热搜: 合作区 易方达国防军工混合A 长城安心回报混合A 汇添富医疗服务灵活配置混合A
今年以来恒生前海丰元兴瑞债券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026494净值及计算阶段收益
今年以来026494基金累计收益率-1.81%
净值日期 基金名称 净值 增长率
2026-09-16 0.9819 0.34%
2026-09-15 0.9786 -0.12%
2026-09-14 0.9798 -0.05%
2026-09-11 0.9803 -0.44%
2026-09-10 0.9846 -0.29%
2026-09-09 0.9875 0.04%
2026-09-08 0.9871 0.12%
2026-09-07 0.9859 -0.01%
2026-09-04 0.9860 -0.25%
2026-09-03 0.9885 0.14%
2026-09-02 0.9871 -0.30%
2026-09-01 0.9901 -0.27%
2026-08-31 0.9928 0.30%
2026-08-28 0.9898 -0.07%
2026-08-27 0.9905 0.47%
2026-08-26 0.9859 0.04%
2026-08-25 0.9855 -0.01%
2026-08-24 0.9856 -0.44%
2026-08-21 0.9900 0.05%
2026-08-20 0.9895 0.10%
2026-08-19 0.9885 -0.77%
2026-08-18 0.9962 0.06%
2026-08-17 0.9956 0.55%
2026-08-14 0.9902 0.15%
2026-08-13 0.9887 -0.28%
2026-08-12 0.9915 0.01%
2026-08-11 0.9914 -0.23%
2026-08-10 0.9937 0.11%
2026-08-07 0.9926 0.18%
2026-08-06 0.9908 0.06%
2026-08-05 0.9902 0.52%
2026-08-04 0.9851 0.23%
2026-08-03 0.9828 -0.11%
2026-07-31 0.9839 0.34%
2026-07-30 0.9806 -0.23%
2026-07-29 0.9829 0.30%
2026-07-28 0.9800 -0.43%
2026-07-27 0.9842 0.45%
2026-07-24 0.9798 -0.65%
2026-07-23 0.9862 0.39%
2026-07-22 0.9824 -0.13%
2026-07-21 0.9837 0.61%
2026-07-20 0.9777 -0.30%
2026-07-17 0.9806 -0.89%
2026-07-16 0.9894 -0.43%
2026-07-15 0.9937 -0.23%
2026-07-14 0.9960 0.41%
2026-07-13 0.9919 -0.75%
2026-07-10 0.9994 -0.22%
2026-07-09 1.0016 -0.01%
2026-07-08 1.0017 -0.52%
2026-07-07 1.0069 -0.51%
2026-07-06 1.0121 -0.06%
2026-07-03 1.0127 -0.02%
2026-07-02 1.0129 -0.52%
2026-07-01 1.0182 0.22%
2026-06-30 1.0160 0.20%
2026-06-29 1.0140 0.29%
2026-06-26 1.0111 -0.65%
2026-06-25 1.0177 0.20%
2026-06-24 1.0157 0.53%
2026-06-23 1.0103 -0.49%
2026-06-22 1.0153 0.66%
2026-06-18 1.0086 0.21%
2026-06-17 1.0065 0.47%
2026-06-16 1.0018 0.23%
2026-06-15 0.9995 0.60%
2026-06-12 0.9935 0.28%
2026-06-11 0.9907 -0.01%
2026-06-10 0.9908 -0.16%
2026-06-09 0.9924 0.54%
2026-06-08 0.9871 -0.61%
2026-06-05 0.9932 -0.38%
2026-06-04 0.9970 0.10%
2026-06-03 0.9960 0.06%
2026-06-02 0.9954 0.05%
2026-06-01 0.9949 -0.33%
2026-05-29 0.9982 -0.41%
2026-05-28 1.0023 -0.08%
2026-05-27 1.0031 -0.19%
2026-05-26 1.0050 -0.12%
2026-05-25 1.0062 0.13%
2026-05-22 1.0049 0.34%
2026-05-21 1.0015 -0.50%
2026-05-20 1.0065 0.29%
2026-05-19 1.0036 0.32%
2026-05-18 1.0004 0.00%
2026-05-15 1.0004 0.00%
2026-05-14 1.0004 0.00%
2026-05-13 1.0004 0.00%
2026-05-12 1.0004 0.00%
2026-05-11 1.0004 0.01%
2026-05-08 1.0003 0.00%
2026-04-30 1.0003 0.00%
2026-04-29 1.0003 0.01%
2026-04-28 1.0002 0.00%
2026-04-27 1.0002 0.00%
2026-04-24 1.0002 0.00%
2026-04-23 1.0002 0.00%
2026-04-22 1.0002 0.00%
2026-04-21 1.0002 0.00%
2026-04-20 1.0002 0.01%
2026-04-17 1.0001 0.00%
2026-04-16 1.0001 0.00%
2026-04-15 1.0001 0.00%
2026-04-14 1.0001 0.01%
2026-04-10 1.0000 0.00%
恒生前海基金旗下基金涨幅榜
基金名称 净值 增长率
恒生前海高端制造混合C 1.6342 4.58%
恒生前海高端制造混合A 1.6620 4.57%
恒生前海消费升级混合 1.7540 3.82%
恒生前海瑞丰混合A 0.7055 3.01%
恒生前海瑞丰混合C 0.7022 3.01%
恒生前海匠心精选混合A 0.8758 1.97%
恒生前海匠心精选混合C 0.8707 1.97%
恒生前海港股通精选混合 0.6647 1.90%
恒生前海沪港深新兴产业 1.6312 1.57%
恒生前海北证50成份指数增强A 0.7090 1.04%
债券型-混合二级基金涨幅榜
基金名称 净值 增长率
金鹰元丰债券D 1.8373 2.82%
金鹰元丰债券A 1.8361 2.82%
金鹰元丰债券C 1.7936 2.81%
国泰可转债债券A 1.9369 2.66%
国泰可转债债券D 1.9370 2.66%
民生加银增强收益债券E 1.8477 2.56%
民生强债A 1.8525 2.56%
民生强债C 1.7850 2.56%
东方可转债债券A 1.2485 2.09%
东方可转债债券C 1.2268 2.09%