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金基速查 - 基金速查網(wǎng) - 開放式基金數(shù)據(jù)大全,每日基金凈值查詢

建信靈活配置混合A(建信安心保本)基金凈值查詢(000270)

今天最新凈值 1.3740 -0.0092 -0.6700% 2025-05-22
盤中實時估值(僅供參考) 1.3642 0.0051 0.3726%
近一年建信靈活配置混合A|建信安心保本基金凈值查詢
基金歷史凈值按日期查詢: -
近一年,建信靈活配置混合A(000270)基金累計收益率43.06%
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(dāng)日增長值 當(dāng)日增長率
2025-05-22 000270 建信靈活配置混合A 1.3591 2.0760 1.3740 2.0987 -0.0149 -1.08%
2025-05-21 000270 建信靈活配置混合A 1.3740 2.0987 1.3832 2.1128 -0.0092 -0.67%
2025-05-20 000270 建信靈活配置混合A 1.3832 2.1128 1.3687 2.0906 0.0145 1.06%
2025-05-19 000270 建信靈活配置混合A 1.3687 2.0906 1.3547 2.0692 0.0140 1.03%
2025-05-16 000270 建信靈活配置混合A 1.3547 2.0692 1.3448 2.0541 0.0099 0.74%
2025-05-15 000270 建信靈活配置混合A 1.3448 2.0541 1.3434 2.0520 0.0014 0.10%
2025-05-14 000270 建信靈活配置混合A 1.3434 2.0520 1.3490 2.0605 -0.0056 -0.42%
2025-05-13 000270 建信靈活配置混合A 1.3490 2.0605 1.3504 2.0627 -0.0014 -0.10%
2025-05-12 000270 建信靈活配置混合A 1.3504 2.0627 1.3420 2.0498 0.0084 0.63%
2025-05-09 000270 建信靈活配置混合A 1.3420 2.0498 1.3477 2.0585 -0.0057 -0.42%
2025-05-08 000270 建信靈活配置混合A 1.3477 2.0585 1.3305 2.0323 0.0172 1.29%
2025-05-07 000270 建信靈活配置混合A 1.3305 2.0323 1.3240 2.0223 0.0065 0.49%
2025-05-06 000270 建信靈活配置混合A 1.3240 2.0223 1.2993 1.9846 0.0247 1.90%
2025-04-30 000270 建信靈活配置混合A 1.2993 1.9846 1.2855 1.9635 0.0138 1.07%
2025-04-29 000270 建信靈活配置混合A 1.2855 1.9635 1.2664 1.9344 0.0191 1.51%
2025-04-28 000270 建信靈活配置混合A 1.2664 1.9344 1.2807 1.9562 -0.0143 -1.12%
2025-04-25 000270 建信靈活配置混合A 1.2807 1.9562 1.2763 1.9495 0.0044 0.34%
2025-04-24 000270 建信靈活配置混合A 1.2763 1.9495 1.2832 1.9600 -0.0069 -0.54%
2025-04-23 000270 建信靈活配置混合A 1.2832 1.9600 1.2702 1.9402 0.0130 1.02%
2025-04-22 000270 建信靈活配置混合A 1.2702 1.9402 1.2623 1.9281 0.0079 0.63%
2025-04-21 000270 建信靈活配置混合A 1.2623 1.9281 1.2463 1.9037 0.0160 1.28%
2025-04-18 000270 建信靈活配置混合A 1.2463 1.9037 1.2442 1.9004 0.0021 0.17%
2025-04-17 000270 建信靈活配置混合A 1.2442 1.9004 1.2297 1.8783 0.0145 1.18%
2025-04-16 000270 建信靈活配置混合A 1.2297 1.8783 1.2490 1.9078 -0.0193 -1.55%
2025-04-15 000270 建信靈活配置混合A 1.2490 1.9078 1.2415 1.8963 0.0075 0.60%
2025-04-14 000270 建信靈活配置混合A 1.2415 1.8963 1.2193 1.8624 0.0222 1.82%
2025-04-11 000270 建信靈活配置混合A 1.2193 1.8624 1.2086 1.8461 0.0107 0.89%
2025-04-10 000270 建信靈活配置混合A 1.2086 1.8461 1.1764 1.7969 0.0322 2.74%
2025-04-09 000270 建信靈活配置混合A 1.1764 1.7969 1.1463 1.7509 0.0301 2.63%
2025-04-08 000270 建信靈活配置混合A 1.1463 1.7509 1.1274 1.7220 0.0189 1.68%
2025-04-07 000270 建信靈活配置混合A 1.1274 1.7220 1.2786 1.9530 -0.1512 -11.83%
2025-04-03 000270 建信靈活配置混合A 1.2786 1.9530 1.2768 1.9502 0.0018 0.14%
2025-04-02 000270 建信靈活配置混合A 1.2768 1.9502 1.2713 1.9418 0.0055 0.43%
2025-04-01 000270 建信靈活配置混合A 1.2713 1.9418 1.2537 1.9150 0.0176 1.40%
2025-03-31 000270 建信靈活配置混合A 1.2537 1.9150 1.2631 1.9293 -0.0094 -0.74%
2025-03-28 000270 建信靈活配置混合A 1.2631 1.9293 1.2788 1.9533 -0.0157 -1.23%
2025-03-27 000270 建信靈活配置混合A 1.2788 1.9533 1.2843 1.9617 -0.0055 -0.43%
2025-03-26 000270 建信靈活配置混合A 1.2843 1.9617 1.2641 1.9308 0.0202 1.60%
2025-03-25 000270 建信靈活配置混合A 1.2641 1.9308 1.2611 1.9263 0.0030 0.24%
2025-03-24 000270 建信靈活配置混合A 1.2611 1.9263 1.2904 1.9710 -0.0293 -2.27%
2025-03-21 000270 建信靈活配置混合A 1.2904 1.9710 1.3064 1.9955 -0.0160 -1.22%
2025-03-20 000270 建信靈活配置混合A 1.3064 1.9955 1.3038 1.9915 0.0026 0.20%
2025-03-19 000270 建信靈活配置混合A 1.3038 1.9915 1.3097 2.0005 -0.0059 -0.45%
2025-03-18 000270 建信靈活配置混合A 1.3097 2.0005 1.3003 1.9861 0.0094 0.72%
2025-03-17 000270 建信靈活配置混合A 1.3003 1.9861 1.2897 1.9699 0.0106 0.82%
2025-03-14 000270 建信靈活配置混合A 1.2897 1.9699 1.2714 1.9420 0.0183 1.44%
2025-03-13 000270 建信靈活配置混合A 1.2714 1.9420 1.2794 1.9542 -0.0080 -0.63%
2025-03-12 000270 建信靈活配置混合A 1.2794 1.9542 1.2740 1.9460 0.0054 0.42%
2025-03-11 000270 建信靈活配置混合A 1.2740 1.9460 1.2688 1.9380 0.0052 0.41%
2025-03-10 000270 建信靈活配置混合A 1.2688 1.9380 1.2591 1.9232 0.0097 0.77%
2025-03-07 000270 建信靈活配置混合A 1.2591 1.9232 1.2654 1.9328 -0.0063 -0.50%
2025-03-06 000270 建信靈活配置混合A 1.2654 1.9328 1.2466 1.9041 0.0188 1.51%
2025-03-05 000270 建信靈活配置混合A 1.2466 1.9041 1.2496 1.9087 -0.0030 -0.24%
2025-03-04 000270 建信靈活配置混合A 1.2496 1.9087 1.2316 1.8812 0.0180 1.46%
2025-03-03 000270 建信靈活配置混合A 1.2316 1.8812 1.2229 1.8679 0.0087 0.71%
2025-02-28 000270 建信靈活配置混合A 1.2229 1.8679 1.2476 1.9056 -0.0247 -1.98%
2025-02-27 000270 建信靈活配置混合A 1.2476 1.9056 1.2432 1.8989 0.0044 0.35%
2025-02-26 000270 建信靈活配置混合A 1.2432 1.8989 1.2280 1.8757 0.0152 1.24%
2025-02-25 000270 建信靈活配置混合A 1.2280 1.8757 1.2338 1.8846 -0.0058 -0.47%
2025-02-24 000270 建信靈活配置混合A 1.2338 1.8846 1.2224 1.8671 0.0114 0.93%
2025-02-21 000270 建信靈活配置混合A 1.2224 1.8671 1.2237 1.8691 -0.0013 -0.11%
2025-02-20 000270 建信靈活配置混合A 1.2237 1.8691 1.2138 1.8540 0.0099 0.82%
2025-02-19 000270 建信靈活配置混合A 1.2138 1.8540 1.1945 1.8245 0.0193 1.62%
2025-02-18 000270 建信靈活配置混合A 1.1945 1.8245 1.2163 1.8578 -0.0218 -1.79%
2025-02-17 000270 建信靈活配置混合A 1.2163 1.8578 1.1981 1.8300 0.0182 1.52%
2025-02-14 000270 建信靈活配置混合A 1.1981 1.8300 1.1947 1.8248 0.0034 0.28%
2025-02-13 000270 建信靈活配置混合A 1.1947 1.8248 1.2105 1.8490 -0.0158 -1.31%
2025-02-12 000270 建信靈活配置混合A 1.2105 1.8490 1.2088 1.8464 0.0017 0.14%
2025-02-11 000270 建信靈活配置混合A 1.2088 1.8464 1.2118 1.8510 -0.0030 -0.25%
2025-02-10 000270 建信靈活配置混合A 1.2118 1.8510 1.1925 1.8215 0.0193 1.62%
2025-02-07 000270 建信靈活配置混合A 1.1925 1.8215 1.1896 1.8170 0.0029 0.24%
2025-02-06 000270 建信靈活配置混合A 1.1896 1.8170 1.1689 1.7854 0.0207 1.77%
2025-02-05 000270 建信靈活配置混合A 1.1689 1.7854 1.1578 1.7685 0.0111 0.96%
2025-01-27 000270 建信靈活配置混合A 1.1578 1.7685 1.1604 1.7724 -0.0026 -0.22%
2025-01-22 000270 建信靈活配置混合A 1.1410 1.7428 1.1466 1.7514 -0.0056 -0.49%
2025-01-14 000270 建信靈活配置混合A 1.1149 1.7029 1.0639 1.6250 0.0510 4.79%
2025-01-13 000270 建信靈活配置混合A 1.0639 1.6250 1.0552 1.6118 0.0087 0.82%
2025-01-10 000270 建信靈活配置混合A 1.0552 1.6118 1.0783 1.6470 -0.0231 -2.14%
2025-01-09 000270 建信靈活配置混合A 1.0783 1.6470 1.0748 1.6417 0.0035 0.33%
2025-01-08 000270 建信靈活配置混合A 1.0748 1.6417 1.0793 1.6486 -0.0045 -0.42%
2025-01-07 000270 建信靈活配置混合A 1.0793 1.6486 1.0494 1.6029 0.0299 2.85%
2025-01-06 000270 建信靈活配置混合A 1.0494 1.6029 1.0477 1.6003 0.0017 0.16%
2025-01-03 000270 建信靈活配置混合A 1.0477 1.6003 1.0869 1.6602 -0.0392 -3.61%
2025-01-02 000270 建信靈活配置混合A 1.0869 1.6602 1.1056 1.6887 -0.0187 -1.69%
2024-12-31 000270 建信靈活配置混合A 1.1056 1.6887 1.1297 1.7256 -0.0241 -2.13%
2024-12-26 000270 建信靈活配置混合A 1.1310 1.7275 1.1173 1.7066 0.0137 1.23%
2024-12-25 000270 建信靈活配置混合A 1.1173 1.7066 1.1427 1.7454 -0.0254 -2.22%
2024-12-24 000270 建信靈活配置混合A 1.1427 1.7454 1.1321 1.7292 0.0106 0.94%
2024-12-23 000270 建信靈活配置混合A 1.1321 1.7292 1.1831 1.8071 -0.0510 -4.31%
2024-12-20 000270 建信靈活配置混合A 1.1831 1.8071 1.1644 1.7786 0.0187 1.61%
2024-12-19 000270 建信靈活配置混合A 1.1644 1.7786 1.1629 1.7763 0.0015 0.13%
2024-12-18 000270 建信靈活配置混合A 1.1629 1.7763 1.1603 1.7723 0.0026 0.22%
2024-12-17 000270 建信靈活配置混合A 1.1603 1.7723 1.2116 1.8507 -0.0513 -4.23%
2024-12-16 000270 建信靈活配置混合A 1.2116 1.8507 1.2129 1.8526 -0.0013 -0.11%
2024-12-13 000270 建信靈活配置混合A 1.2129 1.8526 1.2284 1.8763 -0.0155 -1.26%
2024-12-12 000270 建信靈活配置混合A 1.2284 1.8763 1.2129 1.8526 0.0155 1.28%
2024-12-11 000270 建信靈活配置混合A 1.2129 1.8526 1.2076 1.8445 0.0053 0.44%
2024-12-10 000270 建信靈活配置混合A 1.2076 1.8445 1.2021 1.8361 0.0055 0.46%
2024-12-09 000270 建信靈活配置混合A 1.2021 1.8361 1.1989 1.8313 0.0032 0.27%
2024-12-06 000270 建信靈活配置混合A 1.1989 1.8313 1.1943 1.8242 0.0046 0.39%
2024-12-05 000270 建信靈活配置混合A 1.1943 1.8242 1.1849 1.8099 0.0094 0.79%
2024-12-04 000270 建信靈活配置混合A 1.1849 1.8099 1.1974 1.8290 -0.0125 -1.04%
2024-12-03 000270 建信靈活配置混合A 1.1974 1.8290 1.1864 1.8122 0.0110 0.93%
2024-12-02 000270 建信靈活配置混合A 1.1864 1.8122 1.1644 1.7786 0.0220 1.89%
2024-11-29 000270 建信靈活配置混合A 1.1644 1.7786 1.1488 1.7547 0.0156 1.36%
2024-11-28 000270 建信靈活配置混合A 1.1488 1.7547 1.1437 1.7469 0.0051 0.45%
2024-11-27 000270 建信靈活配置混合A 1.1437 1.7469 1.1254 1.7190 0.0183 1.63%
2024-11-26 000270 建信靈活配置混合A 1.1254 1.7190 1.1303 1.7265 -0.0049 -0.43%
2024-11-25 000270 建信靈活配置混合A 1.1303 1.7265 1.1088 1.6936 0.0215 1.94%
2024-11-22 000270 建信靈活配置混合A 1.1088 1.6936 1.1485 1.7543 -0.0397 -3.46%
2024-11-21 000270 建信靈活配置混合A 1.1485 1.7543 1.1403 1.7417 0.0082 0.72%
2024-11-20 000270 建信靈活配置混合A 1.1403 1.7417 1.1208 1.7120 0.0195 1.74%
2024-11-19 000270 建信靈活配置混合A 1.1208 1.7120 1.0928 1.6692 0.0280 2.56%
2024-11-18 000270 建信靈活配置混合A 1.0928 1.6692 1.1156 1.7040 -0.0228 -2.04%
2024-11-15 000270 建信靈活配置混合A 1.1156 1.7040 1.1312 1.7278 -0.0156 -1.38%
2024-11-14 000270 建信靈活配置混合A 1.1312 1.7278 1.1605 1.7726 -0.0293 -2.52%
2024-11-13 000270 建信靈活配置混合A 1.1605 1.7726 1.1519 1.7595 0.0086 0.75%
2024-11-12 000270 建信靈活配置混合A 1.1519 1.7595 1.1588 1.7700 -0.0069 -0.60%
2024-11-11 000270 建信靈活配置混合A 1.1588 1.7700 1.1290 1.7245 0.0298 2.64%
2024-11-08 000270 建信靈活配置混合A 1.1290 1.7245 1.1239 1.7167 0.0051 0.45%
2024-11-07 000270 建信靈活配置混合A 1.1239 1.7167 1.0991 1.6788 0.0248 2.26%
2024-11-06 000270 建信靈活配置混合A 1.0991 1.6788 1.0940 1.6710 0.0051 0.47%
2024-11-05 000270 建信靈活配置混合A 1.0940 1.6710 1.0739 1.6403 0.0201 1.87%
2024-11-04 000270 建信靈活配置混合A 1.0739 1.6403 1.0445 1.5954 0.0294 2.81%
2024-11-01 000270 建信靈活配置混合A 1.0445 1.5954 1.0753 1.6425 -0.0308 -2.86%
2024-10-31 000270 建信靈活配置混合A 1.0753 1.6425 1.0658 1.6280 0.0095 0.89%
2024-10-30 000270 建信靈活配置混合A 1.0658 1.6280 1.0736 1.6399 -0.0078 -0.73%
2024-10-29 000270 建信靈活配置混合A 1.0736 1.6399 1.0956 1.6735 -0.0220 -2.01%
2024-10-28 000270 建信靈活配置混合A 1.0956 1.6735 1.0706 1.6353 0.0250 2.34%
2024-10-25 000270 建信靈活配置混合A 1.0706 1.6353 1.0494 1.6029 0.0212 2.02%
2024-10-24 000270 建信靈活配置混合A 1.0494 1.6029 1.0480 1.6008 0.0014 0.13%
2024-10-23 000270 建信靈活配置混合A 1.0480 1.6008 1.0446 1.5956 0.0034 0.33%
2024-10-22 000270 建信靈活配置混合A 1.0446 1.5956 1.0345 1.5801 0.0101 0.98%
2024-10-21 000270 建信靈活配置混合A 1.0345 1.5801 1.0153 1.5508 0.0192 1.89%
2024-10-18 000270 建信靈活配置混合A 1.0153 1.5508 0.9864 1.5067 0.0289 2.93%
2024-10-17 000270 建信靈活配置混合A 0.9864 1.5067 0.9876 1.5085 -0.0012 -0.12%
2024-10-16 000270 建信靈活配置混合A 0.9876 1.5085 0.9835 1.5022 0.0041 0.42%
2024-10-15 000270 建信靈活配置混合A 0.9835 1.5022 0.9960 1.5213 -0.0125 -1.26%
2024-10-14 000270 建信靈活配置混合A 0.9960 1.5213 0.9663 1.4760 0.0297 3.07%
2024-10-11 000270 建信靈活配置混合A 0.9663 1.4760 1.0071 1.5383 -0.0408 -4.05%
2024-10-10 000270 建信靈活配置混合A 1.0071 1.5383 0.9971 1.5230 0.0100 1.00%
2024-10-09 000270 建信靈活配置混合A 0.9971 1.5230 1.1048 1.6875 -0.1077 -9.75%
2024-10-08 000270 建信靈活配置混合A 1.1048 1.6875 1.0136 1.5482 0.0912 9.00%
2024-09-30 000270 建信靈活配置混合A 1.0136 1.5482 0.9166 1.4001 0.0970 10.58%
2024-09-27 000270 建信靈活配置混合A 0.9166 1.4001 0.8794 1.3432 0.0372 4.23%
2024-09-26 000270 建信靈活配置混合A 0.8794 1.3432 0.8582 1.3109 0.0212 2.47%
2024-09-25 000270 建信靈活配置混合A 0.8582 1.3109 0.8506 1.2992 0.0076 0.89%
2024-09-24 000270 建信靈活配置混合A 0.8506 1.2992 0.8250 1.2601 0.0256 3.10%
2024-09-23 000270 建信靈活配置混合A 0.8250 1.2601 0.8238 1.2583 0.0012 0.15%
2024-09-20 000270 建信靈活配置混合A 0.8238 1.2583 0.8285 1.2655 -0.0047 -0.57%
2024-09-19 000270 建信靈活配置混合A 0.8285 1.2655 0.8106 1.2381 0.0179 2.21%
2024-09-18 000270 建信靈活配置混合A 0.8106 1.2381 0.8188 1.2507 -0.0082 -1.00%
2024-09-13 000270 建信靈活配置混合A 0.8188 1.2507 0.8328 1.2721 -0.0140 -1.68%
2024-09-12 000270 建信靈活配置混合A 0.8328 1.2721 0.8380 1.2800 -0.0052 -0.62%
2024-09-11 000270 建信靈活配置混合A 0.8380 1.2800 0.8422 1.2864 -0.0042 -0.50%
2024-09-10 000270 建信靈活配置混合A 0.8422 1.2864 0.8348 1.2751 0.0074 0.89%
2024-09-09 000270 建信靈活配置混合A 0.8348 1.2751 0.8365 1.2777 -0.0017 -0.20%
2024-09-06 000270 建信靈活配置混合A 0.8365 1.2777 0.8549 1.3058 -0.0184 -2.15%
2024-09-05 000270 建信靈活配置混合A 0.8549 1.3058 0.8473 1.2942 0.0076 0.90%
2024-09-04 000270 建信靈活配置混合A 0.8473 1.2942 0.8510 1.2999 -0.0037 -0.43%
2024-09-03 000270 建信靈活配置混合A 0.8510 1.2999 0.8464 1.2928 0.0046 0.54%
2024-09-02 000270 建信靈活配置混合A 0.8464 1.2928 0.8621 1.3168 -0.0157 -1.82%
2024-08-30 000270 建信靈活配置混合A 0.8621 1.3168 0.8462 1.2925 0.0159 1.88%
2024-08-29 000270 建信靈活配置混合A 0.8462 1.2925 0.8360 1.2769 0.0102 1.22%
2024-08-28 000270 建信靈活配置混合A 0.8360 1.2769 0.8265 1.2624 0.0095 1.15%
2024-08-27 000270 建信靈活配置混合A 0.8265 1.2624 0.8383 1.2805 -0.0118 -1.41%
2024-08-26 000270 建信靈活配置混合A 0.8383 1.2805 0.8262 1.2620 0.0121 1.46%
2024-08-23 000270 建信靈活配置混合A 0.8262 1.2620 0.8299 1.2676 -0.0037 -0.45%
2024-08-22 000270 建信靈活配置混合A 0.8299 1.2676 0.8392 1.2818 -0.0093 -1.11%
2024-08-21 000270 建信靈活配置混合A 0.8392 1.2818 0.8399 1.2829 -0.0007 -0.08%
2024-08-20 000270 建信靈活配置混合A 0.8399 1.2829 0.8549 1.3058 -0.0150 -1.75%
2024-08-19 000270 建信靈活配置混合A 0.8549 1.3058 0.8590 1.3121 -0.0041 -0.48%
2024-08-16 000270 建信靈活配置混合A 0.8590 1.3121 0.8600 1.3136 -0.0010 -0.12%
2024-08-15 000270 建信靈活配置混合A 0.8600 1.3136 0.8566 1.3084 0.0034 0.40%
2024-08-14 000270 建信靈活配置混合A 0.8566 1.3084 0.8599 1.3135 -0.0033 -0.38%
2024-08-13 000270 建信靈活配置混合A 0.8599 1.3135 0.8516 1.3008 0.0083 0.97%
2024-08-12 000270 建信靈活配置混合A 0.8516 1.3008 0.8547 1.3055 -0.0031 -0.36%
2024-08-09 000270 建信靈活配置混合A 0.8547 1.3055 0.8592 1.3124 -0.0045 -0.52%
2024-08-08 000270 建信靈活配置混合A 0.8592 1.3124 0.8618 1.3164 -0.0026 -0.30%
2024-08-07 000270 建信靈活配置混合A 0.8618 1.3164 0.8592 1.3124 0.0026 0.30%
2024-08-06 000270 建信靈活配置混合A 0.8592 1.3124 0.8433 1.2881 0.0159 1.89%
2024-08-05 000270 建信靈活配置混合A 0.8433 1.2881 0.8666 1.3237 -0.0233 -2.69%
2024-08-02 000270 建信靈活配置混合A 0.8666 1.3237 0.8799 1.3440 -0.0133 -1.51%
2024-07-31 000270 建信靈活配置混合A 0.8789 1.3425 0.8525 1.3021 0.0264 3.10%
2024-07-30 000270 建信靈活配置混合A 0.8525 1.3021 0.8474 1.2944 0.0051 0.60%
2024-07-29 000270 建信靈活配置混合A 0.8474 1.2944 0.8476 1.2947 -0.0002 -0.02%
2024-07-26 000270 建信靈活配置混合A 0.8476 1.2947 0.8319 1.2707 0.0157 1.89%
2024-07-25 000270 建信靈活配置混合A 0.8319 1.2707 0.8259 1.2615 0.0060 0.73%
2024-07-24 000270 建信靈活配置混合A 0.8259 1.2615 0.8399 1.2829 -0.0140 -1.67%
2024-07-23 000270 建信靈活配置混合A 0.8399 1.2829 0.8547 1.3055 -0.0148 -1.73%
2024-07-22 000270 建信靈活配置混合A 0.8547 1.3055 0.8483 1.2957 0.0064 0.75%
2024-07-19 000270 建信靈活配置混合A 0.8483 1.2957 0.8371 1.2786 0.0112 1.34%
2024-07-18 000270 建信靈活配置混合A 0.8371 1.2786 0.8398 1.2827 -0.0027 -0.32%
2024-07-17 000270 建信靈活配置混合A 0.8398 1.2827 0.8507 1.2994 -0.0109 -1.28%
2024-07-16 000270 建信靈活配置混合A 0.8507 1.2994 0.8494 1.2974 0.0013 0.15%
2024-07-15 000270 建信靈活配置混合A 0.8494 1.2974 0.8644 1.3203 -0.0150 -1.74%
2024-07-12 000270 建信靈活配置混合A 0.8644 1.3203 0.8654 1.3219 -0.0010 -0.12%
2024-07-11 000270 建信靈活配置混合A 0.8654 1.3219 0.8388 1.2812 0.0266 3.17%
2024-07-10 000270 建信靈活配置混合A 0.8388 1.2812 0.8422 1.2864 -0.0034 -0.40%
2024-07-09 000270 建信靈活配置混合A 0.8422 1.2864 0.8282 1.2650 0.0140 1.69%
2024-07-08 000270 建信靈活配置混合A 0.8282 1.2650 0.8500 1.2983 -0.0218 -2.56%
2024-07-05 000270 建信靈活配置混合A 0.8500 1.2983 0.8411 1.2847 0.0089 1.06%
2024-07-04 000270 建信靈活配置混合A 0.8411 1.2847 0.8686 1.3267 -0.0275 -3.17%
2024-07-03 000270 建信靈活配置混合A 0.8686 1.3267 0.8748 1.3362 -0.0062 -0.71%
2024-07-02 000270 建信靈活配置混合A 0.8748 1.3362 0.8732 1.3338 0.0016 0.18%
2024-07-01 000270 建信靈活配置混合A 0.8732 1.3338 0.8706 1.3298 0.0026 0.30%
2024-06-28 000270 建信靈活配置混合A 0.8706 1.3298 0.8662 1.3231 0.0044 0.51%
2024-06-27 000270 建信靈活配置混合A 0.8662 1.3231 0.8769 1.3394 -0.0107 -1.22%
2024-06-26 000270 建信靈活配置混合A 0.8769 1.3394 0.8478 1.2950 0.0291 3.43%
2024-06-25 000270 建信靈活配置混合A 0.8478 1.2950 0.8444 1.2898 0.0034 0.40%
2024-06-24 000270 建信靈活配置混合A 0.8444 1.2898 0.8797 1.3437 -0.0353 -4.01%
2024-06-21 000270 建信靈活配置混合A 0.8797 1.3437 0.8804 1.3448 -0.0007 -0.08%
2024-06-20 000270 建信靈活配置混合A 0.8804 1.3448 0.8934 1.3646 -0.0130 -1.46%
2024-06-19 000270 建信靈活配置混合A 0.8934 1.3646 0.8904 1.3600 0.0030 0.34%
2024-06-18 000270 建信靈活配置混合A 0.8904 1.3600 0.8750 1.3365 0.0154 1.76%
2024-06-17 000270 建信靈活配置混合A 0.8750 1.3365 0.8844 1.3509 -0.0094 -1.06%
2024-06-14 000270 建信靈活配置混合A 0.8844 1.3509 0.8912 1.3613 -0.0068 -0.76%
2024-06-13 000270 建信靈活配置混合A 0.8912 1.3613 0.8869 1.3547 0.0043 0.48%
2024-06-12 000270 建信靈活配置混合A 0.8869 1.3547 0.8723 1.3324 0.0146 1.67%
2024-06-11 000270 建信靈活配置混合A 0.8723 1.3324 0.8697 1.3284 0.0026 0.30%
2024-06-07 000270 建信靈活配置混合A 0.8697 1.3284 0.8389 1.2814 0.0308 3.67%
2024-06-06 000270 建信靈活配置混合A 0.8389 1.2814 0.8797 1.3437 -0.0408 -4.64%
2024-06-05 000270 建信靈活配置混合A 0.8797 1.3437 0.8991 1.3733 -0.0194 -2.16%
2024-06-04 000270 建信靈活配置混合A 0.8991 1.3733 0.9199 1.4051 -0.0208 -2.26%
2024-06-03 000270 建信靈活配置混合A 0.9199 1.4051 0.9403 1.4363 -0.0204 -2.17%
2024-05-31 000270 建信靈活配置混合A 0.9403 1.4363 0.9299 1.4204 0.0104 1.12%
2024-05-30 000270 建信靈活配置混合A 0.9299 1.4204 0.9339 1.4265 -0.0040 -0.43%
2024-05-29 000270 建信靈活配置混合A 0.9339 1.4265 0.9280 1.4175 0.0059 0.64%
2024-05-28 000270 建信靈活配置混合A 0.9280 1.4175 0.9352 1.4285 -0.0072 -0.77%
2024-05-27 000270 建信靈活配置混合A 0.9352 1.4285 0.9325 1.4243 0.0027 0.29%
2024-05-24 000270 建信靈活配置混合A 0.9325 1.4243 0.9352 1.4285 -0.0027 -0.29%
2024-05-23 000270 建信靈活配置混合A 0.9352 1.4285 0.9500 1.4511 -0.0148 -1.56%
混合型-靈活基金漲幅榜
基金名稱 單位凈值 日增長率
銀華體育文化靈活配置混合C 1.5010 1.56%
銀華體育文化靈活配置混合A 1.5120 1.54%
中銀醫(yī)療保健混合A 2.3239 1.27%
中銀醫(yī)療保健混合C 2.2817 1.27%
鵬華弘鑫A 1.2349 1.14%
鵬華弘鑫C 1.2184 1.13%
匯添富達欣混合A 2.2800 0.93%
匯添富達欣混合C 2.1920 0.92%
匯添富醫(yī)療服務(wù)靈活配置混合D 1.5870 0.89%
匯添富醫(yī)療服務(wù)靈活配置混合A 1.6080 0.88%