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華夏大盤精選混合A(華夏大盤)基金凈值查詢(000011)

今天最新凈值 14.7190 -0.0750 -0.5100% 2025-05-23
盤中實時估值(僅供參考) 14.5891 -0.1299 -0.8825%
  • 累計凈值:21.9750
  • 成立日期:2004-08-11
  • 基金類型:混合型-靈活
  • 成立份額:19.280億份
  • 最近份額:2.4505億
  • 最近資產(chǎn):36.14億元
  • 基金公司:華夏基金
  • 基金經(jīng)理:陳偉彥
近一季華夏大盤精選混合A|華夏大盤基金凈值查詢
基金歷史凈值按日期查詢: -
近一季,華夏大盤精選混合A(000011)基金累計收益率-5.40%
凈值日期 基金代碼 基金名稱 最新單位凈值 最新累計凈值 上期單位凈值 上期累計凈值 當日增長值 當日增長率
2025-05-23 000011 華夏大盤精選混合A 14.5930 21.8490 14.7190 21.9750 -0.1260 -0.86%
2025-05-22 000011 華夏大盤精選混合A 14.7190 21.9750 14.7940 22.0500 -0.0750 -0.51%
2025-05-21 000011 華夏大盤精選混合A 14.7940 22.0500 14.7480 22.0040 0.0460 0.31%
2025-05-20 000011 華夏大盤精選混合A 14.7480 22.0040 14.6910 21.9470 0.0570 0.39%
2025-05-19 000011 華夏大盤精選混合A 14.6910 21.9470 14.7130 21.9690 -0.0220 -0.15%
2025-05-16 000011 華夏大盤精選混合A 14.7130 21.9690 14.7190 21.9750 -0.0060 -0.04%
2025-05-15 000011 華夏大盤精選混合A 14.7190 21.9750 14.8860 22.1420 -0.1670 -1.12%
2025-05-14 000011 華夏大盤精選混合A 14.8860 22.1420 14.8460 22.1020 0.0400 0.27%
2025-05-13 000011 華夏大盤精選混合A 14.8460 22.1020 14.8810 22.1370 -0.0350 -0.24%
2025-05-12 000011 華夏大盤精選混合A 14.8810 22.1370 14.7210 21.9770 0.1600 1.09%
2025-05-09 000011 華夏大盤精選混合A 14.7210 21.9770 14.8080 22.0640 -0.0870 -0.59%
2025-05-08 000011 華夏大盤精選混合A 14.8080 22.0640 14.7370 21.9930 0.0710 0.48%
2025-05-07 000011 華夏大盤精選混合A 14.7370 21.9930 14.6800 21.9360 0.0570 0.39%
2025-05-06 000011 華夏大盤精選混合A 14.6800 21.9360 14.4900 21.7460 0.1900 1.31%
2025-04-30 000011 華夏大盤精選混合A 14.4900 21.7460 14.4650 21.7210 0.0250 0.17%
2025-04-29 000011 華夏大盤精選混合A 14.4650 21.7210 14.4390 21.6950 0.0260 0.18%
2025-04-28 000011 華夏大盤精選混合A 14.4390 21.6950 14.5240 21.7800 -0.0850 -0.59%
2025-04-25 000011 華夏大盤精選混合A 14.5240 21.7800 14.4860 21.7420 0.0380 0.26%
2025-04-24 000011 華夏大盤精選混合A 14.4860 21.7420 14.5760 21.8320 -0.0900 -0.62%
2025-04-23 000011 華夏大盤精選混合A 14.5760 21.8320 14.5290 21.7850 0.0470 0.32%
2025-04-22 000011 華夏大盤精選混合A 14.5290 21.7850 14.5310 21.7870 -0.0020 -0.01%
2025-04-21 000011 華夏大盤精選混合A 14.5310 21.7870 14.3660 21.6220 0.1650 1.15%
2025-04-18 000011 華夏大盤精選混合A 14.3660 21.6220 14.3830 21.6390 -0.0170 -0.12%
2025-04-17 000011 華夏大盤精選混合A 14.3830 21.6390 14.3840 21.6400 -0.0010 -0.01%
2025-04-16 000011 華夏大盤精選混合A 14.3840 21.6400 14.4070 21.6630 -0.0230 -0.16%
2025-04-15 000011 華夏大盤精選混合A 14.4070 21.6630 14.4650 21.7210 -0.0580 -0.40%
2025-04-14 000011 華夏大盤精選混合A 14.4650 21.7210 14.4310 21.6870 0.0340 0.24%
2025-04-11 000011 華夏大盤精選混合A 14.4310 21.6870 14.3570 21.6130 0.0740 0.52%
2025-04-10 000011 華夏大盤精選混合A 14.3570 21.6130 14.1180 21.3740 0.2390 1.69%
2025-04-09 000011 華夏大盤精選混合A 14.1180 21.3740 13.9400 21.1960 0.1780 1.28%
2025-04-08 000011 華夏大盤精選混合A 13.9400 21.1960 13.8580 21.1140 0.0820 0.59%
2025-04-07 000011 華夏大盤精選混合A 13.8580 21.1140 14.9050 22.1610 -1.0470 -7.02%
2025-04-03 000011 華夏大盤精選混合A 14.9050 22.1610 15.0770 22.3330 -0.1720 -1.14%
2025-04-02 000011 華夏大盤精選混合A 15.0770 22.3330 15.1050 22.3610 -0.0280 -0.19%
2025-04-01 000011 華夏大盤精選混合A 15.1050 22.3610 15.0690 22.3250 0.0360 0.24%
2025-03-31 000011 華夏大盤精選混合A 15.0690 22.3250 15.1250 22.3810 -0.0560 -0.37%
2025-03-28 000011 華夏大盤精選混合A 15.1250 22.3810 15.2270 22.4830 -0.1020 -0.67%
2025-03-27 000011 華夏大盤精選混合A 15.2270 22.4830 15.1930 22.4490 0.0340 0.22%
2025-03-26 000011 華夏大盤精選混合A 15.1930 22.4490 15.2160 22.4720 -0.0230 -0.15%
2025-03-25 000011 華夏大盤精選混合A 15.2160 22.4720 15.2670 22.5230 -0.0510 -0.33%
2025-03-24 000011 華夏大盤精選混合A 15.2670 22.5230 15.2040 22.4600 0.0630 0.41%
2025-03-21 000011 華夏大盤精選混合A 15.2040 22.4600 15.4240 22.6800 -0.2200 -1.43%
2025-03-20 000011 華夏大盤精選混合A 15.4240 22.6800 15.5290 22.7850 -0.1050 -0.68%
2025-03-19 000011 華夏大盤精選混合A 15.5290 22.7850 15.5580 22.8140 -0.0290 -0.19%
2025-03-18 000011 華夏大盤精選混合A 15.5580 22.8140 15.5100 22.7660 0.0480 0.31%
2025-03-17 000011 華夏大盤精選混合A 15.5100 22.7660 15.5610 22.8170 -0.0510 -0.33%
2025-03-14 000011 華夏大盤精選混合A 15.5610 22.8170 15.2470 22.5030 0.3140 2.06%
2025-03-13 000011 華夏大盤精選混合A 15.2470 22.5030 15.3680 22.6240 -0.1210 -0.79%
2025-03-12 000011 華夏大盤精選混合A 15.3680 22.6240 15.4500 22.7060 -0.0820 -0.53%
2025-03-11 000011 華夏大盤精選混合A 15.4500 22.7060 15.4510 22.7070 -0.0010 -0.01%
2025-03-10 000011 華夏大盤精選混合A 15.4510 22.7070 15.4680 22.7240 -0.0170 -0.11%
2025-03-07 000011 華夏大盤精選混合A 15.4680 22.7240 15.4870 22.7430 -0.0190 -0.12%
2025-03-06 000011 華夏大盤精選混合A 15.4870 22.7430 15.2250 22.4810 0.2620 1.72%
2025-03-05 000011 華夏大盤精選混合A 15.2250 22.4810 15.2010 22.4570 0.0240 0.16%
2025-03-04 000011 華夏大盤精選混合A 15.2010 22.4570 15.1360 22.3920 0.0650 0.43%
2025-03-03 000011 華夏大盤精選混合A 15.1360 22.3920 15.1250 22.3810 0.0110 0.07%
2025-02-28 000011 華夏大盤精選混合A 15.1250 22.3810 15.4650 22.7210 -0.3400 -2.20%
2025-02-27 000011 華夏大盤精選混合A 15.4650 22.7210 15.4870 22.7430 -0.0220 -0.14%
2025-02-26 000011 華夏大盤精選混合A 15.4870 22.7430 15.4060 22.6620 0.0810 0.53%
2025-02-25 000011 華夏大盤精選混合A 15.4060 22.6620 15.5890 22.8450 -0.1830 -1.17%
2025-02-24 000011 華夏大盤精選混合A 15.5890 22.8450 15.5600 22.8160 0.0290 0.19%
混合型-靈活基金漲幅榜
基金名稱 單位凈值 日增長率
北信健康 1.0890 2.25%
融通健康產(chǎn)業(yè)靈活配置混合A 2.5490 1.80%
融通健康產(chǎn)業(yè)靈活配置混合C 2.4850 1.76%
華富永鑫A 1.2441 1.62%
華富永鑫C 1.2091 1.61%
華夏磐晟LOF 1.6196 1.44%
華夏高端制造混合C 1.1260 1.35%
華夏高端制造混合A 1.1470 1.33%
前海金銀A 1.7760 1.25%
圓信永豐興源A 1.9602 1.22%