首页 - 基金理财 - 历史净值
华宝绿色领先股票型证券投资基金
日期 单位净值 累计净值
20230222 1.4708 1.4708
20230221 1.4759 1.4759
20230220 1.4630 1.4630
20230217 1.4487 1.4487
20230216 1.4738 1.4738
20230215 1.4936 1.4936
20230214 1.4942 1.4942
20230213 1.4932 1.4932
20230210 1.4839 1.4839
20230209 1.5032 1.5032
20230208 1.4859 1.4859
20230207 1.4984 1.4984
20230206 1.5008 1.5008
20230203 1.5186 1.5186
20230202 1.5366 1.5366
20230201 1.5384 1.5384
20230131 1.5111 1.5111
20230130 1.5118 1.5118
20230120 1.4877 1.4877
20230119 1.4703 1.4703