热搜: 基金净值 港股开户 农银新能源主题 景顺能源 万家精选
各种基金交易渠道费用对比,最高相差300倍
近一年广发资管昭利中短债B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872016净值及计算阶段收益
近一年872016基金累计收益率3.18%
净值日期 基金名称 净值 增长率
2024-05-10 1.1398 0.02%
2024-05-09 1.1396 0.00%
2024-05-08 1.1396 0.03%
2024-05-07 1.1393 0.04%
2024-05-06 1.1389 0.05%
2024-04-30 1.1383 0.00%
2024-04-29 1.1383 -0.06%
2024-04-26 1.1390 -0.03%
2024-04-25 1.1393 0.00%
2024-04-24 1.1393 0.05%
2024-04-23 1.1387 0.02%
2024-04-22 1.1385 0.04%
2024-04-19 1.1381 0.03%
2024-04-18 1.1378 -0.04%
2024-04-17 1.1383 0.03%
2024-04-16 1.1380 0.02%
2024-04-15 1.1378 0.05%
2024-04-12 1.1372 0.03%
2024-04-11 1.1369 0.03%
2024-04-10 1.1366 0.04%
2024-04-09 1.1361 0.04%
2024-04-08 1.1357 0.05%
2024-04-03 1.1351 0.04%
2024-04-02 1.1347 0.02%
2024-04-01 1.1345 0.06%
2024-03-29 1.1338 0.01%
2024-03-28 1.1337 0.01%
2024-03-27 1.1336 -0.01%
2024-03-26 1.1337 0.00%
2024-03-25 1.1337 0.01%
2024-03-22 1.1336 0.02%
2024-03-21 1.1334 0.02%
2024-03-20 1.1332 0.02%
2024-03-19 1.1330 0.00%
2024-03-18 1.1330 0.04%
2024-03-15 1.1326 0.00%
2024-03-14 1.1326 -0.02%
2024-03-13 1.1328 -0.03%
2024-03-12 1.1331 0.00%
2024-03-11 1.1331 0.01%
2024-03-08 1.1330 0.01%
2024-03-07 1.1329 0.01%
2024-03-06 1.1328 0.00%
2024-03-05 1.1328 0.01%
2024-03-04 1.1327 0.02%
2024-03-01 1.1325 -0.01%
2024-02-29 1.1326 0.01%
2024-02-28 1.1325 0.01%
2024-02-27 1.1324 0.04%
2024-02-26 1.1320 0.04%
2024-02-23 1.1316 0.02%
2024-02-22 1.1314 0.03%
2024-02-21 1.1311 0.00%
2024-02-20 1.1311 0.02%
2024-02-19 1.1309 0.10%
2024-02-08 1.1298 -0.01%
2024-02-07 1.1299 0.00%
2024-02-06 1.1299 0.00%
2024-02-05 1.1299 0.03%
2024-02-02 1.1296 0.02%
2024-02-01 1.1294 0.02%
2024-01-31 1.1292 0.01%
2024-01-30 1.1291 0.04%
2024-01-29 1.1286 0.05%
2024-01-26 1.1280 0.01%
2024-01-25 1.1279 0.00%
2024-01-24 1.1279 0.00%
2024-01-23 1.1279 0.02%
2024-01-22 1.1277 0.02%
2024-01-19 1.1275 0.01%
2024-01-18 1.1274 0.02%
2024-01-17 1.1272 0.02%
2024-01-16 1.1270 0.01%
2024-01-15 1.1269 0.03%
2024-01-12 1.1266 0.01%
2024-01-11 1.1265 0.01%
2024-01-10 1.1264 0.02%
2024-01-09 1.1262 0.02%
2024-01-08 1.1260 0.04%
2024-01-05 1.1256 0.01%
2024-01-04 1.1255 0.00%
2024-01-03 1.1255 0.00%
2024-01-02 1.1255 0.04%
2023-12-29 1.1250 0.04%
2023-12-28 1.1245 0.04%
2023-12-27 1.1240 0.04%
2023-12-26 1.1236 0.02%
2023-12-25 1.1234 0.04%
2023-12-22 1.1230 0.03%
2023-12-21 1.1227 0.00%
2023-12-20 1.1227 0.01%
2023-12-19 1.1226 0.03%
2023-12-18 1.1223 0.03%
2023-12-15 1.1220 0.03%
2023-12-14 1.1217 0.03%
2023-12-13 1.1214 0.02%
2023-12-12 1.1212 0.00%
2023-12-11 1.1212 0.03%
2023-12-08 1.1209 0.00%
2023-12-07 1.1209 0.00%
2023-12-06 1.1209 -0.02%
2023-12-05 1.1211 0.00%
2023-12-04 1.1211 0.02%
2023-12-01 1.1209 0.01%
2023-11-30 1.1208 0.01%
2023-11-29 1.1207 0.00%
2023-11-28 1.1207 -0.01%
2023-11-27 1.1208 0.01%
2023-11-24 1.1207 0.00%
2023-11-23 1.1207 -0.01%
2023-11-22 1.1208 0.00%
2023-11-20 1.1209 0.03%
2023-11-17 1.1206 0.02%
2023-11-16 1.1204 0.01%
2023-11-15 1.1203 0.02%
2023-11-14 1.1201 0.01%
2023-11-13 1.1200 0.03%
2023-11-10 1.1197 0.00%
2023-11-09 1.1197 0.01%
2023-11-08 1.1196 0.00%
2023-11-07 1.1196 0.02%
2023-11-06 1.1194 0.02%
2023-11-03 1.1192 0.13%
2023-11-02 1.1178 0.00%
2023-11-01 1.1178 0.01%
2023-10-31 1.1177 0.00%
2023-10-30 1.1177 0.03%
2023-10-27 1.1174 0.01%
2023-10-26 1.1173 0.06%
2023-10-25 1.1166 -0.03%
2023-10-24 1.1169 0.00%
2023-10-23 1.1169 0.02%
2023-10-20 1.1167 -0.04%
2023-10-19 1.1171 0.00%
2023-10-18 1.1171 -0.01%
2023-10-17 1.1172 0.02%
2023-10-16 1.1170 0.01%
2023-10-13 1.1169 0.00%
2023-10-12 1.1169 -0.02%
2023-10-11 1.1171 -0.02%
2023-10-10 1.1173 0.00%
2023-10-09 1.1173 0.12%
2023-09-28 1.1160 0.04%
2023-09-27 1.1156 -0.01%
2023-09-26 1.1157 -0.02%
2023-09-25 1.1159 0.03%
2023-09-22 1.1156 0.00%
2023-09-21 1.1156 0.04%
2023-09-20 1.1152 0.01%
2023-09-19 1.1151 0.01%
2023-09-18 1.1150 -0.01%
2023-09-15 1.1151 0.01%
2023-09-14 1.1150 0.04%
2023-09-13 1.1145 0.07%
2023-09-12 1.1137 0.01%
2023-09-11 1.1136 -0.05%
2023-09-08 1.1142 -0.04%
2023-09-07 1.1147 -0.05%
2023-09-06 1.1153 0.00%
2023-09-05 1.1153 -0.01%
2023-09-04 1.1154 0.02%
2023-09-01 1.1152 0.02%
2023-08-31 1.1150 0.01%
2023-08-30 1.1149 -0.01%
2023-08-29 1.1150 -0.01%
2023-08-28 1.1151 -0.01%
2023-08-25 1.1152 0.01%
2023-08-24 1.1151 0.01%
2023-08-23 1.1150 -0.01%
2023-08-22 1.1151 0.01%
2023-08-21 1.1150 0.02%
2023-08-18 1.1148 0.00%
2023-08-17 1.1148 0.01%
2023-08-16 1.1147 0.02%
2023-08-15 1.1145 0.04%
2023-08-14 1.1141 0.04%
2023-08-11 1.1137 0.02%
2023-08-10 1.1135 0.01%
2023-08-09 1.1134 0.02%
2023-08-08 1.1132 0.04%
2023-08-07 1.1128 0.04%
2023-08-04 1.1123 0.02%
2023-08-03 1.1121 0.02%
2023-08-02 1.1119 0.01%
2023-08-01 1.1118 0.01%
2023-07-31 1.1117 0.00%
2023-07-28 1.1117 -0.01%
2023-07-27 1.1118 0.02%
2023-07-26 1.1116 -0.01%
2023-07-25 1.1117 -0.07%
2023-07-24 1.1125 0.03%
2023-07-21 1.1122 0.03%
2023-07-20 1.1119 0.01%
2023-07-19 1.1118 0.03%
2023-07-18 1.1115 0.02%
2023-07-17 1.1113 0.04%
2023-07-14 1.1109 0.01%
2023-07-13 1.1108 -0.01%
2023-07-12 1.1109 0.01%
2023-07-11 1.1108 0.03%
2023-07-10 1.1105 0.03%
2023-07-07 1.1102 0.02%
2023-07-06 1.1100 0.02%
2023-07-05 1.1098 0.03%
2023-07-04 1.1095 0.02%
2023-07-03 1.1093 0.04%
2023-06-30 1.1089 0.04%
2023-06-29 1.1085 -0.01%
2023-06-28 1.1086 0.01%
2023-06-27 1.1085 -0.01%
2023-06-26 1.1086 0.02%
2023-06-21 1.1084 0.02%
2023-06-20 1.1082 0.02%
2023-06-19 1.1080 -0.05%
2023-06-16 1.1086 -0.05%
2023-06-15 1.1092 -0.01%
2023-06-14 1.1093 0.03%
2023-06-13 1.1090 0.03%
2023-06-12 1.1087 0.02%
2023-06-09 1.1085 0.02%
2023-06-08 1.1083 0.00%
2023-06-07 1.1083 0.03%
2023-06-06 1.1080 0.02%
2023-06-05 1.1078 0.03%
2023-06-02 1.1075 -0.01%
2023-06-01 1.1076 0.04%
2023-05-31 1.1072 0.02%
2023-05-30 1.1070 0.02%
2023-05-29 1.1068 0.03%
2023-05-26 1.1065 0.00%
2023-05-25 1.1065 0.00%
2023-05-24 1.1065 0.01%
2023-05-23 1.1064 0.05%
2023-05-22 1.1059 0.05%
2023-05-19 1.1054 0.02%
2023-05-18 1.1052 0.01%
2023-05-17 1.1051 0.00%
2023-05-16 1.1051 0.00%
2023-05-15 1.1051 0.02%
2023-05-12 1.1049 0.02%
2023-05-11 1.1047 0.03%
旗下基金涨幅榜
基金名称 净值 增长率
港股非银 0.9671 5.17%
招商远见回报3年定开混合 1.0374 4.99%
广发中证港股通非银ETF发起式联接A 1.0737 4.84%
广发中证港股通非银ETF发起式联接C 1.0728 4.84%
红利央企 1.1152 4.62%
华夏中证港股通内地金融ETF发起式联接A 1.1724 4.57%
招商沪深300地产等权重指数C 0.3779 4.57%
华夏中证港股通内地金融ETF发起式联接C 1.1711 4.56%
港股分红 1.0420 4.56%
地产ETF 0.5979 4.29%
债券型-中短债基金涨幅榜
基金名称 净值 增长率
景顺长城60天持有期债券A 1.0067 0.20%
景顺长城60天持有期债券C 1.0064 0.20%
长江安盈中短债六个月定开A 1.1112 0.14%
长江安盈中短债六个月定开C 1.1109 0.14%
泰康安泓纯债一年定开债券 1.0243 0.10%
易方达安丰六个月持有债券A 1.0016 0.08%
易方达安丰六个月持有债券C 1.0014 0.07%
鹏华3个月中短债E 1.0026 0.07%
嘉实6个月理财债券E 1.0128 0.07%
鹏华中短债3个月定开债券A 1.1846 0.07%