华宝积极配置三个月持有混合(FOF)A(020311)基金净值
序号 |
日期 |
最新净值 |
累计净值 |
1 |
2025-05-29 |
0.9572 |
0.9572 |
2 |
2025-05-28 |
0.9439 |
0.9439 |
3 |
2025-05-27 |
0.9450 |
0.9450 |
4 |
2025-05-26 |
0.9494 |
0.9494 |
5 |
2025-05-23 |
0.9487 |
0.9487 |
6 |
2025-05-22 |
0.9570 |
0.9570 |
7 |
2025-05-21 |
0.9621 |
0.9621 |
8 |
2025-05-20 |
0.9627 |
0.9627 |
9 |
2025-05-19 |
0.9570 |
0.9570 |
10 |
2025-05-16 |
0.9587 |
0.9587 |
11 |
2025-05-15 |
0.9576 |
0.9576 |
12 |
2025-05-14 |
0.9721 |
0.9721 |
13 |
2025-05-13 |
0.9657 |
0.9657 |
14 |
2025-05-12 |
0.9678 |
0.9678 |
15 |
2025-05-09 |
0.9555 |
0.9555 |
16 |
2025-05-08 |
0.9636 |
0.9636 |
17 |
2025-05-07 |
0.9585 |
0.9585 |
18 |
2025-05-06 |
0.9607 |
0.9607 |
19 |
2025-04-30 |
0.9455 |
0.9455 |
20 |
2025-04-29 |
0.9376 |
0.9376 |