热搜: 基金价格 港股开户 博时增长 易方达国防 富国天惠
各种基金交易渠道费用对比,最高相差300倍
近半年泰康新回报灵活配置混合A基金净值查询
速查: 近一周 近一月 近一季 近一年 今年以来
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查询指定日期范围泰康新回报A001798净值及计算阶段收益
近半年001798基金累计收益率-4.03%
净值日期 基金名称 净值 增长率
2024-05-10 泰康新回报A 1.4649 0.22%
2024-05-09 泰康新回报A 1.4617 1.09%
2024-05-08 泰康新回报A 1.4459 -0.72%
2024-05-07 泰康新回报A 1.4564 -0.22%
2024-05-06 泰康新回报A 1.4596 2.93%
2024-04-30 泰康新回报A 1.4181 0.16%
2024-04-29 泰康新回报A 1.4159 1.07%
2024-04-26 泰康新回报A 1.4009 1.41%
2024-04-25 泰康新回报A 1.3814 -0.57%
2024-04-24 泰康新回报A 1.3893 -0.34%
2024-04-23 泰康新回报A 1.3940 -0.66%
2024-04-22 泰康新回报A 1.4032 -0.81%
2024-04-19 泰康新回报A 1.4146 -0.55%
2024-04-18 泰康新回报A 1.4224 0.42%
2024-04-17 泰康新回报A 1.4165 2.21%
2024-04-16 泰康新回报A 1.3859 -1.62%
2024-04-15 泰康新回报A 1.4087 0.95%
2024-04-12 泰康新回报A 1.3954 -0.34%
2024-04-11 泰康新回报A 1.4002 1.60%
2024-04-10 泰康新回报A 1.3781 -0.26%
2024-04-09 泰康新回报A 1.3817 0.17%
2024-04-08 泰康新回报A 1.3793 -0.40%
2024-04-03 泰康新回报A 1.3848 -0.09%
2024-04-02 泰康新回报A 1.3861 -0.81%
2024-04-01 泰康新回报A 1.3974 0.81%
2024-03-29 泰康新回报A 1.3862 0.95%
2024-03-28 泰康新回报A 1.3732 1.15%
2024-03-27 泰康新回报A 1.3576 -1.52%
2024-03-26 泰康新回报A 1.3785 0.11%
2024-03-25 泰康新回报A 1.3770 -0.48%
2024-03-22 泰康新回报A 1.3837 -0.06%
2024-03-21 泰康新回报A 1.3845 -0.30%
2024-03-20 泰康新回报A 1.3886 -0.01%
2024-03-19 泰康新回报A 1.3888 -0.87%
2024-03-18 泰康新回报A 1.4010 0.35%
2024-03-15 泰康新回报A 1.3961 0.16%
2024-03-14 泰康新回报A 1.3939 -0.16%
2024-03-13 泰康新回报A 1.3962 -0.28%
2024-03-12 泰康新回报A 1.4001 -0.47%
2024-03-11 泰康新回报A 1.4067 0.20%
2024-03-08 泰康新回报A 1.4039 0.68%
2024-03-07 泰康新回报A 1.3944 -0.78%
2024-03-06 泰康新回报A 1.4054 -0.22%
2024-03-05 泰康新回报A 1.4085 0.59%
2024-03-04 泰康新回报A 1.4003 1.41%
2024-03-01 泰康新回报A 1.3808 0.47%
2024-02-29 泰康新回报A 1.3743 2.34%
2024-02-28 泰康新回报A 1.3429 -1.67%
2024-02-27 泰康新回报A 1.3657 1.31%
2024-02-26 泰康新回报A 1.3481 0.24%
2024-02-23 泰康新回报A 1.3449 -0.10%
2024-02-22 泰康新回报A 1.3463 0.48%
2024-02-21 泰康新回报A 1.3399 -0.28%
2024-02-20 泰康新回报A 1.3436 0.07%
2024-02-19 泰康新回报A 1.3427 1.31%
2024-02-08 泰康新回报A 1.3253 -0.15%
2024-02-07 泰康新回报A 1.3273 2.12%
2024-02-06 泰康新回报A 1.2998 2.65%
2024-02-05 泰康新回报A 1.2663 -0.24%
2024-02-02 泰康新回报A 1.2694 -0.54%
2024-02-01 泰康新回报A 1.2763 -0.54%
2024-01-31 泰康新回报A 1.2832 -1.21%
2024-01-30 泰康新回报A 1.2989 -1.95%
2024-01-29 泰康新回报A 1.3247 -0.66%
2024-01-26 泰康新回报A 1.3335 -0.15%
2024-01-25 泰康新回报A 1.3355 1.37%
2024-01-24 泰康新回报A 1.3175 0.65%
2024-01-23 泰康新回报A 1.3090 0.82%
2024-01-22 泰康新回报A 1.2984 -2.32%
2024-01-19 泰康新回报A 1.3293 -0.43%
2024-01-18 泰康新回报A 1.3351 0.38%
2024-01-17 泰康新回报A 1.3301 -2.00%
2024-01-16 泰康新回报A 1.3573 0.19%
2024-01-15 泰康新回报A 1.3547 0.35%
2024-01-12 泰康新回报A 1.3500 -0.55%
2024-01-11 泰康新回报A 1.3574 0.70%
2024-01-10 泰康新回报A 1.3479 -0.91%
2024-01-09 泰康新回报A 1.3603 0.35%
2024-01-08 泰康新回报A 1.3556 -1.41%
2024-01-05 泰康新回报A 1.3750 -1.14%
2024-01-04 泰康新回报A 1.3908 -0.47%
2024-01-03 泰康新回报A 1.3974 -0.28%
2024-01-02 泰康新回报A 1.4013 -0.44%
2023-12-29 泰康新回报A 1.4075 1.18%
2023-12-28 泰康新回报A 1.3911 0.90%
2023-12-27 泰康新回报A 1.3787 0.91%
2023-12-26 泰康新回报A 1.3663 -1.59%
2023-12-25 泰康新回报A 1.3884 0.37%
2023-12-22 泰康新回报A 1.3833 -1.29%
2023-12-21 泰康新回报A 1.4014 0.44%
2023-12-20 泰康新回报A 1.3952 -0.97%
2023-12-19 泰康新回报A 1.4089 0.15%
2023-12-18 泰康新回报A 1.4068 -0.64%
2023-12-15 泰康新回报A 1.4158 -0.41%
2023-12-14 泰康新回报A 1.4216 -0.59%
2023-12-13 泰康新回报A 1.4300 -0.43%
2023-12-12 泰康新回报A 1.4362 0.32%
2023-12-11 泰康新回报A 1.4316 1.52%
2023-12-08 泰康新回报A 1.4101 -0.19%
2023-12-07 泰康新回报A 1.4128 -0.24%
2023-12-06 泰康新回报A 1.4162 0.32%
2023-12-05 泰康新回报A 1.4117 -1.41%
2023-12-04 泰康新回报A 1.4319 -0.44%
2023-12-01 泰康新回报A 1.4382 -0.10%
2023-11-30 泰康新回报A 1.4397 0.30%
2023-11-29 泰康新回报A 1.4354 -0.42%
2023-11-28 泰康新回报A 1.4414 0.70%
2023-11-27 泰康新回报A 1.4314 0.22%
2023-11-24 泰康新回报A 1.4283 -0.06%
2023-11-23 泰康新回报A 1.4292 0.58%
2023-11-22 泰康新回报A 1.4209 -0.81%
2023-11-20 泰康新回报A 1.4344 0.34%
2023-11-17 泰康新回报A 1.4296 0.44%
2023-11-16 泰康新回报A 1.4234 -0.79%
2023-11-15 泰康新回报A 1.4347 0.06%
2023-11-14 泰康新回报A 1.4339 0.30%
泰康资产旗下基金涨幅榜
基金名称 净值 增长率
泰康新回报A 1.4776 0.87%
泰康新回报C 1.4533 0.86%
泰康港股通大消费指数A 0.9069 0.69%
泰康港股通大消费指数C 0.8886 0.68%
泰康沪港深精选 1.1462 0.66%
泰康沪港深价值优选混合 1.2373 0.53%
泰康新机遇混合 1.2157 0.40%
泰康医疗健康股票发起A 1.1035 0.39%
泰康医疗健康股票发起C 1.0922 0.39%
泰康沪港深成长混合A 0.9403 0.33%
混合型-灵活基金涨幅榜
基金名称 净值 增长率
博时新收益混合A 1.0487 2.00%
博时新收益混合C 1.0451 2.00%
永赢宏泽一年定开混合 0.9209 1.88%
前海开源沪港深裕鑫C 1.2339 1.87%
前海开源沪港深裕鑫A 1.2446 1.86%
华泰柏瑞新金融地产C 1.3830 1.80%
华泰柏瑞新金融地产A 1.3971 1.80%
华泰柏瑞港股通量化混合 1.0712 1.65%
中海沪港深多策略 0.7469 1.54%
长信多利A 1.4373 1.50%