热搜: 风险收益 易方达科讯混合 东方新能源汽车混合 诺德新生活混合C
今年以来华商甄选回报混合A|华商甄选回报混合基金净值查询
速查: 近一周 近一月 近一季 近一年 今年以来
-
查询指定日期范围华商甄选回报混合A010761净值及计算阶段收益
今年以来010761基金累计收益率43.63%
净值日期 基金名称 净值 增长率
2025-12-16 华商甄选回报混合A 2.0138 -2.10%
2025-12-15 华商甄选回报混合A 2.0571 -1.18%
2025-12-12 华商甄选回报混合A 2.0817 1.74%
2025-12-11 华商甄选回报混合A 2.0461 -0.85%
2025-12-10 华商甄选回报混合A 2.0637 0.41%
2025-12-09 华商甄选回报混合A 2.0553 -0.10%
2025-12-08 华商甄选回报混合A 2.0574 1.29%
2025-12-05 华商甄选回报混合A 2.0312 0.75%
2025-12-04 华商甄选回报混合A 2.0161 -0.37%
2025-12-03 华商甄选回报混合A 2.0236 -1.08%
2025-12-02 华商甄选回报混合A 2.0456 -0.24%
2025-12-01 华商甄选回报混合A 2.0505 0.22%
2025-11-28 华商甄选回报混合A 2.0460 0.67%
2025-11-27 华商甄选回报混合A 2.0323 0.06%
2025-11-26 华商甄选回报混合A 2.0310 0.34%
2025-11-25 华商甄选回报混合A 2.0242 2.35%
2025-11-24 华商甄选回报混合A 1.9778 1.70%
2025-11-21 华商甄选回报混合A 1.9447 -3.45%
2025-11-20 华商甄选回报混合A 2.0141 -0.50%
2025-11-19 华商甄选回报混合A 2.0243 -0.16%
2025-11-18 华商甄选回报混合A 2.0275 -1.10%
2025-11-17 华商甄选回报混合A 2.0501 -0.17%
2025-11-14 华商甄选回报混合A 2.0536 -0.87%
2025-11-13 华商甄选回报混合A 2.0716 0.55%
2025-11-12 华商甄选回报混合A 2.0603 -0.38%
2025-11-11 华商甄选回报混合A 2.0681 -0.39%
2025-11-10 华商甄选回报混合A 2.0762 1.00%
2025-11-07 华商甄选回报混合A 2.0557 -0.91%
2025-11-06 华商甄选回报混合A 2.0746 0.94%
2025-11-05 华商甄选回报混合A 2.0553 -0.03%
2025-11-04 华商甄选回报混合A 2.0560 -1.19%
2025-11-03 华商甄选回报混合A 2.0808 0.79%
2025-10-31 华商甄选回报混合A 2.0645 -1.58%
2025-10-30 华商甄选回报混合A 2.0977 -0.66%
2025-10-29 华商甄选回报混合A 2.1117 0.39%
2025-10-28 华商甄选回报混合A 2.1036 -1.41%
2025-10-27 华商甄选回报混合A 2.1337 1.98%
2025-10-24 华商甄选回报混合A 2.0922 2.54%
2025-10-23 华商甄选回报混合A 2.0404 -0.44%
2025-10-22 华商甄选回报混合A 2.0494 -0.49%
2025-10-21 华商甄选回报混合A 2.0595 1.86%
2025-10-20 华商甄选回报混合A 2.0218 1.24%
2025-10-17 华商甄选回报混合A 1.9971 -3.46%
2025-10-16 华商甄选回报混合A 2.0687 -0.55%
2025-10-15 华商甄选回报混合A 2.0802 1.30%
2025-10-14 华商甄选回报混合A 2.0536 -1.72%
2025-10-13 华商甄选回报混合A 2.0896 -0.74%
2025-10-10 华商甄选回报混合A 2.1052 -2.29%
2025-10-09 华商甄选回报混合A 2.1545 1.19%
2025-09-30 华商甄选回报混合A 2.1292 1.17%
2025-09-29 华商甄选回报混合A 2.1045 1.09%
2025-09-26 华商甄选回报混合A 2.0819 -2.04%
2025-09-25 华商甄选回报混合A 2.1253 0.52%
2025-09-24 华商甄选回报混合A 2.1144 0.64%
2025-09-23 华商甄选回报混合A 2.1010 -0.59%
2025-09-22 华商甄选回报混合A 2.1135 -0.12%
2025-09-19 华商甄选回报混合A 2.1161 0.73%
2025-09-18 华商甄选回报混合A 2.1007 0.26%
2025-09-17 华商甄选回报混合A 2.0953 0.64%
2025-09-16 华商甄选回报混合A 2.0819 1.04%
2025-09-15 华商甄选回报混合A 2.0604 -0.39%
2025-09-12 华商甄选回报混合A 2.0684 -0.46%
2025-09-11 华商甄选回报混合A 2.0779 1.71%
2025-09-10 华商甄选回报混合A 2.0429 0.43%
2025-09-09 华商甄选回报混合A 2.0342 -0.54%
2025-09-08 华商甄选回报混合A 2.0452 0.51%
2025-09-05 华商甄选回报混合A 2.0348 3.04%
2025-09-04 华商甄选回报混合A 1.9747 -2.64%
2025-09-03 华商甄选回报混合A 2.0283 0.71%
2025-09-02 华商甄选回报混合A 2.0140 -2.45%
2025-09-01 华商甄选回报混合A 2.0645 1.53%
2025-08-29 华商甄选回报混合A 2.0333 -0.38%
2025-08-28 华商甄选回报混合A 2.0411 2.92%
2025-08-27 华商甄选回报混合A 1.9832 -1.78%
2025-08-26 华商甄选回报混合A 2.0192 -0.19%
2025-08-25 华商甄选回报混合A 2.0231 2.90%
2025-08-22 华商甄选回报混合A 1.9660 1.31%
2025-08-21 华商甄选回报混合A 1.9405 -1.66%
2025-08-20 华商甄选回报混合A 1.9732 0.60%
2025-08-19 华商甄选回报混合A 1.9615 0.20%
2025-08-18 华商甄选回报混合A 1.9576 1.92%
2025-08-15 华商甄选回报混合A 1.9207 1.02%
2025-08-14 华商甄选回报混合A 1.9013 -1.59%
2025-08-13 华商甄选回报混合A 1.9321 1.73%
2025-08-12 华商甄选回报混合A 1.8993 -0.49%
2025-08-11 华商甄选回报混合A 1.9087 0.72%
2025-08-08 华商甄选回报混合A 1.8951 -0.07%
2025-08-07 华商甄选回报混合A 1.8964 0.82%
2025-08-06 华商甄选回报混合A 1.8810 -0.19%
2025-08-05 华商甄选回报混合A 1.8845 1.31%
2025-08-04 华商甄选回报混合A 1.8601 0.97%
2025-08-01 华商甄选回报混合A 1.8423 -0.81%
2025-07-31 华商甄选回报混合A 1.8574 -0.41%
2025-07-30 华商甄选回报混合A 1.8651 0.50%
2025-07-29 华商甄选回报混合A 1.8559 1.77%
2025-07-28 华商甄选回报混合A 1.8236 0.26%
2025-07-25 华商甄选回报混合A 1.8188 0.01%
2025-07-24 华商甄选回报混合A 1.8187 2.42%
2025-07-23 华商甄选回报混合A 1.7757 0.73%
2025-07-22 华商甄选回报混合A 1.7629 0.48%
2025-07-21 华商甄选回报混合A 1.7544 0.72%
2025-07-18 华商甄选回报混合A 1.7419 -0.04%
2025-07-17 华商甄选回报混合A 1.7426 1.62%
2025-07-16 华商甄选回报混合A 1.7148 0.06%
2025-07-15 华商甄选回报混合A 1.7137 0.10%
2025-07-14 华商甄选回报混合A 1.7120 0.37%
2025-07-11 华商甄选回报混合A 1.7057 0.45%
2025-07-10 华商甄选回报混合A 1.6980 0.37%
2025-07-09 华商甄选回报混合A 1.6918 -0.68%
2025-07-08 华商甄选回报混合A 1.7034 1.13%
2025-07-07 华商甄选回报混合A 1.6843 -0.38%
2025-07-04 华商甄选回报混合A 1.6908 -0.87%
2025-07-03 华商甄选回报混合A 1.7056 0.16%
2025-07-02 华商甄选回报混合A 1.7028 0.21%
2025-07-01 华商甄选回报混合A 1.6993 0.04%
2025-06-30 华商甄选回报混合A 1.6987 0.65%
2025-06-27 华商甄选回报混合A 1.6877 0.81%
2025-06-26 华商甄选回报混合A 1.6742 0.23%
2025-06-25 华商甄选回报混合A 1.6704 1.08%
2025-06-24 华商甄选回报混合A 1.6526 1.26%
2025-06-23 华商甄选回报混合A 1.6321 1.13%
2025-06-20 华商甄选回报混合A 1.6138 0.20%
2025-06-19 华商甄选回报混合A 1.6105 -1.34%
2025-06-18 华商甄选回报混合A 1.6324 -0.33%
2025-06-17 华商甄选回报混合A 1.6378 -0.30%
2025-06-16 华商甄选回报混合A 1.6427 0.76%
2025-06-13 华商甄选回报混合A 1.6303 -1.15%
2025-06-12 华商甄选回报混合A 1.6492 -0.44%
2025-06-11 华商甄选回报混合A 1.6565 0.64%
2025-06-10 华商甄选回报混合A 1.6459 0.13%
2025-06-09 华商甄选回报混合A 1.6437 1.28%
2025-06-06 华商甄选回报混合A 1.6229 0.22%
2025-06-05 华商甄选回报混合A 1.6193 0.70%
2025-06-04 华商甄选回报混合A 1.6081 0.98%
2025-06-03 华商甄选回报混合A 1.5925 0.91%
2025-05-30 华商甄选回报混合A 1.5781 -1.11%
2025-05-29 华商甄选回报混合A 1.5958 1.72%
2025-05-28 华商甄选回报混合A 1.5688 -0.08%
2025-05-27 华商甄选回报混合A 1.5701 0.31%
2025-05-26 华商甄选回报混合A 1.5652 -0.01%
2025-05-23 华商甄选回报混合A 1.5654 -0.24%
2025-05-22 华商甄选回报混合A 1.5691 -1.03%
2025-05-21 华商甄选回报混合A 1.5854 0.65%
2025-05-20 华商甄选回报混合A 1.5752 0.30%
2025-05-19 华商甄选回报混合A 1.5705 -0.18%
2025-05-16 华商甄选回报混合A 1.5734 -0.34%
2025-05-15 华商甄选回报混合A 1.5787 -1.19%
2025-05-14 华商甄选回报混合A 1.5977 0.50%
2025-05-13 华商甄选回报混合A 1.5897 -0.77%
2025-05-12 华商甄选回报混合A 1.6021 2.46%
2025-05-09 华商甄选回报混合A 1.5636 -0.77%
2025-05-08 华商甄选回报混合A 1.5757 0.67%
2025-05-07 华商甄选回报混合A 1.5652 -0.40%
2025-05-06 华商甄选回报混合A 1.5715 2.55%
2025-04-30 华商甄选回报混合A 1.5324 0.58%
2025-04-29 华商甄选回报混合A 1.5235 0.52%
2025-04-28 华商甄选回报混合A 1.5156 -0.39%
2025-04-25 华商甄选回报混合A 1.5216 0.32%
2025-04-24 华商甄选回报混合A 1.5168 -0.86%
2025-04-23 华商甄选回报混合A 1.5299 1.15%
2025-04-22 华商甄选回报混合A 1.5125 0.51%
2025-04-21 华商甄选回报混合A 1.5049 0.75%
2025-04-18 华商甄选回报混合A 1.4937 -0.17%
2025-04-17 华商甄选回报混合A 1.4963 0.73%
2025-04-16 华商甄选回报混合A 1.4855 -1.66%
2025-04-15 华商甄选回报混合A 1.5106 -0.47%
2025-04-14 华商甄选回报混合A 1.5177 1.52%
2025-04-11 华商甄选回报混合A 1.4950 0.87%
2025-04-10 华商甄选回报混合A 1.4821 2.36%
2025-04-09 华商甄选回报混合A 1.4479 1.96%
2025-04-08 华商甄选回报混合A 1.4200 1.36%
2025-04-07 华商甄选回报混合A 1.4009 -10.87%
2025-04-03 华商甄选回报混合A 1.5717 -1.52%
2025-04-02 华商甄选回报混合A 1.5960 -0.24%
2025-04-01 华商甄选回报混合A 1.5999 0.84%
2025-03-31 华商甄选回报混合A 1.5865 -1.22%
2025-03-28 华商甄选回报混合A 1.6061 -0.80%
2025-03-27 华商甄选回报混合A 1.6190 -0.15%
2025-03-26 华商甄选回报混合A 1.6214 -0.03%
2025-03-25 华商甄选回报混合A 1.6219 -0.27%
2025-03-24 华商甄选回报混合A 1.6263 0.36%
2025-03-21 华商甄选回报混合A 1.6205 -2.08%
2025-03-20 华商甄选回报混合A 1.6549 -0.82%
2025-03-19 华商甄选回报混合A 1.6686 -0.12%
2025-03-18 华商甄选回报混合A 1.6706 1.02%
2025-03-17 华商甄选回报混合A 1.6537 0.17%
2025-03-14 华商甄选回报混合A 1.6509 2.08%
2025-03-13 华商甄选回报混合A 1.6172 -0.73%
2025-03-12 华商甄选回报混合A 1.6291 -0.18%
2025-03-11 华商甄选回报混合A 1.6321 0.10%
2025-03-10 华商甄选回报混合A 1.6304 -0.63%
2025-03-07 华商甄选回报混合A 1.6407 0.42%
2025-03-06 华商甄选回报混合A 1.6338 2.26%
2025-03-05 华商甄选回报混合A 1.5977 1.85%
2025-03-04 华商甄选回报混合A 1.5687 1.17%
2025-03-03 华商甄选回报混合A 1.5506 0.60%
2025-02-28 华商甄选回报混合A 1.5413 -2.90%
2025-02-27 华商甄选回报混合A 1.5873 -0.50%
2025-02-26 华商甄选回报混合A 1.5953 1.60%
2025-02-25 华商甄选回报混合A 1.5702 -1.10%
2025-02-24 华商甄选回报混合A 1.5877 0.18%
2025-02-21 华商甄选回报混合A 1.5849 1.64%
2025-02-20 华商甄选回报混合A 1.5594 0.13%
2025-02-19 华商甄选回报混合A 1.5574 1.08%
2025-02-18 华商甄选回报混合A 1.5407 -0.22%
2025-02-17 华商甄选回报混合A 1.5441 -0.41%
2025-02-14 华商甄选回报混合A 1.5505 2.34%
2025-02-13 华商甄选回报混合A 1.5150 -1.11%
2025-02-12 华商甄选回报混合A 1.5320 0.50%
2025-02-11 华商甄选回报混合A 1.5244 -0.77%
2025-02-10 华商甄选回报混合A 1.5363 1.51%
2025-02-07 华商甄选回报混合A 1.5135 1.26%
2025-02-06 华商甄选回报混合A 1.4946 1.71%
2025-02-05 华商甄选回报混合A 1.4695 0.71%
2025-01-27 华商甄选回报混合A 1.4592 -0.69%
2025-01-24 华商甄选回报混合A 1.4694 1.90%
2025-01-23 华商甄选回报混合A 1.4420 -0.90%
2025-01-22 华商甄选回报混合A 1.4551 -0.96%
2025-01-21 华商甄选回报混合A 1.4692 0.75%
2025-01-20 华商甄选回报混合A 1.4582 0.43%
2025-01-17 华商甄选回报混合A 1.4520 1.01%
2025-01-16 华商甄选回报混合A 1.4375 1.14%
2025-01-15 华商甄选回报混合A 1.4213 -1.07%
2025-01-14 华商甄选回报混合A 1.4367 2.92%
2025-01-13 华商甄选回报混合A 1.3959 -0.16%
2025-01-10 华商甄选回报混合A 1.3982 -0.77%
2025-01-09 华商甄选回报混合A 1.4090 0.79%
2025-01-08 华商甄选回报混合A 1.3979 -1.15%
2025-01-07 华商甄选回报混合A 1.4142 0.38%
2025-01-06 华商甄选回报混合A 1.4088 -0.49%
2025-01-03 华商甄选回报混合A 1.4158 -0.35%
2025-01-02 华商甄选回报混合A 1.4208 -1.97%
华商基金旗下基金涨幅榜
基金名称 净值 增长率
华商鸿悦纯债债券 0.9888 0.02%
华商鸿益一年定期开放债券型发起式 1.0343 0.01%
华商鸿盛纯债债券 1.0073 0.01%
华商鸿丰纯债 1.0000 0.01%
华商瑞丰短债A 1.1013 0.00%
华商鸿信纯债债券 1.0291 0.00%
华商强债B 1.4040 -0.07%
华商消费行业股票 1.1349 -0.11%
华商强债A 1.4840 -0.13%
华商稳健泓利一年持有期混合C 1.1208 -0.15%
基金涨幅榜
基金名称 净值 增长率
浦银安盛数字经济混合C 1.2155 6.53%
红土创新新科技股票C 5.1924 6.38%
前海开源周期精选混合C 1.1897 5.90%
国联研发创新混合C 1.5372 5.79%
汇安量化先锋混合A 1.4016 5.62%
汇安量化先锋混合C 1.3591 5.62%
京管泰富科技驱动混合C 1.3373 5.55%
富国创新科技A 2.8260 5.53%
广发睿选三年持有期混合 0.8576 5.24%
国泰中证全指通信设备ETF联接C 2.7664 5.12%