热搜: 发行额 大成2020生命周期混合A 华夏蓝筹混合(LOF)A 景顺长城新兴成长混合A
近一年睿远成长价值混合C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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查询指定日期范围睿远成长价值混合C007120净值及计算阶段收益
近一年007120基金累计收益率14.21%
净值日期 基金名称 净值 增长率
2026-09-15 睿远成长价值混合C 2.0862 -0.91%
2026-09-14 睿远成长价值混合C 2.1053 -1.74%
2026-09-11 睿远成长价值混合C 2.1420 -0.92%
2026-09-10 睿远成长价值混合C 2.1619 -0.55%
2026-09-09 睿远成长价值混合C 2.1739 0.38%
2026-09-08 睿远成长价值混合C 2.1656 -1.38%
2026-09-07 睿远成长价值混合C 2.1955 4.33%
2026-09-04 睿远成长价值混合C 2.1043 -1.30%
2026-09-03 睿远成长价值混合C 2.1320 0.12%
2026-09-02 睿远成长价值混合C 2.1294 -1.89%
2026-09-01 睿远成长价值混合C 2.1696 -2.15%
2026-08-31 睿远成长价值混合C 2.2173 1.31%
2026-08-28 睿远成长价值混合C 2.1886 -1.95%
2026-08-27 睿远成长价值混合C 2.2312 2.96%
2026-08-26 睿远成长价值混合C 2.1671 1.22%
2026-08-25 睿远成长价值混合C 2.1409 0.02%
2026-08-24 睿远成长价值混合C 2.1404 -3.14%
2026-08-21 睿远成长价值混合C 2.2097 1.11%
2026-08-20 睿远成长价值混合C 2.1854 1.73%
2026-08-19 睿远成长价值混合C 2.1482 -7.52%
2026-08-18 睿远成长价值混合C 2.3097 -0.10%
2026-08-17 睿远成长价值混合C 2.3119 3.45%
2026-08-14 睿远成长价值混合C 2.2349 1.54%
2026-08-13 睿远成长价值混合C 2.2010 -0.52%
2026-08-12 睿远成长价值混合C 2.2124 3.37%
2026-08-11 睿远成长价值混合C 2.1402 -0.23%
2026-08-10 睿远成长价值混合C 2.1451 -1.95%
2026-08-07 睿远成长价值混合C 2.1870 3.03%
2026-08-06 睿远成长价值混合C 2.1227 0.50%
2026-08-05 睿远成长价值混合C 2.1122 3.00%
2026-08-04 睿远成长价值混合C 2.0507 6.87%
2026-08-03 睿远成长价值混合C 1.9189 -1.75%
2026-07-31 睿远成长价值混合C 1.9530 3.33%
2026-07-30 睿远成长价值混合C 1.8900 -7.75%
2026-07-29 睿远成长价值混合C 2.0364 -0.47%
2026-07-28 睿远成长价值混合C 2.0460 -8.53%
2026-07-27 睿远成长价值混合C 2.2206 3.49%
2026-07-24 睿远成长价值混合C 2.1458 -2.27%
2026-07-23 睿远成长价值混合C 2.1957 -0.33%
2026-07-22 睿远成长价值混合C 2.2029 -2.62%
2026-07-21 睿远成长价值混合C 2.2621 7.37%
2026-07-20 睿远成长价值混合C 2.1068 -2.62%
2026-07-17 睿远成长价值混合C 2.1635 -9.19%
2026-07-16 睿远成长价值混合C 2.3623 -1.62%
2026-07-15 睿远成长价值混合C 2.4011 -1.78%
2026-07-14 睿远成长价值混合C 2.4445 4.04%
2026-07-13 睿远成长价值混合C 2.3495 -3.33%
2026-07-10 睿远成长价值混合C 2.4304 -3.95%
2026-07-09 睿远成长价值混合C 2.5303 4.64%
2026-07-08 睿远成长价值混合C 2.4180 -1.21%
2026-07-07 睿远成长价值混合C 2.4475 -0.14%
2026-07-06 睿远成长价值混合C 2.4509 -2.47%
2026-07-03 睿远成长价值混合C 2.5115 1.66%
2026-07-02 睿远成长价值混合C 2.4704 -6.32%
2026-07-01 睿远成长价值混合C 2.6372 -2.98%
2026-06-30 睿远成长价值混合C 2.7157 4.87%
2026-06-29 睿远成长价值混合C 2.5896 -1.59%
2026-06-26 睿远成长价值混合C 2.6308 -4.64%
2026-06-25 睿远成长价值混合C 2.7530 3.04%
2026-06-24 睿远成长价值混合C 2.6719 2.63%
2026-06-23 睿远成长价值混合C 2.6034 -2.77%
2026-06-22 睿远成长价值混合C 2.6776 -0.22%
2026-06-18 睿远成长价值混合C 2.6836 1.87%
2026-06-17 睿远成长价值混合C 2.6344 0.47%
2026-06-16 睿远成长价值混合C 2.6222 1.94%
2026-06-15 睿远成长价值混合C 2.5722 5.37%
2026-06-12 睿远成长价值混合C 2.4410 0.04%
2026-06-11 睿远成长价值混合C 2.4401 0.62%
2026-06-10 睿远成长价值混合C 2.4251 -2.99%
2026-06-09 睿远成长价值混合C 2.4975 3.77%
2026-06-08 睿远成长价值混合C 2.4068 -4.11%
2026-06-05 睿远成长价值混合C 2.5056 -4.11%
2026-06-04 睿远成长价值混合C 2.6085 0.48%
2026-06-03 睿远成长价值混合C 2.5960 2.63%
2026-06-02 睿远成长价值混合C 2.5294 3.21%
2026-06-01 睿远成长价值混合C 2.4507 -4.13%
2026-05-29 睿远成长价值混合C 2.5520 -1.67%
2026-05-28 睿远成长价值混合C 2.5953 1.19%
2026-05-27 睿远成长价值混合C 2.5648 -1.35%
2026-05-26 睿远成长价值混合C 2.5999 -0.47%
2026-05-25 睿远成长价值混合C 2.6122 2.96%
2026-05-22 睿远成长价值混合C 2.5370 4.17%
2026-05-21 睿远成长价值混合C 2.4354 -2.58%
2026-05-20 睿远成长价值混合C 2.4999 0.57%
2026-05-19 睿远成长价值混合C 2.4858 -0.10%
2026-05-18 睿远成长价值混合C 2.4882 -0.79%
2026-05-15 睿远成长价值混合C 2.5080 -2.15%
2026-05-14 睿远成长价值混合C 2.5632 -2.09%
2026-05-13 睿远成长价值混合C 2.6178 2.68%
2026-05-12 睿远成长价值混合C 2.5494 0.72%
2026-05-11 睿远成长价值混合C 2.5312 3.58%
2026-05-08 睿远成长价值混合C 2.4436 1.17%
2026-04-30 睿远成长价值混合C 2.2858 0.04%
2026-04-29 睿远成长价值混合C 2.2848 1.20%
2026-04-28 睿远成长价值混合C 2.2577 -1.38%
2026-04-27 睿远成长价值混合C 2.2893 0.34%
2026-04-24 睿远成长价值混合C 2.2816 -1.71%
2026-04-23 睿远成长价值混合C 2.3207 -1.11%
2026-04-22 睿远成长价值混合C 2.3467 2.18%
2026-04-21 睿远成长价值混合C 2.2967 0.71%
2026-04-20 睿远成长价值混合C 2.2805 0.81%
2026-04-17 睿远成长价值混合C 2.2622 2.55%
2026-04-16 睿远成长价值混合C 2.2059 3.63%
2026-04-15 睿远成长价值混合C 2.1286 -0.62%
2026-04-14 睿远成长价值混合C 2.1418 1.59%
2026-04-13 睿远成长价值混合C 2.1082 0.10%
2026-04-10 睿远成长价值混合C 2.1060 3.79%
2026-04-09 睿远成长价值混合C 2.0291 0.59%
2026-04-08 睿远成长价值混合C 2.0171 6.30%
2026-04-07 睿远成长价值混合C 1.8975 -0.15%
2026-04-03 睿远成长价值混合C 1.9004 0.36%
2026-04-02 睿远成长价值混合C 1.8936 -1.80%
2026-04-01 睿远成长价值混合C 1.9284 3.42%
2026-03-31 睿远成长价值混合C 1.8646 -1.76%
2026-03-30 睿远成长价值混合C 1.8981 -1.87%
2026-03-27 睿远成长价值混合C 1.9336 -0.67%
2026-03-26 睿远成长价值混合C 1.9467 -1.56%
2026-03-25 睿远成长价值混合C 1.9775 2.27%
2026-03-24 睿远成长价值混合C 1.9336 1.45%
2026-03-23 睿远成长价值混合C 1.9060 -3.45%
2026-03-20 睿远成长价值混合C 1.9741 2.42%
2026-03-19 睿远成长价值混合C 1.9274 -1.92%
2026-03-18 睿远成长价值混合C 1.9652 2.07%
2026-03-17 睿远成长价值混合C 1.9254 -2.29%
2026-03-16 睿远成长价值混合C 1.9706 2.26%
2026-03-13 睿远成长价值混合C 1.9270 0.01%
2026-03-12 睿远成长价值混合C 1.9269 -1.03%
2026-03-11 睿远成长价值混合C 1.9469 -0.16%
2026-03-10 睿远成长价值混合C 1.9501 4.60%
2026-03-09 睿远成长价值混合C 1.8644 -1.30%
2026-03-06 睿远成长价值混合C 1.8890 0.67%
2026-03-05 睿远成长价值混合C 1.8764 1.26%
2026-03-04 睿远成长价值混合C 1.8531 -1.17%
2026-03-03 睿远成长价值混合C 1.8750 -1.88%
2026-03-02 睿远成长价值混合C 1.9110 -0.09%
2026-02-27 睿远成长价值混合C 1.9127 -0.84%
2026-02-26 睿远成长价值混合C 1.9290 1.19%
2026-02-25 睿远成长价值混合C 1.9064 1.43%
2026-02-24 睿远成长价值混合C 1.8796 0.07%
2026-02-13 睿远成长价值混合C 1.8782 -1.04%
2026-02-12 睿远成长价值混合C 1.8980 0.74%
2026-02-11 睿远成长价值混合C 1.8841 -1.58%
2026-02-10 睿远成长价值混合C 1.9139 -0.19%
2026-02-09 睿远成长价值混合C 1.9176 2.93%
2026-02-06 睿远成长价值混合C 1.8630 -0.46%
2026-02-05 睿远成长价值混合C 1.8716 -1.67%
2026-02-04 睿远成长价值混合C 1.9033 -2.01%
2026-02-03 睿远成长价值混合C 1.9423 0.24%
2026-02-02 睿远成长价值混合C 1.9377 -0.42%
2026-01-30 睿远成长价值混合C 1.9459 0.43%
2026-01-29 睿远成长价值混合C 1.9375 -1.38%
2026-01-28 睿远成长价值混合C 1.9646 -0.91%
2026-01-27 睿远成长价值混合C 1.9826 1.62%
2026-01-26 睿远成长价值混合C 1.9510 -0.21%
2026-01-23 睿远成长价值混合C 1.9552 0.26%
2026-01-22 睿远成长价值混合C 1.9502 1.32%
2026-01-21 睿远成长价值混合C 1.9247 0.68%
2026-01-20 睿远成长价值混合C 1.9117 -2.26%
2026-01-19 睿远成长价值混合C 1.9560 -0.27%
2026-01-16 睿远成长价值混合C 1.9612 0.55%
2026-01-15 睿远成长价值混合C 1.9504 0.97%
2026-01-14 睿远成长价值混合C 1.9317 0.48%
2026-01-13 睿远成长价值混合C 1.9225 -1.45%
2026-01-12 睿远成长价值混合C 1.9508 0.47%
2026-01-09 睿远成长价值混合C 1.9416 0.05%
2026-01-08 睿远成长价值混合C 1.9406 -0.52%
2026-01-07 睿远成长价值混合C 1.9508 -0.53%
2026-01-06 睿远成长价值混合C 1.9611 -0.13%
2026-01-05 睿远成长价值混合C 1.9637 2.49%
2025-12-31 睿远成长价值混合C 1.9159 -1.27%
2025-12-30 睿远成长价值混合C 1.9405 -0.30%
2025-12-29 睿远成长价值混合C 1.9463 0.92%
2025-12-26 睿远成长价值混合C 1.9285 -0.62%
2025-12-25 睿远成长价值混合C 1.9405 -0.17%
2025-12-24 睿远成长价值混合C 1.9438 0.81%
2025-12-23 睿远成长价值混合C 1.9281 0.44%
2025-12-22 睿远成长价值混合C 1.9196 2.20%
2025-12-19 睿远成长价值混合C 1.8783 0.21%
2025-12-18 睿远成长价值混合C 1.8744 -2.23%
2025-12-17 睿远成长价值混合C 1.9171 3.09%
2025-12-16 睿远成长价值混合C 1.8596 -1.46%
2025-12-15 睿远成长价值混合C 1.8872 -3.05%
2025-12-12 睿远成长价值混合C 1.9466 2.08%
2025-12-11 睿远成长价值混合C 1.9070 -0.94%
2025-12-10 睿远成长价值混合C 1.9251 0.42%
2025-12-09 睿远成长价值混合C 1.9171 1.72%
2025-12-08 睿远成长价值混合C 1.8846 2.92%
2025-12-05 睿远成长价值混合C 1.8312 0.48%
2025-12-04 睿远成长价值混合C 1.8225 0.43%
2025-12-03 睿远成长价值混合C 1.8147 -0.56%
2025-12-02 睿远成长价值混合C 1.8250 -0.12%
2025-12-01 睿远成长价值混合C 1.8272 0.87%
2025-11-28 睿远成长价值混合C 1.8115 0.95%
2025-11-27 睿远成长价值混合C 1.7944 -0.03%
2025-11-26 睿远成长价值混合C 1.7950 2.83%
2025-11-25 睿远成长价值混合C 1.7456 2.42%
2025-11-24 睿远成长价值混合C 1.7044 0.60%
2025-11-21 睿远成长价值混合C 1.6942 -5.00%
2025-11-20 睿远成长价值混合C 1.7833 -0.98%
2025-11-19 睿远成长价值混合C 1.8010 -0.16%
2025-11-18 睿远成长价值混合C 1.8039 -0.33%
2025-11-17 睿远成长价值混合C 1.8098 -0.34%
2025-11-14 睿远成长价值混合C 1.8160 -3.09%
2025-11-13 睿远成长价值混合C 1.8740 0.98%
2025-11-12 睿远成长价值混合C 1.8558 0.70%
2025-11-11 睿远成长价值混合C 1.8429 -1.36%
2025-11-10 睿远成长价值混合C 1.8683 -0.30%
2025-11-07 睿远成长价值混合C 1.8739 -1.19%
2025-11-06 睿远成长价值混合C 1.8965 3.21%
2025-11-05 睿远成长价值混合C 1.8376 0.33%
2025-11-04 睿远成长价值混合C 1.8315 -1.46%
2025-11-03 睿远成长价值混合C 1.8586 0.30%
2025-10-31 睿远成长价值混合C 1.8531 -3.31%
2025-10-30 睿远成长价值混合C 1.9166 -2.05%
2025-10-29 睿远成长价值混合C 1.9567 1.16%
2025-10-28 睿远成长价值混合C 1.9343 -1.40%
2025-10-27 睿远成长价值混合C 1.9618 3.59%
2025-10-24 睿远成长价值混合C 1.8938 3.82%
2025-10-23 睿远成长价值混合C 1.8242 -0.43%
2025-10-22 睿远成长价值混合C 1.8321 -0.52%
2025-10-21 睿远成长价值混合C 1.8417 3.81%
2025-10-20 睿远成长价值混合C 1.7741 2.57%
2025-10-17 睿远成长价值混合C 1.7297 -3.18%
2025-10-16 睿远成长价值混合C 1.7865 0.08%
2025-10-15 睿远成长价值混合C 1.7850 2.82%
2025-10-14 睿远成长价值混合C 1.7360 -4.04%
2025-10-13 睿远成长价值混合C 1.8091 -1.65%
2025-10-10 睿远成长价值混合C 1.8394 -3.50%
2025-10-09 睿远成长价值混合C 1.9061 -0.05%
2025-09-30 睿远成长价值混合C 1.9070 -0.29%
2025-09-29 睿远成长价值混合C 1.9126 2.23%
2025-09-26 睿远成长价值混合C 1.8708 -2.99%
2025-09-25 睿远成长价值混合C 1.9285 0.26%
2025-09-24 睿远成长价值混合C 1.9235 1.74%
2025-09-23 睿远成长价值混合C 1.8906 -0.14%
2025-09-22 睿远成长价值混合C 1.8933 0.79%
2025-09-19 睿远成长价值混合C 1.8785 -0.10%
2025-09-18 睿远成长价值混合C 1.8803 -1.24%
2025-09-17 睿远成长价值混合C 1.9039 1.44%
2025-09-16 睿远成长价值混合C 1.8768 1.01%
睿远基金旗下基金涨幅榜
基金名称 净值 增长率
睿远成长价值混合A 2.2125 2.93%
睿远成长价值混合C 2.1473 2.93%
睿远港股通核心价值混合A 1.3841 0.03%
睿远港股通核心价值混合C 1.3746 0.03%
睿远稳进配置两年持有混合A 1.1540 -0.08%
睿远稳进配置两年持有混合C 1.1371 -0.08%
睿远稳益增强30天持有债券A 1.1106 -0.08%
睿远稳益增强30天持有债券C 1.1003 -0.09%
睿远研选均衡三年持有混合发起式 0.9532 -0.37%
睿远均衡价值三年持有混合A 1.5714 -0.41%
混合型-偏股基金涨幅榜
基金名称 净值 增长率
金信精选成长混合A 2.6528 6.44%
金信精选成长混合C 2.6052 6.44%
银华丰享一年持有期混合 1.8583 6.19%
新华趋势 6.2406 6.19%
鹏华创新驱动混合A 2.5977 6.15%
财通科技创新混合A 2.0379 6.09%
财通科技创新混合C 1.9397 6.08%
中银先锋半导体混合发起A 1.1268 6.07%
中银先锋半导体混合发起C 1.1238 6.06%
国联高质量成长混合C 0.6381 5.93%