首页 - 基金理财 - 历史净值
华夏核心成长混合型证券投资基金
日期 单位净值 累计净值
20241025 0.6496 0.6496
20241024 0.6239 0.6239
20241023 0.6284 0.6284
20241022 0.6224 0.6224
20241021 0.6233 0.6233
20241018 0.6159 0.6159
20241017 0.5774 0.5774
20241016 0.5711 0.5711
20241015 0.5831 0.5831
20241014 0.5936 0.5936
20241011 0.5859 0.5859
20241010 0.6111 0.6111
20241009 0.6177 0.6177
20241008 0.6670 0.6670
20240930 0.6065 0.6065
20240927 0.5423 0.5423
20240926 0.5055 0.5055
20240925 0.4890 0.4890
20240924 0.4912 0.4912
20240923 0.4746 0.4746