热搜: 小盘股基金 诺德新生活混合C 鹏华碳中和主题混合C 华商优势行业混合
今年以来海通安润90天滚动持有中短债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
-
查询指定日期范围970134净值及计算阶段收益
今年以来970134基金累计收益率1.75%
净值日期 基金名称 净值 增长率
2025-11-18 1.1433 0.00%
2025-11-17 1.1433 0.01%
2025-11-14 1.1432 0.01%
2025-11-13 1.1431 0.00%
2025-11-12 1.1431 0.01%
2025-11-11 1.1430 0.00%
2025-11-10 1.1430 0.02%
2025-11-07 1.1428 0.00%
2025-11-06 1.1428 -0.01%
2025-11-05 1.1429 0.02%
2025-11-04 1.1427 -0.03%
2025-11-03 1.1430 0.01%
2025-10-31 1.1429 0.04%
2025-10-30 1.1424 0.01%
2025-10-29 1.1423 0.05%
2025-10-28 1.1417 0.02%
2025-10-27 1.1415 0.02%
2025-10-24 1.1413 0.02%
2025-10-23 1.1411 0.00%
2025-10-22 1.1411 -0.03%
2025-10-21 1.1414 0.04%
2025-10-20 1.1410 -0.02%
2025-10-17 1.1412 0.01%
2025-10-16 1.1411 0.00%
2025-10-15 1.1411 -0.01%
2025-10-14 1.1412 -0.01%
2025-10-13 1.1413 0.06%
2025-10-10 1.1406 0.01%
2025-10-09 1.1405 0.04%
2025-09-30 1.1400 0.03%
2025-09-29 1.1397 0.04%
2025-09-26 1.1393 0.00%
2025-09-25 1.1393 0.00%
2025-09-24 1.1393 -0.02%
2025-09-23 1.1395 -0.04%
2025-09-22 1.1399 -0.01%
2025-09-19 1.1400 -0.04%
2025-09-18 1.1404 -0.04%
2025-09-17 1.1409 0.04%
2025-09-16 1.1404 0.01%
2025-09-15 1.1403 -0.02%
2025-09-12 1.1405 -0.01%
2025-09-11 1.1406 0.06%
2025-09-10 1.1399 -0.05%
2025-09-09 1.1405 -0.05%
2025-09-08 1.1411 0.01%
2025-09-05 1.1410 0.11%
2025-09-04 1.1398 0.05%
2025-09-03 1.1392 0.04%
2025-09-02 1.1388 -0.02%
2025-09-01 1.1390 -0.04%
2025-08-29 1.1395 0.01%
2025-08-28 1.1394 -0.01%
2025-08-27 1.1395 -0.13%
2025-08-26 1.1410 0.01%
2025-08-25 1.1409 0.04%
2025-08-22 1.1404 0.04%
2025-08-21 1.1399 0.03%
2025-08-20 1.1396 0.01%
2025-08-19 1.1395 0.00%
2025-08-18 1.1395 -0.01%
2025-08-15 1.1396 0.02%
2025-08-14 1.1394 -0.02%
2025-08-13 1.1396 0.01%
2025-08-12 1.1395 -0.02%
2025-08-11 1.1397 0.03%
2025-08-08 1.1394 0.01%
2025-08-07 1.1393 0.01%
2025-08-06 1.1392 0.04%
2025-08-05 1.1388 0.05%
2025-08-04 1.1382 0.04%
2025-08-01 1.1377 0.01%
2025-07-31 1.1376 0.04%
2025-07-30 1.1372 0.04%
2025-07-29 1.1368 -0.05%
2025-07-28 1.1374 0.04%
2025-07-25 1.1369 -0.03%
2025-07-24 1.1372 -0.02%
2025-07-23 1.1374 0.01%
2025-07-22 1.1373 0.02%
2025-07-21 1.1371 0.01%
2025-07-18 1.1370 0.01%
2025-07-17 1.1369 0.04%
2025-07-16 1.1364 0.03%
2025-07-15 1.1361 0.02%
2025-07-14 1.1359 0.00%
2025-07-11 1.1359 -0.01%
2025-07-10 1.1360 0.01%
2025-07-09 1.1359 -0.02%
2025-07-08 1.1361 0.00%
2025-07-07 1.1361 0.02%
2025-07-04 1.1359 0.03%
2025-07-03 1.1356 0.03%
2025-07-02 1.1353 0.02%
2025-07-01 1.1351 0.04%
2025-06-30 1.1347 0.02%
2025-06-27 1.1345 0.03%
2025-06-26 1.1342 -0.01%
2025-06-25 1.1343 0.03%
2025-06-24 1.1340 0.01%
2025-06-23 1.1339 0.03%
2025-06-20 1.1336 0.02%
2025-06-19 1.1334 -0.01%
2025-06-18 1.1335 0.02%
2025-06-17 1.1333 0.03%
2025-06-16 1.1330 0.04%
2025-06-13 1.1326 -0.02%
2025-06-12 1.1328 0.01%
2025-06-11 1.1327 0.04%
2025-06-10 1.1323 0.01%
2025-06-09 1.1322 0.05%
2025-06-06 1.1316 0.03%
2025-06-05 1.1313 0.02%
2025-06-04 1.1311 0.04%
2025-06-03 1.1306 0.03%
2025-05-30 1.1303 0.04%
2025-05-29 1.1298 -0.02%
2025-05-28 1.1300 0.00%
2025-05-27 1.1300 -0.02%
2025-05-26 1.1302 0.00%
2025-05-23 1.1302 -0.02%
2025-05-22 1.1304 0.00%
2025-05-21 1.1304 0.01%
2025-05-20 1.1303 0.02%
2025-05-19 1.1301 0.04%
2025-05-16 1.1297 -0.01%
2025-05-15 1.1298 -0.03%
2025-05-14 1.1301 0.01%
2025-05-13 1.1300 -0.02%
2025-05-12 1.1302 0.02%
2025-05-09 1.1300 0.01%
2025-05-08 1.1299 0.04%
2025-05-07 1.1294 -0.01%
2025-05-06 1.1295 0.06%
2025-04-30 1.1288 -0.01%
2025-04-29 1.1289 0.04%
2025-04-28 1.1284 0.03%
2025-04-25 1.1281 0.03%
2025-04-24 1.1278 -0.01%
2025-04-23 1.1279 0.00%
2025-04-22 1.1279 0.03%
2025-04-21 1.1276 -0.01%
2025-04-18 1.1277 0.01%
2025-04-17 1.1276 -0.02%
2025-04-16 1.1278 -0.01%
2025-04-15 1.1279 -0.01%
2025-04-14 1.1280 0.02%
2025-04-11 1.1278 0.02%
2025-04-10 1.1276 0.02%
2025-04-09 1.1274 0.01%
2025-04-08 1.1273 0.02%
2025-04-07 1.1271 -0.07%
2025-04-03 1.1279 0.05%
2025-04-02 1.1273 0.04%
2025-04-01 1.1268 0.04%
2025-03-31 1.1264 -0.04%
2025-03-28 1.1268 -0.02%
2025-03-27 1.1270 0.02%
2025-03-26 1.1268 0.04%
2025-03-25 1.1264 0.08%
2025-03-24 1.1255 -0.02%
2025-03-21 1.1257 -0.06%
2025-03-20 1.1264 0.06%
2025-03-19 1.1257 -0.03%
2025-03-18 1.1260 0.02%
2025-03-17 1.1258 -0.06%
2025-03-14 1.1265 0.01%
2025-03-13 1.1264 0.01%
2025-03-12 1.1263 0.04%
2025-03-11 1.1258 -0.07%
2025-03-10 1.1266 0.00%
2025-03-07 1.1266 -0.01%
2025-03-06 1.1267 0.04%
2025-03-05 1.1262 0.03%
2025-03-04 1.1259 0.02%
2025-03-03 1.1257 -0.01%
2025-02-28 1.1258 -0.04%
2025-02-27 1.1262 -0.02%
2025-02-26 1.1264 0.04%
2025-02-25 1.1259 -0.04%
2025-02-24 1.1263 -0.03%
2025-02-21 1.1266 0.01%
2025-02-20 1.1265 -0.04%
2025-02-19 1.1270 0.05%
2025-02-18 1.1264 0.01%
2025-02-17 1.1263 0.02%
2025-02-14 1.1261 0.01%
2025-02-13 1.1260 0.00%
2025-02-12 1.1260 0.00%
2025-02-11 1.1260 -0.02%
2025-02-10 1.1262 0.03%
2025-02-07 1.1259 0.04%
2025-02-06 1.1255 0.03%
2025-02-05 1.1252 0.04%
2025-01-27 1.1247 0.05%
2025-01-24 1.1241 0.01%
2025-01-23 1.1240 0.01%
2025-01-22 1.1239 -0.01%
2025-01-21 1.1240 0.03%
2025-01-20 1.1237 0.02%
2025-01-17 1.1235 0.00%
2025-01-16 1.1235 -0.02%
2025-01-15 1.1237 0.03%
2025-01-14 1.1234 0.04%
2025-01-13 1.1229 -0.05%
2025-01-10 1.1235 -0.02%
2025-01-09 1.1237 -0.01%
2025-01-08 1.1238 -0.01%
2025-01-07 1.1239 0.01%
2025-01-06 1.1238 0.01%
2025-01-03 1.1237 0.02%
2025-01-02 1.1235 0.04%
旗下基金涨幅榜
基金名称 净值 增长率
申万菱信新能源汽车主题灵活配置混合C 2.4980 5.45%
国投瑞银白银期货(LOF)C 2.0306 5.21%
华富策略精选混合C 1.9617 4.39%
华宝资源优选混合C 5.5410 4.31%
华西优选价值混合发起A 1.3110 4.25%
华西优选价值混合发起C 1.3102 4.25%
国泰科创板两年定期开放混合 1.3485 4.23%
东财景气驱动混合发起式A 1.4658 4.16%
东财景气驱动混合发起式C 1.4482 4.16%
银河核心优势混合C 0.9407 4.09%
债券型-混合一级基金涨幅榜
基金名称 净值 增长率
江信聚福 1.3150 1.05%
江信一年定开 1.2441 1.02%
新华安享惠金定期债券E 1.0868 0.99%
新华安享惠金A 1.0309 0.99%
新华安享惠金C 1.0147 0.99%
长盛元赢四个月定开债券 1.1411 0.56%
国寿安保安吉纯债半年定开债券发起式 1.0408 0.46%
长盛元赢六个月定开债券 1.0611 0.44%
长信金葵纯债A 1.1475 0.44%
长信金葵纯债C 1.1460 0.43%