华泰柏瑞积极成长混合A460002今天基金净值
今天盘中估算:1.2211 -0.03%单位净值(04-02): 1.2214 ( 1.04% ) 交易状态:开放申购 开放赎回 购买手续费: 1.50% 0.15% 1折 成立日期:2007-05-29 基金经理: 陆从珍 类型:混合型 管理人:华泰柏瑞基金 资产规模: 8.51亿元 (截止至:12-31)
华泰柏瑞积极成长混合A460002基金净值走势图
华泰柏瑞积极成长混合A460002基金历史净值明细
日期时间 | 单位净值七日年化收益率 | 累计净值万份收益 |
20210402 | 1.2214 | 1.8187 |
|
20210401 | 1.2088 | 1.8061 |
|
20210331 | 1.1966 | 1.7939 |
|
20210330 | 1.2056 | 1.8029 |
|
20210329 | 1.2009 | 1.7982 |
|
20210326 | 1.1945 | 1.7918 |
|
20210325 | 1.1756 | 1.7729 |
|
20210324 | 1.2838 | 1.7744 |
|
20210323 | 1.2961 | 1.7867 |
|
20210322 | 1.3128 | 1.8034 |
|
20210319 | 1.2965 | 1.7871 |
|
20210318 | 1.314 | 1.8046 |
|
20210317 | 1.3013 | 1.7919 |
|
20210316 | 1.291 | 1.7816 |
|
20210315 | 1.2892 | 1.7798 |
|
20210312 | 1.3095 | 1.8001 |
|
20210311 | 1.3041 | 1.7947 |
|
20210310 | 1.277 | 1.7676 |
|
20210309 | 1.2709 | 1.7615 |
|
20210308 | 1.3018 | 1.7924 |
|
20210305 | 1.3501 | 1.8407 |
|
20210304 | 1.356 | 1.8466 |
|
20210303 | 1.3953 | 1.8859 |
|
20210302 | 1.3805 | 1.8711 |
|
20210301 | 1.3969 | 1.8875 |
|
20210226 | 1.3688 | 1.8594 |
|
20210225 | 1.4068 | 1.8974 |
|
20210224 | 1.4022 | 1.8928 |
|
20210223 | 1.4305 | 1.9211 |
|
20210222 | 1.424 | 1.9146 |
|
20210219 | 1.462 | 1.9526 |
|
20210218 | 1.4645 | 1.9551 |
|
20210210 | 1.4808 | 1.9714 |
|
20210209 | 1.4675 | 1.9581 |
|
20210208 | 1.4324 | 1.923 |
|
20210205 | 1.4143 | 1.9049 |
|
20210204 | 1.423 | 1.9136 |
|
20210203 | 1.4369 | 1.9275 |
|
20210202 | 1.4404 | 1.931 |
|
20210201 | 1.4174 | 1.908 |
|
20210129 | 1.4079 | 1.8985 |
|
20210128 | 1.4137 | 1.9043 |
|
20210127 | 1.4414 | 1.932 |
|
20210126 | 1.4353 | 1.9259 |
|
20210125 | 1.4753 | 1.9659 |
|
20210122 | 1.469 | 1.9596 |
|
20210121 | 1.4684 | 1.959 |
|
20210120 | 1.4521 | 1.9427 |
|
20210119 | 1.4383 | 1.9289 |
|
20210118 | 1.4684 | 1.959 |
华泰柏瑞积极成长混合A460002基金季/年度涨幅图
华泰柏瑞积极成长混合A460002年度的基金持仓股票一览