热搜: 产油国 广发聚丰混合A 工银核心价值混合A 景顺长城资源垄断混合
近半年创金合信上证科创板综合指数增强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
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查询指定日期范围026888净值及计算阶段收益
近半年026888基金累计收益率0%
净值日期 基金名称 净值 增长率
2026-09-16 1.0382 3.13%
2026-09-15 1.0067 0.46%
2026-09-14 1.0021 -0.52%
2026-09-11 1.0073 -1.28%
2026-09-10 1.0204 -1.02%
2026-09-09 1.0309 -0.59%
2026-09-08 1.0370 -0.89%
2026-09-07 1.0463 2.13%
2026-09-04 1.0245 -2.06%
2026-09-03 1.0461 0.11%
2026-09-02 1.0449 -1.21%
2026-09-01 1.0577 -2.22%
2026-08-31 1.0817 1.45%
2026-08-28 1.0662 -1.36%
2026-08-27 1.0809 3.48%
2026-08-26 1.0446 0.18%
2026-08-25 1.0427 0.17%
2026-08-24 1.0409 -2.80%
2026-08-21 1.0709 0.55%
2026-08-20 1.0650 0.80%
2026-08-19 1.0566 -6.59%
2026-08-18 1.1311 -0.34%
2026-08-17 1.1350 3.73%
2026-08-14 1.0942 0.79%
2026-08-13 1.0856 -0.54%
2026-08-12 1.0915 1.26%
2026-08-11 1.0779 -0.41%
2026-08-10 1.0823 -0.92%
2026-08-07 1.0923 3.46%
2026-08-06 1.0558 1.21%
2026-08-05 1.0432 4.42%
2026-08-04 0.9990 4.99%
2026-08-03 0.9515 -3.47%
2026-07-31 0.9845 3.61%
2026-07-30 0.9502 -5.49%
2026-07-29 1.0054 -0.19%
2026-07-28 1.0073 -6.09%
2026-07-27 1.0726 3.37%
2026-07-24 1.0376 -0.74%
2026-07-23 1.0453 -1.96%
2026-07-22 1.0658 -1.98%
2026-07-21 1.0873 7.96%
2026-07-20 1.0071 -3.60%
2026-07-17 1.0434 -6.67%
2026-07-16 1.1180 -2.38%
2026-07-15 1.1453 -2.09%
2026-07-14 1.1698 1.83%
2026-07-13 1.1488 -3.54%
2026-07-10 1.1909 -3.19%
2026-07-09 1.2301 3.92%
2026-07-08 1.1837 -0.70%
2026-07-07 1.1920 -0.86%
2026-07-06 1.2024 -0.23%
2026-07-03 1.2052 -0.22%
2026-07-02 1.2079 -3.69%
2026-07-01 1.2542 -1.39%
2026-06-30 1.2719 3.16%
2026-06-29 1.2329 1.18%
2026-06-26 1.2185 -1.73%
2026-06-25 1.2399 1.86%
2026-06-24 1.2172 2.11%
2026-06-23 1.1920 -1.16%
2026-06-22 1.2060 0.86%
2026-06-18 1.1957 2.44%
2026-06-17 1.1672 2.18%
2026-06-16 1.1423 0.95%
2026-06-15 1.1316 4.51%
2026-06-12 1.0828 0.45%
2026-06-11 1.0780 0.84%
2026-06-10 1.0690 -0.50%
2026-06-09 1.0744 3.48%
2026-06-08 1.0383 -2.99%
2026-06-05 1.0703 -2.34%
2026-06-04 1.0960 0.69%
2026-06-03 1.0885 1.71%
2026-06-02 1.0702 1.19%
2026-06-01 1.0576 -2.97%
2026-05-29 1.0900 -3.27%
2026-05-28 1.1269 1.14%
2026-05-27 1.1142 -1.82%
2026-05-26 1.1348 -1.10%
2026-05-25 1.1474 2.64%
2026-05-22 1.1179 1.77%
2026-05-21 1.0985 -3.36%
2026-05-20 1.1367 1.79%
2026-05-19 1.1167 1.80%
2026-05-18 1.0970 0.93%
2026-05-15 1.0869 -1.06%
2026-05-14 1.0985 -1.87%
2026-05-13 1.1194 1.91%
2026-05-12 1.0984 0.25%
2026-05-11 1.0957 3.08%
2026-05-08 1.0630 -1.50%
2026-04-30 1.0373 2.69%
2026-04-24 1.0094 0.00%
2026-04-17 1.0094 0.94%
2026-04-10 1.0000 100.00%
创金合信基金旗下基金涨幅榜
基金名称 净值 增长率
创金合信专精特新股票发起A 3.3283 0.81%
创金合信专精特新股票发起C 3.2521 0.81%
创金合信大健康混合A 0.6225 0.78%
创金合信大健康混合C 0.6083 0.78%
创金合信工业周期股票A 2.0611 0.73%
创金合信工业周期股票C 1.9463 0.72%
创金合信医药优选3个月持有期混合A 0.8420 0.53%
创金合信医药优选3个月持有期混合C 0.8218 0.53%
创金合信气候变化责任投资股票A 1.4484 0.33%
创金合信气候变化责任投资股票C 1.4156 0.33%
指数型-股票基金涨幅榜
基金名称 净值 增长率
粮食ETF广发 1.2154 2.44%
博时国证粮食产业ETF发起式联接A 1.0318 2.43%
博时国证粮食产业ETF发起式联接C 1.0241 2.43%
粮食ETF鹏华 0.9414 2.43%
鹏华国证粮食产业ETF发起式联接A 1.0361 2.37%
鹏华国证粮食产业ETF发起式联接C 1.0310 2.37%
鹏华国证粮食产业ETF发起式联接I 1.0041 2.37%
永赢中证港股通医疗主题ETF发起联接A 0.8927 1.88%
永赢中证港股通医疗主题ETF发起联接C 0.8908 1.88%
港股通创新药医疗ETF富国 1.2628 1.85%