首页 - 基金理财 - 历史净值
华夏港股前沿经济混合型证券投资基金(QDII)
日期 单位净值 累计净值
20241120 0.5790 0.5790
20241119 0.5724 0.5724
20241118 0.5682 0.5682
20241115 0.5675 0.5675
20241114 0.5665 0.5665
20241113 0.5808 0.5808
20241112 0.5784 0.5784
20241111 0.5967 0.5967
20241108 0.5981 0.5981
20241107 0.6026 0.6026
20241106 0.5856 0.5856
20241105 0.5974 0.5974
20241104 0.5830 0.5830
20241101 0.5760 0.5760
20241031 0.5732 0.5732
20241030 0.5789 0.5789
20241029 0.5901 0.5901
20241028 0.5862 0.5862
20241025 0.5858 0.5858
20241024 0.5846 0.5846