热搜: 持有人 港股开户 易基消费 大成2020 景顺鼎益
各种基金交易渠道费用对比,最高相差300倍
近一年招商资管增益添彩一个月持有期中短债债券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
-
查询指定日期范围970165净值及计算阶段收益
近一年970165基金累计收益率2.80%
净值日期 基金名称 净值 增长率
2024-05-10 1.0438 0.02%
2024-05-09 1.0436 -0.03%
2024-05-08 1.0439 -0.01%
2024-05-07 1.0440 0.06%
2024-05-06 1.0434 0.07%
2024-04-30 1.0427 0.11%
2024-04-29 1.0416 -0.12%
2024-04-26 1.0428 -0.11%
2024-04-25 1.0439 0.00%
2024-04-24 1.0439 -0.10%
2024-04-23 1.0449 0.05%
2024-04-22 1.0444 0.05%
2024-04-19 1.0439 0.04%
2024-04-18 1.0435 0.06%
2024-04-17 1.0429 0.04%
2024-04-16 1.0425 0.00%
2024-04-15 1.0425 0.00%
2024-04-12 1.0425 0.07%
2024-04-11 1.0418 0.02%
2024-04-10 1.0416 -0.03%
2024-04-09 1.0419 0.05%
2024-04-08 1.0414 0.05%
2024-04-03 1.0409 0.03%
2024-04-02 1.0406 0.05%
2024-04-01 1.0401 -0.01%
2024-03-29 1.0402 0.03%
2024-03-28 1.0399 -0.01%
2024-03-27 1.0400 0.07%
2024-03-26 1.0393 0.01%
2024-03-25 1.0392 0.00%
2024-03-22 1.0392 0.01%
2024-03-21 1.0391 0.03%
2024-03-20 1.0388 -0.04%
2024-03-19 1.0392 0.03%
2024-03-18 1.0389 0.07%
2024-03-15 1.0382 0.04%
2024-03-14 1.0378 -0.01%
2024-03-13 1.0379 0.01%
2024-03-12 1.0378 -0.08%
2024-03-11 1.0386 -0.03%
2024-03-08 1.0389 -0.01%
2024-03-07 1.0390 -0.03%
2024-03-06 1.0393 0.11%
2024-03-05 1.0382 0.04%
2024-03-04 1.0378 0.05%
2024-03-01 1.0373 -0.07%
2024-02-29 1.0380 0.03%
2024-02-28 1.0377 0.04%
2024-02-27 1.0373 0.01%
2024-02-26 1.0372 0.06%
2024-02-23 1.0366 0.01%
2024-02-22 1.0365 0.04%
2024-02-21 1.0361 0.02%
2024-02-20 1.0359 0.05%
2024-02-19 1.0354 0.08%
2024-02-08 1.0346 0.00%
2024-02-07 1.0346 0.06%
2024-02-06 1.0340 -0.07%
2024-02-05 1.0347 0.03%
2024-02-02 1.0344 0.01%
2024-02-01 1.0343 -0.01%
2024-01-31 1.0344 0.02%
2024-01-30 1.0342 0.06%
2024-01-29 1.0336 0.05%
2024-01-26 1.0331 0.01%
2024-01-25 1.0330 0.02%
2024-01-24 1.0328 0.01%
2024-01-23 1.0327 -0.01%
2024-01-22 1.0328 0.04%
2024-01-19 1.0324 0.03%
2024-01-18 1.0321 0.01%
2024-01-17 1.0320 0.03%
2024-01-16 1.0317 0.00%
2024-01-15 1.0317 0.01%
2024-01-12 1.0316 -0.01%
2024-01-11 1.0317 0.00%
2024-01-10 1.0317 -0.01%
2024-01-09 1.0318 0.02%
2024-01-08 1.0316 0.01%
2024-01-05 1.0315 0.01%
2024-01-04 1.0314 0.02%
2024-01-03 1.0312 0.00%
2024-01-02 1.0312 -0.01%
2023-12-29 1.0313 0.02%
2023-12-28 1.0311 0.02%
2023-12-27 1.0309 0.05%
2023-12-26 1.0304 0.01%
2023-12-25 1.0303 0.04%
2023-12-22 1.0299 0.02%
2023-12-21 1.0297 0.04%
2023-12-20 1.0293 0.00%
2023-12-19 1.0293 -0.01%
2023-12-18 1.0294 0.02%
2023-12-15 1.0292 0.03%
2023-12-14 1.0289 0.01%
2023-12-13 1.0288 0.03%
2023-12-12 1.0285 0.01%
2023-12-11 1.0284 0.04%
2023-12-08 1.0280 0.05%
2023-12-07 1.0275 0.02%
2023-12-06 1.0273 -0.01%
2023-12-05 1.0274 0.00%
2023-12-04 1.0274 0.00%
2023-12-01 1.0274 0.01%
2023-11-30 1.0273 0.02%
2023-11-29 1.0271 -0.01%
2023-11-28 1.0272 0.02%
2023-11-27 1.0270 0.00%
2023-11-24 1.0270 0.00%
2023-11-23 1.0270 -0.01%
2023-11-22 1.0271 -0.02%
2023-11-20 1.0274 0.00%
2023-11-17 1.0274 0.01%
2023-11-16 1.0273 0.01%
2023-11-15 1.0272 0.01%
2023-11-14 1.0271 0.00%
2023-11-13 1.0271 0.02%
2023-11-10 1.0269 0.02%
2023-11-09 1.0267 0.00%
2023-11-08 1.0267 0.01%
2023-11-07 1.0266 -0.02%
2023-11-06 1.0268 0.02%
2023-11-03 1.0266 -0.01%
2023-11-02 1.0267 0.03%
2023-11-01 1.0264 0.00%
2023-10-31 1.0264 0.01%
2023-10-30 1.0263 0.03%
2023-10-27 1.0260 0.01%
2023-10-26 1.0259 0.00%
2023-10-25 1.0259 0.04%
2023-10-24 1.0255 -0.01%
2023-10-23 1.0256 0.03%
2023-10-20 1.0253 0.01%
2023-10-19 1.0252 -0.02%
2023-10-18 1.0254 -0.02%
2023-10-17 1.0256 -0.02%
2023-10-16 1.0258 0.01%
2023-10-13 1.0257 0.02%
2023-10-12 1.0255 0.01%
2023-10-11 1.0254 -0.02%
2023-10-10 1.0256 -0.02%
2023-10-09 1.0258 0.09%
2023-09-28 1.0249 0.04%
2023-09-27 1.0245 0.01%
2023-09-26 1.0244 -0.01%
2023-09-25 1.0245 -0.01%
2023-09-22 1.0246 -0.01%
2023-09-21 1.0247 0.01%
2023-09-20 1.0246 0.00%
2023-09-19 1.0246 0.00%
2023-09-18 1.0246 0.00%
2023-09-15 1.0246 -0.02%
2023-09-14 1.0248 0.01%
2023-09-13 1.0247 0.03%
2023-09-12 1.0244 0.01%
2023-09-11 1.0243 0.00%
2023-09-08 1.0243 0.00%
2023-09-07 1.0243 -0.02%
2023-09-06 1.0245 -0.04%
2023-09-05 1.0249 0.01%
2023-09-04 1.0248 -0.02%
2023-09-01 1.0250 -0.02%
2023-08-31 1.0252 0.01%
2023-08-30 1.0251 0.03%
2023-08-29 1.0248 -0.03%
2023-08-28 1.0251 -0.02%
2023-08-25 1.0253 -0.02%
2023-08-24 1.0255 0.01%
2023-08-23 1.0254 0.01%
2023-08-22 1.0253 -0.02%
2023-08-21 1.0255 0.02%
2023-08-18 1.0253 0.01%
2023-08-17 1.0252 0.00%
2023-08-16 1.0252 0.02%
2023-08-15 1.0250 0.04%
2023-08-14 1.0246 0.05%
2023-08-11 1.0241 0.07%
2023-08-10 1.0234 -0.01%
2023-08-09 1.0235 0.01%
2023-08-08 1.0234 0.06%
2023-08-07 1.0228 0.03%
2023-08-04 1.0225 0.01%
2023-08-03 1.0224 0.02%
2023-08-02 1.0222 0.01%
2023-08-01 1.0221 0.00%
2023-07-31 1.0221 0.00%
2023-07-28 1.0221 0.00%
2023-07-27 1.0221 0.01%
2023-07-26 1.0220 0.02%
2023-07-25 1.0218 -0.07%
2023-07-24 1.0225 0.03%
2023-07-21 1.0222 0.02%
2023-07-20 1.0220 0.01%
2023-07-19 1.0219 0.02%
2023-07-18 1.0217 0.01%
2023-07-17 1.0216 0.02%
2023-07-14 1.0214 0.01%
2023-07-13 1.0213 0.01%
2023-07-12 1.0212 0.01%
2023-07-11 1.0211 0.01%
2023-07-10 1.0210 0.02%
2023-07-07 1.0208 0.02%
2023-07-06 1.0206 0.01%
2023-07-05 1.0205 0.02%
2023-07-04 1.0203 0.02%
2023-07-03 1.0201 0.02%
2023-06-30 1.0199 0.04%
2023-06-29 1.0195 0.00%
2023-06-28 1.0195 0.01%
2023-06-27 1.0194 -0.01%
2023-06-26 1.0195 0.03%
2023-06-21 1.0192 0.01%
2023-06-20 1.0191 0.00%
2023-06-19 1.0191 -0.03%
2023-06-16 1.0194 -0.03%
2023-06-15 1.0197 -0.02%
2023-06-14 1.0199 0.02%
2023-06-13 1.0197 0.04%
2023-06-12 1.0193 0.02%
2023-06-09 1.0191 0.02%
2023-06-08 1.0189 0.00%
2023-06-07 1.0189 0.02%
2023-06-06 1.0187 0.02%
2023-06-05 1.0185 0.01%
2023-06-02 1.0184 0.00%
2023-06-01 1.0184 0.02%
2023-05-31 1.0182 0.02%
2023-05-30 1.0180 0.01%
2023-05-29 1.0179 0.02%
2023-05-26 1.0177 0.00%
2023-05-25 1.0177 0.01%
2023-05-24 1.0176 0.01%
2023-05-23 1.0175 0.03%
2023-05-22 1.0172 0.03%
2023-05-19 1.0169 0.01%
2023-05-18 1.0168 -0.01%
2023-05-17 1.0169 0.00%
2023-05-16 1.0169 0.01%
2023-05-15 1.0168 0.02%
2023-05-12 1.0166 0.01%
旗下基金涨幅榜
基金名称 净值 增长率
港股非银 0.9671 5.17%
招商远见回报3年定开混合 1.0374 4.99%
广发中证港股通非银ETF发起式联接A 1.0737 4.84%
广发中证港股通非银ETF发起式联接C 1.0728 4.84%
红利央企 1.1152 4.62%
华夏中证港股通内地金融ETF发起式联接A 1.1724 4.57%
招商沪深300地产等权重指数C 0.3779 4.57%
华夏中证港股通内地金融ETF发起式联接C 1.1711 4.56%
港股分红 1.0420 4.56%
地产ETF 0.5979 4.29%
债券型-混合一级基金涨幅榜
基金名称 净值 增长率
兴业年年利 1.2970 0.54%
工银强债B 1.1446 0.33%
工银强债A 1.1476 0.33%
东方红聚利债券C 1.2834 0.22%
东方红聚利债券A 1.3077 0.21%
泰康丰泰一年定开债券发起 1.0561 0.20%
景顺稳债A 1.0240 0.20%
景顺稳债C 1.0170 0.20%
海富通一年定开C 1.2592 0.18%
嘉实双季瑞享6个月持有债券A 1.0334 0.18%