热搜: 赎回基金 中欧医疗健康混合C 易方达瑞享混合E 新华优选分红混合
今年以来华安聚恒精选混合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
-
查询指定日期范围华安聚恒精选混合A011238净值及计算阶段收益
今年以来011238基金累计收益率33.83%
净值日期 基金名称 净值 增长率
2025-12-17 华安聚恒精选混合A 0.8542 2.13%
2025-12-16 华安聚恒精选混合A 0.8364 -2.29%
2025-12-15 华安聚恒精选混合A 0.8560 -1.14%
2025-12-12 华安聚恒精选混合A 0.8659 1.27%
2025-12-11 华安聚恒精选混合A 0.8550 -1.14%
2025-12-10 华安聚恒精选混合A 0.8649 0.22%
2025-12-09 华安聚恒精选混合A 0.8630 -0.84%
2025-12-08 华安聚恒精选混合A 0.8703 0.75%
2025-12-05 华安聚恒精选混合A 0.8638 2.87%
2025-12-04 华安聚恒精选混合A 0.8397 0.08%
2025-12-03 华安聚恒精选混合A 0.8390 -0.13%
2025-12-02 华安聚恒精选混合A 0.8401 -0.59%
2025-12-01 华安聚恒精选混合A 0.8451 0.92%
2025-11-28 华安聚恒精选混合A 0.8374 1.49%
2025-11-27 华安聚恒精选混合A 0.8251 0.13%
2025-11-26 华安聚恒精选混合A 0.8240 -0.21%
2025-11-25 华安聚恒精选混合A 0.8257 1.50%
2025-11-24 华安聚恒精选混合A 0.8135 1.06%
2025-11-21 华安聚恒精选混合A 0.8050 -3.83%
2025-11-20 华安聚恒精选混合A 0.8371 -0.71%
2025-11-19 华安聚恒精选混合A 0.8431 0.02%
2025-11-18 华安聚恒精选混合A 0.8429 -2.27%
2025-11-17 华安聚恒精选混合A 0.8625 -0.54%
2025-11-14 华安聚恒精选混合A 0.8672 -1.08%
2025-11-13 华安聚恒精选混合A 0.8767 3.30%
2025-11-12 华安聚恒精选混合A 0.8487 -1.08%
2025-11-11 华安聚恒精选混合A 0.8580 0.11%
2025-11-10 华安聚恒精选混合A 0.8571 -0.73%
2025-11-07 华安聚恒精选混合A 0.8634 -0.29%
2025-11-06 华安聚恒精选混合A 0.8659 2.55%
2025-11-05 华安聚恒精选混合A 0.8444 2.78%
2025-11-04 华安聚恒精选混合A 0.8216 -1.27%
2025-11-03 华安聚恒精选混合A 0.8322 1.30%
2025-10-31 华安聚恒精选混合A 0.8215 -1.66%
2025-10-30 华安聚恒精选混合A 0.8354 -0.50%
2025-10-29 华安聚恒精选混合A 0.8396 4.35%
2025-10-28 华安聚恒精选混合A 0.8046 -0.83%
2025-10-27 华安聚恒精选混合A 0.8113 1.87%
2025-10-24 华安聚恒精选混合A 0.7964 2.22%
2025-10-23 华安聚恒精选混合A 0.7791 -0.28%
2025-10-22 华安聚恒精选混合A 0.7813 -0.81%
2025-10-21 华安聚恒精选混合A 0.7877 1.86%
2025-10-20 华安聚恒精选混合A 0.7733 1.84%
2025-10-17 华安聚恒精选混合A 0.7593 -4.69%
2025-10-16 华安聚恒精选混合A 0.7967 0.10%
2025-10-15 华安聚恒精选混合A 0.7959 4.28%
2025-10-14 华安聚恒精选混合A 0.7632 -2.42%
2025-10-13 华安聚恒精选混合A 0.7821 -0.95%
2025-10-10 华安聚恒精选混合A 0.7896 -2.77%
2025-10-09 华安聚恒精选混合A 0.8121 0.66%
2025-09-30 华安聚恒精选混合A 0.8068 0.52%
2025-09-29 华安聚恒精选混合A 0.8026 2.11%
2025-09-26 华安聚恒精选混合A 0.7860 -1.76%
2025-09-25 华安聚恒精选混合A 0.8001 0.39%
2025-09-24 华安聚恒精选混合A 0.7970 1.63%
2025-09-23 华安聚恒精选混合A 0.7842 0.33%
2025-09-22 华安聚恒精选混合A 0.7816 0.72%
2025-09-19 华安聚恒精选混合A 0.7760 0.54%
2025-09-18 华安聚恒精选混合A 0.7718 -0.95%
2025-09-17 华安聚恒精选混合A 0.7792 0.74%
2025-09-16 华安聚恒精选混合A 0.7735 0.06%
2025-09-15 华安聚恒精选混合A 0.7730 0.26%
2025-09-12 华安聚恒精选混合A 0.7710 -0.76%
2025-09-11 华安聚恒精选混合A 0.7769 3.38%
2025-09-10 华安聚恒精选混合A 0.7515 -0.13%
2025-09-09 华安聚恒精选混合A 0.7525 -0.78%
2025-09-08 华安聚恒精选混合A 0.7584 0.01%
2025-09-05 华安聚恒精选混合A 0.7583 6.61%
2025-09-04 华安聚恒精选混合A 0.7113 -3.68%
2025-09-03 华安聚恒精选混合A 0.7385 0.79%
2025-09-02 华安聚恒精选混合A 0.7327 -1.93%
2025-09-01 华安聚恒精选混合A 0.7471 2.88%
2025-08-29 华安聚恒精选混合A 0.7262 2.73%
2025-08-28 华安聚恒精选混合A 0.7069 1.95%
2025-08-27 华安聚恒精选混合A 0.6934 -2.23%
2025-08-26 华安聚恒精选混合A 0.7092 -1.72%
2025-08-25 华安聚恒精选混合A 0.7216 1.11%
2025-08-22 华安聚恒精选混合A 0.7137 2.13%
2025-08-21 华安聚恒精选混合A 0.6988 -0.36%
2025-08-20 华安聚恒精选混合A 0.7013 0.59%
2025-08-19 华安聚恒精选混合A 0.6972 -1.02%
2025-08-18 华安聚恒精选混合A 0.7044 0.51%
2025-08-15 华安聚恒精选混合A 0.7008 2.38%
2025-08-14 华安聚恒精选混合A 0.6845 0.44%
2025-08-13 华安聚恒精选混合A 0.6815 2.13%
2025-08-12 华安聚恒精选混合A 0.6673 0.00%
2025-08-11 华安聚恒精选混合A 0.6673 0.20%
2025-08-08 华安聚恒精选混合A 0.6660 0.89%
2025-08-07 华安聚恒精选混合A 0.6601 -1.33%
2025-08-06 华安聚恒精选混合A 0.6690 0.87%
2025-08-05 华安聚恒精选混合A 0.6632 1.67%
2025-08-04 华安聚恒精选混合A 0.6523 0.32%
2025-08-01 华安聚恒精选混合A 0.6502 -0.43%
2025-07-31 华安聚恒精选混合A 0.6530 -1.27%
2025-07-30 华安聚恒精选混合A 0.6614 -1.88%
2025-07-29 华安聚恒精选混合A 0.6741 0.90%
2025-07-28 华安聚恒精选混合A 0.6681 1.01%
2025-07-25 华安聚恒精选混合A 0.6614 -0.91%
2025-07-24 华安聚恒精选混合A 0.6675 1.74%
2025-07-23 华安聚恒精选混合A 0.6561 0.12%
2025-07-22 华安聚恒精选混合A 0.6553 0.65%
2025-07-21 华安聚恒精选混合A 0.6511 0.56%
2025-07-18 华安聚恒精选混合A 0.6475 0.61%
2025-07-17 华安聚恒精选混合A 0.6436 1.19%
2025-07-16 华安聚恒精选混合A 0.6360 0.03%
2025-07-15 华安聚恒精选混合A 0.6358 0.89%
2025-07-14 华安聚恒精选混合A 0.6302 0.96%
2025-07-11 华安聚恒精选混合A 0.6242 -0.08%
2025-07-10 华安聚恒精选混合A 0.6247 -0.83%
2025-07-09 华安聚恒精选混合A 0.6299 -0.54%
2025-07-08 华安聚恒精选混合A 0.6333 0.51%
2025-07-07 华安聚恒精选混合A 0.6301 -0.21%
2025-07-04 华安聚恒精选混合A 0.6314 0.69%
2025-07-03 华安聚恒精选混合A 0.6271 1.62%
2025-07-02 华安聚恒精选混合A 0.6171 0.54%
2025-07-01 华安聚恒精选混合A 0.6138 0.54%
2025-06-30 华安聚恒精选混合A 0.6105 0.39%
2025-06-27 华安聚恒精选混合A 0.6081 0.35%
2025-06-26 华安聚恒精选混合A 0.6060 -1.42%
2025-06-25 华安聚恒精选混合A 0.6147 1.05%
2025-06-24 华安聚恒精选混合A 0.6083 1.64%
2025-06-23 华安聚恒精选混合A 0.5985 1.03%
2025-06-20 华安聚恒精选混合A 0.5924 0.49%
2025-06-19 华安聚恒精选混合A 0.5895 -1.65%
2025-06-18 华安聚恒精选混合A 0.5994 0.10%
2025-06-17 华安聚恒精选混合A 0.5988 -0.91%
2025-06-16 华安聚恒精选混合A 0.6043 0.17%
2025-06-13 华安聚恒精选混合A 0.6033 -0.63%
2025-06-12 华安聚恒精选混合A 0.6071 0.31%
2025-06-11 华安聚恒精选混合A 0.6052 0.25%
2025-06-10 华安聚恒精选混合A 0.6037 0.95%
2025-06-09 华安聚恒精选混合A 0.5980 1.00%
2025-06-06 华安聚恒精选混合A 0.5921 -0.08%
2025-06-05 华安聚恒精选混合A 0.5926 -0.37%
2025-06-04 华安聚恒精选混合A 0.5948 0.71%
2025-06-03 华安聚恒精选混合A 0.5906 0.14%
2025-05-30 华安聚恒精选混合A 0.5898 -1.72%
2025-05-29 华安聚恒精选混合A 0.6001 1.66%
2025-05-28 华安聚恒精选混合A 0.5903 -0.15%
2025-05-27 华安聚恒精选混合A 0.5912 0.00%
2025-05-26 华安聚恒精选混合A 0.5912 -1.81%
2025-05-23 华安聚恒精选混合A 0.6021 -0.48%
2025-05-22 华安聚恒精选混合A 0.6050 -0.56%
2025-05-21 华安聚恒精选混合A 0.6084 1.43%
2025-05-20 华安聚恒精选混合A 0.5998 1.25%
2025-05-19 华安聚恒精选混合A 0.5924 0.19%
2025-05-16 华安聚恒精选混合A 0.5913 0.12%
2025-05-15 华安聚恒精选混合A 0.5906 -1.15%
2025-05-14 华安聚恒精选混合A 0.5975 0.37%
2025-05-13 华安聚恒精选混合A 0.5953 -0.75%
2025-05-12 华安聚恒精选混合A 0.5998 1.54%
2025-05-09 华安聚恒精选混合A 0.5907 -0.17%
2025-05-08 华安聚恒精选混合A 0.5917 0.22%
2025-05-07 华安聚恒精选混合A 0.5904 -0.02%
2025-05-06 华安聚恒精选混合A 0.5905 1.78%
2025-04-30 华安聚恒精选混合A 0.5802 -0.14%
2025-04-29 华安聚恒精选混合A 0.5810 0.12%
2025-04-28 华安聚恒精选混合A 0.5803 -1.68%
2025-04-25 华安聚恒精选混合A 0.5902 0.73%
2025-04-24 华安聚恒精选混合A 0.5859 -0.09%
2025-04-23 华安聚恒精选混合A 0.5864 1.31%
2025-04-22 华安聚恒精选混合A 0.5788 0.56%
2025-04-21 华安聚恒精选混合A 0.5756 0.75%
2025-04-18 华安聚恒精选混合A 0.5713 0.11%
2025-04-17 华安聚恒精选混合A 0.5707 -0.70%
2025-04-16 华安聚恒精选混合A 0.5747 -1.91%
2025-04-15 华安聚恒精选混合A 0.5859 -0.56%
2025-04-14 华安聚恒精选混合A 0.5892 0.94%
2025-04-11 华安聚恒精选混合A 0.5837 1.16%
2025-04-10 华安聚恒精选混合A 0.5770 2.38%
2025-04-09 华安聚恒精选混合A 0.5636 0.34%
2025-04-08 华安聚恒精选混合A 0.5617 -0.58%
2025-04-07 华安聚恒精选混合A 0.5650 -9.92%
2025-04-03 华安聚恒精选混合A 0.6272 -3.02%
2025-04-02 华安聚恒精选混合A 0.6467 -0.14%
2025-04-01 华安聚恒精选混合A 0.6476 0.59%
2025-03-31 华安聚恒精选混合A 0.6438 -0.72%
2025-03-28 华安聚恒精选混合A 0.6485 -0.61%
2025-03-27 华安聚恒精选混合A 0.6525 0.32%
2025-03-26 华安聚恒精选混合A 0.6504 -0.40%
2025-03-25 华安聚恒精选混合A 0.6530 -0.64%
2025-03-24 华安聚恒精选混合A 0.6572 1.14%
2025-03-21 华安聚恒精选混合A 0.6498 -1.13%
2025-03-20 华安聚恒精选混合A 0.6572 -1.44%
2025-03-19 华安聚恒精选混合A 0.6668 -0.12%
2025-03-18 华安聚恒精选混合A 0.6676 1.24%
2025-03-17 华安聚恒精选混合A 0.6594 0.11%
2025-03-14 华安聚恒精选混合A 0.6587 1.64%
2025-03-13 华安聚恒精选混合A 0.6481 -1.05%
2025-03-12 华安聚恒精选混合A 0.6550 -0.74%
2025-03-11 华安聚恒精选混合A 0.6599 -0.23%
2025-03-10 华安聚恒精选混合A 0.6614 -0.30%
2025-03-07 华安聚恒精选混合A 0.6634 0.17%
2025-03-06 华安聚恒精选混合A 0.6623 1.44%
2025-03-05 华安聚恒精选混合A 0.6529 1.13%
2025-03-04 华安聚恒精选混合A 0.6456 0.25%
2025-03-03 华安聚恒精选混合A 0.6440 -0.19%
2025-02-28 华安聚恒精选混合A 0.6452 -1.87%
2025-02-27 华安聚恒精选混合A 0.6575 0.43%
2025-02-26 华安聚恒精选混合A 0.6547 1.68%
2025-02-25 华安聚恒精选混合A 0.6439 -1.68%
2025-02-24 华安聚恒精选混合A 0.6549 -0.56%
2025-02-21 华安聚恒精选混合A 0.6586 1.28%
2025-02-20 华安聚恒精选混合A 0.6503 -0.88%
2025-02-19 华安聚恒精选混合A 0.6561 0.15%
2025-02-18 华安聚恒精选混合A 0.6551 0.31%
2025-02-17 华安聚恒精选混合A 0.6531 -0.71%
2025-02-14 华安聚恒精选混合A 0.6578 1.67%
2025-02-13 华安聚恒精选混合A 0.6470 -0.55%
2025-02-12 华安聚恒精选混合A 0.6506 -0.35%
2025-02-11 华安聚恒精选混合A 0.6529 -0.03%
2025-02-10 华安聚恒精选混合A 0.6531 0.35%
2025-02-07 华安聚恒精选混合A 0.6508 1.10%
2025-02-06 华安聚恒精选混合A 0.6437 -0.06%
2025-02-05 华安聚恒精选混合A 0.6441 -0.54%
2025-01-27 华安聚恒精选混合A 0.6476 0.22%
2025-01-24 华安聚恒精选混合A 0.6462 1.33%
2025-01-23 华安聚恒精选混合A 0.6377 -0.65%
2025-01-22 华安聚恒精选混合A 0.6419 -0.96%
2025-01-21 华安聚恒精选混合A 0.6481 0.51%
2025-01-20 华安聚恒精选混合A 0.6448 0.53%
2025-01-17 华安聚恒精选混合A 0.6414 0.71%
2025-01-16 华安聚恒精选混合A 0.6369 0.70%
2025-01-15 华安聚恒精选混合A 0.6325 -0.58%
2025-01-14 华安聚恒精选混合A 0.6362 2.07%
2025-01-13 华安聚恒精选混合A 0.6233 -0.70%
2025-01-10 华安聚恒精选混合A 0.6277 -0.98%
2025-01-09 华安聚恒精选混合A 0.6339 -0.19%
2025-01-08 华安聚恒精选混合A 0.6351 0.14%
2025-01-07 华安聚恒精选混合A 0.6342 0.43%
2025-01-06 华安聚恒精选混合A 0.6315 0.10%
2025-01-03 华安聚恒精选混合A 0.6309 -0.47%
2025-01-02 华安聚恒精选混合A 0.6339 -2.02%
华安基金旗下基金涨幅榜
基金名称 净值 增长率
银行行业 1.3237 1.85%
航天ETF 1.0433 1.45%
华安国证航天航空行业ETF发起式联接A 1.0743 1.37%
华安国证航天航空行业ETF发起式联接C 1.0740 1.37%
红利国企 1.1205 0.96%
华安中证红利低波动指数发起式C 1.1233 0.92%
华安中证红利低波动指数发起式A 1.1280 0.91%
黄金股票ETF 1.5302 0.87%
港股通生物科技ETF 0.8291 0.69%
华安恒生生物科技指数发起式(QDII)A 1.5449 0.66%
混合型-偏股基金涨幅榜
基金名称 净值 增长率
长城消费增值混合C 1.1103 3.95%
长城消费增值混合A 1.1254 3.94%
永赢高端装备智选混合发起C 1.1707 3.44%
永赢高端装备智选混合发起A 1.1868 3.43%
华泰保兴吉年红混合发起A 1.1145 2.84%
华泰保兴吉年红混合发起C 1.1139 2.83%
平安高端装备混合发起式C 1.1201 2.82%
万家健康产业混合A 0.6942 2.66%
万家健康产业混合C 0.6767 2.65%
工银精选回报混合A 1.5234 2.44%