热搜: 装机容量 交银蓝筹混合 广发聚丰混合A 中邮核心成长混合
今年以来诺安优选回报混合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
-
查询指定日期范围诺安优选回报混合C025351净值及计算阶段收益
今年以来025351基金累计收益率12.86%
净值日期 基金名称 净值 增长率
2026-09-16 诺安优选回报混合C 2.7610 2.15%
2026-09-15 诺安优选回报混合C 2.7030 -0.11%
2026-09-14 诺安优选回报混合C 2.7060 1.42%
2026-09-11 诺安优选回报混合C 2.6680 -1.88%
2026-09-10 诺安优选回报混合C 2.7190 -2.10%
2026-09-09 诺安优选回报混合C 2.7760 -0.79%
2026-09-08 诺安优选回报混合C 2.7980 -0.50%
2026-09-07 诺安优选回报混合C 2.8120 0.64%
2026-09-04 诺安优选回报混合C 2.7940 -1.59%
2026-09-03 诺安优选回报混合C 2.8390 0.11%
2026-09-02 诺安优选回报混合C 2.8360 -1.63%
2026-09-01 诺安优选回报混合C 2.8830 -1.10%
2026-08-31 诺安优选回报混合C 2.9150 1.75%
2026-08-28 诺安优选回报混合C 2.8650 -1.04%
2026-08-27 诺安优选回报混合C 2.8950 2.41%
2026-08-26 诺安优选回报混合C 2.8270 -1.02%
2026-08-25 诺安优选回报混合C 2.8560 1.67%
2026-08-24 诺安优选回报混合C 2.8090 -2.16%
2026-08-21 诺安优选回报混合C 2.8710 -0.83%
2026-08-20 诺安优选回报混合C 2.8950 1.76%
2026-08-19 诺安优选回报混合C 2.8450 -5.04%
2026-08-18 诺安优选回报混合C 2.9960 -0.73%
2026-08-17 诺安优选回报混合C 3.0180 2.41%
2026-08-14 诺安优选回报混合C 2.9470 0.79%
2026-08-13 诺安优选回报混合C 2.9240 -0.37%
2026-08-12 诺安优选回报混合C 2.9350 0.51%
2026-08-11 诺安优选回报混合C 2.9200 0.21%
2026-08-10 诺安优选回报混合C 2.9140 1.04%
2026-08-07 诺安优选回报混合C 2.8840 2.85%
2026-08-06 诺安优选回报混合C 2.8040 0.11%
2026-08-05 诺安优选回报混合C 2.8010 2.90%
2026-08-04 诺安优选回报混合C 2.7220 4.13%
2026-08-03 诺安优选回报混合C 2.6140 -0.80%
2026-07-31 诺安优选回报混合C 2.6350 3.82%
2026-07-30 诺安优选回报混合C 2.5380 -3.53%
2026-07-29 诺安优选回报混合C 2.6310 0.77%
2026-07-28 诺安优选回报混合C 2.6110 -3.22%
2026-07-27 诺安优选回报混合C 2.6980 2.39%
2026-07-24 诺安优选回报混合C 2.6350 -1.94%
2026-07-23 诺安优选回报混合C 2.6870 -0.70%
2026-07-22 诺安优选回报混合C 2.7060 0.00%
2026-07-21 诺安优选回报混合C 2.7060 4.40%
2026-07-20 诺安优选回报混合C 2.5920 -2.04%
2026-07-17 诺安优选回报混合C 2.6460 -6.14%
2026-07-16 诺安优选回报混合C 2.8190 -1.64%
2026-07-15 诺安优选回报混合C 2.8660 -0.49%
2026-07-14 诺安优选回报混合C 2.8800 1.66%
2026-07-13 诺安优选回报混合C 2.8330 -4.42%
2026-07-10 诺安优选回报混合C 2.9640 -3.07%
2026-07-09 诺安优选回报混合C 3.0580 1.97%
2026-07-08 诺安优选回报混合C 2.9990 -0.70%
2026-07-07 诺安优选回报混合C 3.0200 -2.42%
2026-07-06 诺安优选回报混合C 3.0950 0.26%
2026-07-03 诺安优选回报混合C 3.0870 0.98%
2026-07-02 诺安优选回报混合C 3.0570 -2.86%
2026-07-01 诺安优选回报混合C 3.1470 0.25%
2026-06-30 诺安优选回报混合C 3.1390 3.91%
2026-06-29 诺安优选回报混合C 3.0210 -0.53%
2026-06-26 诺安优选回报混合C 3.0370 -1.36%
2026-06-25 诺安优选回报混合C 3.0790 -0.87%
2026-06-24 诺安优选回报混合C 3.1060 1.54%
2026-06-23 诺安优选回报混合C 3.0590 -0.23%
2026-06-22 诺安优选回报混合C 3.0660 0.62%
2026-06-18 诺安优选回报混合C 3.0470 1.94%
2026-06-17 诺安优选回报混合C 2.9890 0.17%
2026-06-16 诺安优选回报混合C 2.9840 1.50%
2026-06-15 诺安优选回报混合C 2.9400 3.81%
2026-06-12 诺安优选回报混合C 2.8320 0.89%
2026-06-11 诺安优选回报混合C 2.8070 1.15%
2026-06-10 诺安优选回报混合C 2.7750 -0.82%
2026-06-09 诺安优选回报混合C 2.7980 2.64%
2026-06-08 诺安优选回报混合C 2.7260 -2.99%
2026-06-05 诺安优选回报混合C 2.8100 0.54%
2026-06-04 诺安优选回报混合C 2.7950 -1.13%
2026-06-03 诺安优选回报混合C 2.8270 1.51%
2026-06-02 诺安优选回报混合C 2.7850 1.57%
2026-06-01 诺安优选回报混合C 2.7420 -2.07%
2026-05-29 诺安优选回报混合C 2.8000 -4.50%
2026-05-28 诺安优选回报混合C 2.9260 1.11%
2026-05-27 诺安优选回报混合C 2.8940 -1.30%
2026-05-26 诺安优选回报混合C 2.9320 -1.51%
2026-05-25 诺安优选回报混合C 2.9770 0.92%
2026-05-22 诺安优选回报混合C 2.9500 1.51%
2026-05-21 诺安优选回报混合C 2.9060 -3.93%
2026-05-20 诺安优选回报混合C 3.0250 1.20%
2026-05-19 诺安优选回报混合C 2.9890 1.81%
2026-05-18 诺安优选回报混合C 2.9360 -0.61%
2026-05-15 诺安优选回报混合C 2.9540 -0.24%
2026-05-14 诺安优选回报混合C 2.9610 -1.14%
2026-05-13 诺安优选回报混合C 2.9950 1.35%
2026-05-12 诺安优选回报混合C 2.9550 -0.14%
2026-05-11 诺安优选回报混合C 2.9590 2.00%
2026-05-08 诺安优选回报混合C 2.9010 -0.48%
2026-04-30 诺安优选回报混合C 2.8460 0.99%
2026-04-29 诺安优选回报混合C 2.8180 0.39%
2026-04-28 诺安优选回报混合C 2.8070 -0.21%
2026-04-27 诺安优选回报混合C 2.8130 1.41%
2026-04-24 诺安优选回报混合C 2.7740 0.65%
2026-04-23 诺安优选回报混合C 2.7560 -0.93%
2026-04-22 诺安优选回报混合C 2.7820 1.42%
2026-04-21 诺安优选回报混合C 2.7430 0.26%
2026-04-20 诺安优选回报混合C 2.7360 0.59%
2026-04-17 诺安优选回报混合C 2.7200 0.18%
2026-04-16 诺安优选回报混合C 2.7150 0.70%
2026-04-15 诺安优选回报混合C 2.6960 -0.70%
2026-04-14 诺安优选回报混合C 2.7150 1.76%
2026-04-13 诺安优选回报混合C 2.6680 -0.41%
2026-04-10 诺安优选回报混合C 2.6790 1.52%
2026-04-09 诺安优选回报混合C 2.6390 -0.26%
2026-04-08 诺安优选回报混合C 2.6460 4.13%
2026-04-07 诺安优选回报混合C 2.5410 0.67%
2026-04-03 诺安优选回报混合C 2.5240 -0.24%
2026-04-02 诺安优选回报混合C 2.5300 -1.17%
2026-04-01 诺安优选回报混合C 2.5600 2.52%
2026-03-31 诺安优选回报混合C 2.4970 -1.62%
2026-03-30 诺安优选回报混合C 2.5380 -0.63%
2026-03-27 诺安优选回报混合C 2.5540 1.96%
2026-03-26 诺安优选回报混合C 2.5050 -1.42%
2026-03-25 诺安优选回报混合C 2.5410 2.25%
2026-03-24 诺安优选回报混合C 2.4850 1.43%
2026-03-23 诺安优选回报混合C 2.4500 -3.73%
2026-03-20 诺安优选回报混合C 2.5450 -1.39%
2026-03-19 诺安优选回报混合C 2.5810 -3.56%
2026-03-18 诺安优选回报混合C 2.6730 1.10%
2026-03-17 诺安优选回报混合C 2.6440 -2.72%
2026-03-16 诺安优选回报混合C 2.7180 -1.06%
2026-03-13 诺安优选回报混合C 2.7470 -1.26%
2026-03-12 诺安优选回报混合C 2.7820 -0.64%
2026-03-11 诺安优选回报混合C 2.8000 -0.11%
2026-03-10 诺安优选回报混合C 2.8030 2.08%
2026-03-09 诺安优选回报混合C 2.7460 -2.00%
2026-03-06 诺安优选回报混合C 2.8020 0.72%
2026-03-05 诺安优选回报混合C 2.7820 1.83%
2026-03-04 诺安优选回报混合C 2.7320 -1.68%
2026-03-03 诺安优选回报混合C 2.7780 -3.81%
2026-03-02 诺安优选回报混合C 2.8880 -1.26%
2026-02-27 诺安优选回报混合C 2.9250 1.04%
2026-02-26 诺安优选回报混合C 2.8950 2.01%
2026-02-25 诺安优选回报混合C 2.8380 1.32%
2026-02-24 诺安优选回报混合C 2.8010 1.01%
2026-02-13 诺安优选回报混合C 2.7730 -0.93%
2026-02-12 诺安优选回报混合C 2.7990 1.34%
2026-02-11 诺安优选回报混合C 2.7620 -0.47%
2026-02-10 诺安优选回报混合C 2.7750 1.20%
2026-02-09 诺安优选回报混合C 2.7420 2.74%
2026-02-06 诺安优选回报混合C 2.6690 0.34%
2026-02-05 诺安优选回报混合C 2.6600 -1.30%
2026-02-04 诺安优选回报混合C 2.6950 1.20%
2026-02-03 诺安优选回报混合C 2.6630 2.82%
2026-02-02 诺安优选回报混合C 2.5900 -3.79%
2026-01-30 诺安优选回报混合C 2.6920 0.49%
2026-01-29 诺安优选回报混合C 2.6790 -0.92%
2026-01-28 诺安优选回报混合C 2.7040 -0.22%
2026-01-27 诺安优选回报混合C 2.7100 0.33%
2026-01-26 诺安优选回报混合C 2.7010 -2.78%
2026-01-23 诺安优选回报混合C 2.7760 0.98%
2026-01-22 诺安优选回报混合C 2.7490 -0.69%
2026-01-21 诺安优选回报混合C 2.7680 2.29%
2026-01-20 诺安优选回报混合C 2.7060 -0.77%
2026-01-19 诺安优选回报混合C 2.7270 1.19%
2026-01-16 诺安优选回报混合C 2.6950 -0.04%
2026-01-15 诺安优选回报混合C 2.6960 0.37%
2026-01-14 诺安优选回报混合C 2.6860 2.48%
2026-01-13 诺安优选回报混合C 2.6210 -0.87%
2026-01-12 诺安优选回报混合C 2.6440 -0.08%
2026-01-09 诺安优选回报混合C 2.6460 0.92%
2026-01-08 诺安优选回报混合C 2.6220 2.50%
2026-01-07 诺安优选回报混合C 2.5580 2.53%
2026-01-06 诺安优选回报混合C 2.4950 0.93%
2026-01-05 诺安优选回报混合C 2.4720 3.22%
旗下基金涨幅榜
基金名称 净值 增长率
中欧盛世E 1.8523 4.04%
中欧盛世C 1.7234 4.04%
西部利得科技创新混合A 1.5068 3.42%
西部利得科技创新混合C 1.4902 3.42%
广发新动力混合C 1.7772 3.16%
华安成长创新混合C 2.4316 2.99%
华安智能生活混合C 2.7233 2.87%
中银港股通医药混合发起A 1.4046 2.12%
中银港股通医药混合发起C 1.3808 2.12%
南方恒生生物科技ETF发起联接(QDII)I 1.2675 1.65%
混合型-灵活基金涨幅榜
基金名称 净值 增长率
交银科技创新灵活配置混合C 2.0840 1.55%
交银科技创新灵活配置混合A 2.1406 1.55%
前海联合泳隆混合A 1.3379 1.22%
前海联合泳隆混合C 1.3056 1.22%
交银稳健配置混合 0.7709 1.19%
建信灵活配置混合A 1.8541 1.05%
西部利得景瑞C 3.6680 1.05%
建信灵活配置混合C 1.8364 1.05%
西部利得景瑞A 3.7610 1.05%
华安媒体互联网混合C 3.6780 0.91%