329.3893

161609NV.OF融通动力先锋净值2.6752.6391.366.15-5.182.7750.135.5389

161610NV.OF融通领先成长净值1.4521.4410.776.45-4.033.7391.924860.6051

161706NV.OF招商优质成长净值1.75581.731.496.61-4.483.66611.910374.0757

161902NV.OF万家增强收益净值1.00341.00310.030.29-0.21.43940.43575.8987

161903NV.OF万家公用事业净值1.67211.639324.49-3.452.40210.731.0406

162006NV.OF长城久富核心成长净值1.64441.62641.114.4-2.733.52521.880855.6008

162102NV.OF金鹰中小盘精选净值1.48141.47240.613.17-9.092.10140.620.4907

162201NV.OF泰达荷银成长净值1.97181.96770.212.32-1.363.05181.085.8915

162202NV.OF泰达荷银周期净值1.83161.82470.384.33-4.643.30661.4756.3977

162203NV.OF泰达荷银稳定净值1.59341.57910.914.13-3.313.09341.55.5038

162205NV.OF泰达荷银风险预算净值1.69841.68860.583.82-2.182.17340.4751.4979

162207NV.OF泰达荷银效率优选净值0.96970.96240.764.18-3.042.33231.405289.7424

162208NV.OF泰达荷银首选企业净值1.94491.93070.734.97-5.541.99490.0522.1494

162209NV.OF泰达荷银市值优选净值1.02171.01071.095.36-4.031.02170118.687

162605NV.OF景顺长城鼎益净值1.5551.5391.046.29-3.543.5451.99110.7062

162607NV.OF景顺长城资源垄断净值1.131.1161.257.01-3.913.0911.961153.261

162703NV.OF广发小盘成长净值2.83562.79791.355.9-3.443.99561.1649.709

163302NV.OF巨田资源优选净值2.06782.04131.35.7-4.433.30281.23510.6396

163402NV.OF兴业趋势投资净值1.28981.27820.915.3-1.735.77053.2239159.6282

163503NV.OF天治核心成长净值0.89720.88681.176.13-5.362.76071.96128.4215

163801NV.OF中银国际中国精选净值2.04352.01661.335.15-3.293.21351.1713.4838

163803NV.OF中银国际持续增长净值1.04731.03870.833.24-1.763.09381.8652152.4451

163804NV.OF中银国际收益净值1.00140.98941.215.09-2.162.18141.1871.5334

166001NV.OF中欧新趋势净值1.72031.69681.384.96-3.261.7203037.2196

180001NV.OF银华优势企业净值1.33451.32350.833.9-6.022.95451.6284.4218

180002NV.OF银华保本增值净值1.20821.20490.281.17-1.351.20820.228413.4139

180003NV.OF银华道琼斯88精选净值1.31341.30080.975.77-5.313.11341.8155.3113

180010NV.OF银华优质增长净值2.21182.19130.945.27-5.373.41181.264.552

180012NV.OF银华富裕主题净值1.19441.18221.035.36-6.772.12940.935122.8829

184689NV.SZ基金普惠净值3.69423.51345.155.15-3.064.73821.04420

184690NV.SZ基金同益净值2.78392.96683.953.951.714.78792.00420

184691NV.SZ基金景宏净值3.34363.1874.914.912.344.63361.2920

184692NV.SZ基金裕隆净值3.65273.48134.924.920.324.81171.15930

184698NV.SZ基金天元净值3.12132.97115.065.060.244.77631.65530

184703NV.SZ基金金盛净值2.74492.63154.314.310.364.52071.77585

184705NV.SZ基金裕泽净值3.4053.25234.74.7-2.174.4451.045

184706NV.SZ基金天华净值2.50152.39664.384.38-1.653.00150.525

184712NV.SZ基金科汇净值4.48464.21576.386.382.775.74211.25758

184719NV.SZ基金融鑫净值3.42163.26644.754.751.124.20440.78288

184721NV.SZ基金丰和净值2.82442.71344.094.09-2.464.00241.17830

200001NV.OF长城久恒净值1.6351.6250.613.22-1.572.7451.115.1203

200002NV.OF长城久泰中标300净值1.84541.82031.386.2-6.594.70542.865.5838

200006NV.OF长城消费增值净值1.05961.05340.594.22-2.432.49961.4443.5424

200007NV.OF长城安心回报净值1.00050.99090.974.5-3.292.56241.561298.175

200008NV.OF长城品牌优选净值1.13771.13010.673.4-2.711.13770244.2692

202001NV.OF南方稳健成长净值1.68391.66840.935.4-2.863.42891.745117.3452

202002NV.OF南方稳健成长2号净值1.41921.40730.855.45-3.573.01621.1253174.7346

202005NV.OF南方成份精选净值1.39451.38430.744.94-4.371.39452.4862258.1184

202007NV.OF南方隆元产业主题净值1.0061.0040.22.03-3.041.0063.0512111.8977

202101NV.OF南方宝元债券净值1.23051.22920.111.52-1.12.40051.1723.1272

202102NV.OF南方多利增强净值1.0651.06370.120.850.141.09310.028110.4451

202202NV.OF南方避险增值净值2.64342.61621.043.79-23.13740.49424.3492

210001NV.OF金鹰成份股优选净值1.03171.01791.354.95-6.652.69481.64649.1537

213001NV.OF宝盈鸿利收益净值1.32131.3051.256.7-5.972.96131.6413.4334

213002NV.OF宝盈泛沿海区域增长净值0.9510.93671.536.45-4.52.84541.783628.4774

213003NV.OF宝盈策略增长净值1.54871.52361.656.97-6.811.74870.249.9933

217001NV.OF招商安泰股票净值1.0281.02210.584.67-6.293.6422.6145.1455

217002NV.OF招商安泰平衡净值2.10322.09470.413.13-5.062.71820.6151.5228

217003NV.OF招商安泰债券A净值1.11521.11450.060.20.011.35170.23651.8329

217005NV.OF招商先锋净值0.99990.98841.165.01-3.692.94991.9595.8941

217008NV.OF招商安本增利债券净值1.19651.19360.241.44-0.681.24150.04540.4378

217009NV.OF招商核心价值净值1.6491.63131.096.01-4.681.6490102.4997

217203NV.OF招商安泰债券B净值1.1081.10730.070.19-0.011.34450.23650.9609

233001NV.OF巨田基础行业净值2.40262.36661.523.32-3.412.66260.260.9283

240001NV.OF华宝兴业宝康消费品净值1.52491.51410.714.78-5.823.28261.757731.1225

240002NV.OF华宝兴业宝康灵活配置净值1.85211.83620.874.14-4.253.39211.5425.3271

240003NV.OF华宝兴业宝康债券净值1.26881.26750.10.680.231.53880.2749.5845

240004NV.OF华宝兴业动力组合净值2.46332.44250.856.19-5.653.54331.0820.2319

240005NV.OF华宝兴业多策略增长净值2.11722.09571.035.4-6.294.23722.1214.9474

240008NV.OF华宝兴业收益增长净值3.67333.6380.975.48-4.113.6733021.7679

240010NV.OF华宝兴业行业精选净值1.25671.24111.264.97-3.491.25670231.8091

253010NV.OF国联安德盛安心成长净值1.8721.8640.432.3-1.992.1420.270.5355

255010NV.OF国联安德盛稳健净值2.9732.9431.025.35-4.313.0930.121.4301

257010NV.OF国联安德盛小盘精选净值1.0651.0541.045.45-4.233.1952.1349.8408

257020NV.OF国联安德盛精选净值1.2261.2081.496.98-5.113.1891.84230.4889

257030NV.OF国联安德盛优势净值1.6631.6470.976.4-6.11.663021.9328

260101NV.OF景顺长城优选股票净值1.63821.61941.166.74-0.693.44891.810745.124

260104NV.OF景顺长城内需增长净值4.6774.6191.266.98-3.035.3670.6918.7866

260108NV.OF景顺长城新兴成长净值1.3921.371.66.99-3.542.7421.3579.9591

260109NV.OF景顺长城内需增长2号净值2.9292.8951.176.9-3.622.929028.9441

260110NV.OF景顺长城精选蓝筹净值1.2551.2430.976.27-3.311.2550208.5979

270001NV.OF广发聚富净值1.54131.52820.864.46-33.85132.3168.1625

270002NV.OF广发稳健增长净值2.30282.28850.635.22-5.93.62281.3254.848

270006NV.OF广发策略优选净值2.95242.92241.035.89-5.043.28240.3383.4972

270007NV.OF广发大盘成长净值1.15511.14450.935.61-4.751.15510251.9832

288002NV.OF中信红利精选净值2.45872.43031.173.83-3.023.85871.443.382

288102NV.OF中信稳定双利债券净值1.05941.05820.110.53-0.711.22640.16734.2889

290002NV.OF泰信先行策略净值0.92610.91371.365.93-8.623.09342.255698.1904

更多的超出这里的字数限制,你自己看看下面的网址

以上就是小编解答爱好者(韦清晖)提到关于“12月10日基金净值表”的问题分析,接下来继续为你详解体育用户(冼绮云)提出的“160607鹏华价值基金净值”的一些相关解答,希望能解决你的问题!

本文最佳回答用户:【冼绮云】,现在由小编为你讲解与【鹏华优质治理基金历史净值】的相关内容!

答:截至2020年8月3日,鹏华价值基金,即鹏华价值优势混合(LOF)(160607)基金的最新净值为:1.2330。您也可以登录平安口袋银行APP-金融-基金,页面在最上方输入“基金代码或名称”搜索,查询此基金的最新净值。

温馨提示:

1、数据仅供参考,因市场行情实时变动,具体交易时的最新净值为准。

应答时间:2020-08-05,最新业务变化平安银行官网公布为准。

以上就是小编解答爱好者(冼绮云)提到关于“160607鹏华价值基金净值”的问题分析,接下来继续为你详解体育用户(零易云)提出的“011333基金净值查询今天最新净值”的一些相关解答,希望能解决你的问题!

本文最佳回答用户:【零易云】,现在由小编为你分析与【鹏华优质治理基金历史净值】的相关内容!

答:011333基金净值:0.8806。

011333即指鹏华品质优选混合A基金,鹏华基金管理有限公司成立于1998年12月22日,注册资本15,000万元人民币,总部设在深圳,在北京、上海、广州、武汉设有分公司,2013年1月,在深圳前海设立控股子公司鹏华资产管理有限公司。目前的股东由国信证券股份有限公司、意大利欧利盛资本资产管理股份公司(EurizonCapitalSGRS.p.A.)、深圳市北融信投资发展有限公司组成,三家股东的出资比例分别为50%、49%、1%,业务范围包括基金募集、基金销售、资产管理及中国证监会许可的其他业务。截至2018年12月31日,公司管理资产总规模达到5164.62亿元,管理146只公募基金、10只全国社保投资组合、4只基本养老保险投资组合。

拓展资料:

1.鹏华基金管理有限公司历史沿革:2007年6月22日,经中国证监会《关于同意鹏华基金管理有限公司股权变更及修改公司章程的批复》(证监基金字[2007]178号)批准,本公司原股东深圳市北融信投资发展有限公司、方正证券有限责任公司、安徽国元信托投资有限责任公司将其持有的占本公司总股本49%的股权一次性整体转让给意大利欧利盛金融集团股份公司(EurizonFinancialGroupS.p.A.),中国商务部于6月27日向本公司颁发了外商投资企业批准证书(商外资资审字[2007]0259号)。2009年8月6日,经中国证监会《关于核准鹏华基金管理公司变更股权的批复》(证监许可[2009]746号)批准。

2.企业文化:“心为基石,价值之源”作为鹏华的公司理念将被赋予以下涵义,也将作为我们对外的规范诠释。以心相交,用真诚作路标,凝聚信心、诚心、恒心和爱心,并以此为创造的基石,构筑人文关怀的大厦,精益进取,稳健追求,潜心开拓,挖掘企业生命之泉,赢得市场竞争之机,把握未来制胜之道,从而成就盛德大业。

以上就是小编分享提问者:(零易云)提出的关于“011333基金净值查询今天最新净值”的问题了,不知是否已经解决你的问题?如果没有,下一篇内容可能是你想要的答案,下面继续叙述下文用户【狂真一】提出的“鹏华动力历史净值是多少”的一些相关问题做出分析与解答,如果能找到你的答案,可以关注本站。

本文最佳回答用户:【狂真一】,现在由小编为你分析与【鹏华优质治理基金历史净值】的相关内容!

答:据2021年12月23日最新数据显示,鹏华动力历史累计净值为:2.9200。

基金代码:160610

投资类型:LOF

投资风格:成长型—稳健成长型

基金设立规模(份):11022728857.13

设立日期:2007-01-09

基金托管人:中国农业银行股份有限公司

基金管理人:鹏华基金管理有限公司

投资目标:精选具有高成长性和持续盈利增长潜力的上市公司中价值相对低估的股票,进行积极主动的投资管理,在有效控制投资风险的前提下,为基金份额持有人谋求长期、稳定的资本增值。

基金历史:本基金由基金管理人依照《基金法》和其他有关法律法规,以及基金合同的规定,经中国证监会2006年12月4日证监基金字[2006]245号文核准募集。基金发起人、基金管理人为鹏华基金管理有限公司,基金托管人为中国农业银行。基金自2006年12月8日至2006年12月28日通过深交所挂牌发售,同时通过基金管理人指定的场外销售机构(包括直销中心和代销机构)非限量公开发售。

风险收益特征:本基金属于混合型(偏股型)基金,其预期风险和收益高于货币型基金、债券基金、混合型基金类中的偏债型基金,低于股票型基金,为证券投资基金中的中等风险品种。基金管理人和销售机构已对本基金重新进行风险评级,风险评级行为不改变本基金的实质性风险收益特征,但由于风险等级分类标准的变化,本基金的风险等级表述可能有相应变化,具体风险评级结果应以基金管理人和销售机构提供的评级结果为准。

鹏华动力基金经理:蒋鑫,2015年4月加盟鹏华基金管理有限公司,担任研究部资深研究员,从事行业研究工作,蒋鑫具备基金从业资格。2016年6月起担任鹏华健康环保混合基金基金经理,自2021年8月24日起担任鹏华动力增长混合型证券投资基金(LOF)基金经理。

以上就是小编解答爱好者(狂真一)提到关于“鹏华动力历史净值是多少”的问题分析,接下来继续为你详解体育用户(图门思真)提出的“基金增长率排行榜”的一些相关解答,希望能解决你的问题!

本文最佳回答用户:【图门思真】,现在由小编为你解答与【鹏华优质治理基金历史净值】的相关内容!

答:你可天天基金网查询。

开放(639)股票型(332)混合型(149)债券型(150)QDII(21)保本型(10)指数型(83)ETF(14)勾选比较序号基金代码基金简称19日

近三月近半年近一年近二年近三年今年来成立来

1160607鹏华价值优势0.87702.71405.03%7.74%15.55%21.13%-1.90%8.81%180.55%

3050015博时亚太精选------3.69%2.45%---------1.45%4.60%

4040018华安香港精选------3.61%-0.51%---------1.46%-2.40%

5519089新华优选成长1.73762.13762.40%2.03%21.33%41.16%---0.21%120.67%

6481006工银红利1.00461.04462.27%0.29%16.81%17.29%0.19%1.59%0.46%

7400007东方策略成长1.44541.44541.95%2.20%16.14%30.43%---2.66%44.54%

8161211国投瑞银金融地产0.85300.85301.55%-0.35%0.47%------3.77%-14.70%

9150022申万深指分级收益1.02201.03301.39%1.79%---------1.09%2.20%

10200008长城品牌优选0.82040.82041.01%5.18%9.53%8.33%-15.93%7.07%-17.96%

11510030华宝上证180价值ETF2.66900.91400.87%1.41%-0.22%------4.50%-8.64%

13050010博时特许价值1.20001.54500.76%4.83%23.07%22.13%---1.81%56.69%

16240016华宝上证180联接0.98501.01500.51%0.51%2.18%------4.01%1.26%

17320011诺安中小盘精选1.23001.29000.49%2.24%29.76%------2.24%29.76%

18161210国投瑞银新兴市场------0.48%-1.03%----------2.67%5.70%

19519185万家精选0.96881.04880.39%-2.29%9.19%4.15%----0.93%4.15%

20510110海富通上证周期ETF2.44400.98100.33%0.04%---------2.35%-1.92%

21519994长信金利趋势0.78182.30260.32%2.81%22.27%20.07%-11.03%1.47%134.89%

24100032富国天鼎中证红利1.21601.79100.00%3.86%19.45%19.08%---4.18%64.34%

25310398申万沪深3000.86800.86800.00%1.64%4.83%------3.83%-13.20%

26519027海富通上证周期联接0.89200.89200.00%-0.34%---------1.83%-10.80%

27530010建信责任联接1.10501.10500.00%0.73%---------2.70%10.50%

28530006建信核心精选1.14201.8070-0.09%-1.47%23.86%46.20%----2.79%91.08%

29100038富国量化沪深3000.98100.9810-0.10%1.76%18.62%------3.15%-1.90%

30202005南方成份精选0.96480.9848-0.20%1.33%19.15%13.49%-13.62%1.33%-0.43%

31519095新华行业周期轮换1.12901.1290-0.26%-0.96%----------1.31%12.90%

32510880华泰柏瑞红利ETF2.26001.5390-0.40%-0.53%6.20%3.81%-29.41%3.53%54.09%

33160716嘉实基本面500.77230.7723-0.45%1.02%1.89%------4.52%-22.77%

35519093新华钻石品质企业1.01201.0120-0.59%-2.88%15.00%-------0.88%1.20%

36206005鹏华上证民企50联

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