热搜: 东方红 易方达信息产业混合A 海富通股票混合 工银核心价值混合A
今年以来光大阳光稳债收益12个月持有债券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
-
查询指定日期范围860033净值及计算阶段收益
今年以来860033基金累计收益率0.83%
净值日期 基金名称 净值 增长率
2025-11-28 1.1442 0.00%
2025-11-27 1.1442 0.00%
2025-11-26 1.1442 0.00%
2025-11-25 1.1442 0.00%
2025-11-24 1.1442 0.01%
2025-11-21 1.1441 0.00%
2025-11-20 1.1441 -0.02%
2025-11-19 1.1443 0.00%
2025-11-18 1.1443 0.01%
2025-11-17 1.1442 0.00%
2025-11-14 1.1442 0.00%
2025-11-13 1.1442 -0.01%
2025-11-12 1.1443 0.00%
2025-11-11 1.1443 -0.01%
2025-11-10 1.1444 -0.01%
2025-11-07 1.1445 0.00%
2025-11-06 1.1445 -0.01%
2025-11-05 1.1446 -0.03%
2025-11-04 1.1449 0.00%
2025-11-03 1.1449 0.01%
2025-10-31 1.1448 0.02%
2025-10-30 1.1446 0.02%
2025-10-29 1.1444 0.02%
2025-10-28 1.1442 0.04%
2025-10-27 1.1437 -0.01%
2025-10-24 1.1438 0.01%
2025-10-23 1.1437 0.00%
2025-10-22 1.1437 -0.01%
2025-10-21 1.1438 0.01%
2025-10-20 1.1437 0.00%
2025-10-17 1.1437 0.02%
2025-10-16 1.1435 0.00%
2025-10-15 1.1435 0.01%
2025-10-14 1.1434 0.01%
2025-10-13 1.1433 0.01%
2025-10-10 1.1432 0.00%
2025-10-09 1.1432 0.04%
2025-09-30 1.1428 0.04%
2025-09-29 1.1423 -0.03%
2025-09-26 1.1426 0.03%
2025-09-25 1.1423 0.01%
2025-09-24 1.1422 -0.01%
2025-09-23 1.1423 0.00%
2025-09-22 1.1423 0.01%
2025-09-19 1.1422 -0.02%
2025-09-18 1.1424 0.00%
2025-09-17 1.1424 0.02%
2025-09-16 1.1422 0.02%
2025-09-15 1.1420 0.02%
2025-09-12 1.1418 0.00%
2025-09-11 1.1418 0.00%
2025-09-10 1.1418 0.00%
2025-09-09 1.1418 0.00%
2025-09-08 1.1418 -0.01%
2025-09-05 1.1419 0.01%
2025-09-04 1.1418 0.02%
2025-09-03 1.1416 0.00%
2025-09-02 1.1416 0.00%
2025-09-01 1.1416 0.02%
2025-08-29 1.1414 0.00%
2025-08-28 1.1414 -0.01%
2025-08-27 1.1415 0.01%
2025-08-26 1.1414 0.01%
2025-08-25 1.1413 0.03%
2025-08-22 1.1410 -0.01%
2025-08-21 1.1411 -0.02%
2025-08-20 1.1413 -0.01%
2025-08-19 1.1414 -0.01%
2025-08-18 1.1415 -0.05%
2025-08-15 1.1421 -0.02%
2025-08-14 1.1423 0.00%
2025-08-13 1.1423 0.00%
2025-08-12 1.1423 -0.02%
2025-08-11 1.1425 -0.03%
2025-08-08 1.1429 0.02%
2025-08-07 1.1427 0.00%
2025-08-06 1.1427 0.03%
2025-08-05 1.1424 -0.01%
2025-08-04 1.1425 0.00%
2025-08-01 1.1425 0.02%
2025-07-31 1.1423 0.03%
2025-07-30 1.1420 0.06%
2025-07-29 1.1413 -0.09%
2025-07-28 1.1423 0.04%
2025-07-25 1.1419 -0.03%
2025-07-24 1.1422 -0.06%
2025-07-23 1.1429 -0.06%
2025-07-22 1.1436 -0.03%
2025-07-21 1.1439 -0.03%
2025-07-18 1.1443 0.00%
2025-07-17 1.1443 0.02%
2025-07-16 1.1441 0.00%
2025-07-15 1.1441 0.04%
2025-07-14 1.1436 -0.03%
2025-07-11 1.1439 -0.03%
2025-07-10 1.1442 -0.05%
2025-07-09 1.1448 0.01%
2025-07-08 1.1447 -0.03%
2025-07-07 1.1450 0.02%
2025-07-04 1.1448 0.02%
2025-07-03 1.1446 0.02%
2025-07-02 1.1444 0.03%
2025-07-01 1.1441 0.02%
2025-06-30 1.1439 -0.02%
2025-06-27 1.1441 0.02%
2025-06-26 1.1439 0.03%
2025-06-25 1.1436 -0.03%
2025-06-24 1.1439 -0.03%
2025-06-23 1.1443 0.01%
2025-06-20 1.1442 0.03%
2025-06-19 1.1439 0.01%
2025-06-18 1.1438 0.01%
2025-06-17 1.1437 0.03%
2025-06-16 1.1434 0.01%
2025-06-13 1.1433 0.00%
2025-06-12 1.1433 0.00%
2025-06-11 1.1433 0.04%
2025-06-10 1.1428 0.01%
2025-06-09 1.1427 0.03%
2025-06-06 1.1424 0.04%
2025-06-05 1.1419 0.02%
2025-06-04 1.1417 0.00%
2025-06-03 1.1417 0.00%
2025-05-30 1.1417 0.07%
2025-05-29 1.1409 -0.05%
2025-05-28 1.1415 -0.03%
2025-05-27 1.1418 -0.01%
2025-05-26 1.1419 0.02%
2025-05-23 1.1417 -0.01%
2025-05-22 1.1418 0.02%
2025-05-21 1.1416 0.01%
2025-05-20 1.1415 0.00%
2025-05-19 1.1415 0.03%
2025-05-16 1.1412 -0.02%
2025-05-15 1.1414 -0.01%
2025-05-14 1.1415 -0.02%
2025-05-13 1.1417 0.02%
2025-05-12 1.1415 -0.02%
2025-05-09 1.1417 0.04%
2025-05-08 1.1413 0.04%
2025-05-07 1.1408 0.00%
2025-05-06 1.1408 0.02%
2025-04-30 1.1406 0.02%
2025-04-29 1.1404 0.04%
2025-04-28 1.1400 0.01%
2025-04-25 1.1399 0.00%
2025-04-24 1.1399 0.00%
2025-04-23 1.1399 -0.03%
2025-04-22 1.1402 0.00%
2025-04-21 1.1402 -0.01%
2025-04-18 1.1403 0.00%
2025-04-17 1.1403 -0.02%
2025-04-16 1.1405 0.01%
2025-04-15 1.1404 0.00%
2025-04-14 1.1404 0.01%
2025-04-11 1.1403 0.02%
2025-04-10 1.1401 -0.01%
2025-04-09 1.1402 0.02%
2025-04-08 1.1400 -0.04%
2025-04-07 1.1404 0.15%
2025-04-03 1.1387 0.11%
2025-04-02 1.1374 0.03%
2025-04-01 1.1371 0.01%
2025-03-31 1.1370 -0.01%
2025-03-28 1.1371 0.00%
2025-03-27 1.1371 0.02%
2025-03-26 1.1369 0.03%
2025-03-25 1.1366 0.02%
2025-03-24 1.1364 0.01%
2025-03-21 1.1363 0.02%
2025-03-20 1.1361 0.04%
2025-03-19 1.1356 0.01%
2025-03-18 1.1355 0.03%
2025-03-17 1.1352 -0.06%
2025-03-14 1.1359 0.02%
2025-03-13 1.1357 0.46%
2025-03-12 1.1305 0.06%
2025-03-11 1.1298 -0.11%
2025-03-10 1.1311 -0.02%
2025-03-07 1.1313 -0.17%
2025-03-06 1.1332 -0.04%
2025-03-05 1.1337 0.03%
2025-03-04 1.1334 0.01%
2025-03-03 1.1333 0.04%
2025-02-28 1.1328 0.04%
2025-02-27 1.1324 -0.04%
2025-02-26 1.1329 -0.01%
2025-02-25 1.1330 0.00%
2025-02-24 1.1330 -0.10%
2025-02-21 1.1341 -0.07%
2025-02-20 1.1349 -0.04%
2025-02-19 1.1353 0.01%
2025-02-18 1.1352 -0.06%
2025-02-17 1.1359 -0.04%
2025-02-14 1.1363 -0.04%
2025-02-13 1.1367 0.00%
2025-02-12 1.1367 -0.01%
2025-02-11 1.1368 0.02%
2025-02-10 1.1366 -0.02%
2025-02-07 1.1368 0.00%
2025-02-06 1.1368 0.04%
2025-02-05 1.1364 0.04%
2025-01-27 1.1359 0.08%
2025-01-24 1.1350 0.00%
2025-01-23 1.1350 -0.02%
2025-01-22 1.1352 -0.01%
2025-01-21 1.1353 0.02%
2025-01-20 1.1351 -0.01%
2025-01-17 1.1352 -0.03%
2025-01-16 1.1355 -0.03%
2025-01-15 1.1358 0.02%
2025-01-14 1.1356 0.00%
2025-01-13 1.1356 -0.03%
2025-01-10 1.1359 -0.01%
2025-01-09 1.1360 -0.05%
2025-01-08 1.1366 0.00%
2025-01-07 1.1366 -0.01%
2025-01-06 1.1367 0.01%
2025-01-03 1.1366 0.06%
2025-01-02 1.1359 0.10%
旗下基金涨幅榜
基金名称 净值 增长率
汇添富中证红利ETF发起式联接C 1.0795 0.76%
汇添富中证红利ETF发起式联接A 1.0811 0.75%
华宝红利精选混合C 1.3539 0.68%
华宝安享混合C 1.1646 0.28%
华宝安享混合A 1.1688 0.27%
汇添富稳兴回报债券发起式A 1.0583 0.21%
汇添富稳兴回报债券发起式C 1.0512 0.21%
汇添富恒生指数(QDII-LOF)C 1.1805 0.13%
华宝宝隆债券A 1.0485 0.05%
华宝宝隆债券C 1.0464 0.05%
债券型-混合一级基金涨幅榜
基金名称 净值 增长率
汇添富鑫福债 1.1762 0.08%
汇添富稳宏6个月持有债券A 1.0423 0.04%
汇添富稳宏6个月持有债券C 1.0375 0.04%
汇添富鑫永定开债A 1.0404 0.03%
汇添富长添利定期开放债券A 1.0473 0.01%
汇添富长添利定期开放债券C 1.0344 0.01%
华宝可转债债券A 1.8952 0.00%
华宝可转债债券C 1.8674 -0.01%
华宝可转债债券D 1.8952 -0.01%
民生鑫享债券C 1.1986 1.93%