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興業(yè)聚利靈活配置混合A(興業(yè)聚利)基金凈值查詢(001272)

今天最新凈值 2.1783 0.0042 0.1900% 2025-05-21
盤中實時估值(僅供參考) 2.1753 -0.0030 -0.1363%
  • 累計凈值:2.2733
  • 成立日期:2015-05-07
  • 基金類型:混合型-靈活
  • 成立份額:
  • 最近份額:1.9241億
  • 最近資產(chǎn):4.01億
  • 基金公司:興業(yè)基金
  • 基金經(jīng)理:馮烜 樓華鋒 徐玉良
近一季興業(yè)聚利靈活配置混合A|興業(yè)聚利基金凈值查詢
基金歷史凈值按日期查詢: -
近一季,興業(yè)聚利靈活配置混合A(001272)基金累計收益率-0.55%
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
2025-05-21 001272 興業(yè)聚利靈活配置混合A 2.1783 2.2733 2.1741 2.2691 0.0042 0.19%
2025-05-20 001272 興業(yè)聚利靈活配置混合A 2.1741 2.2691 2.1558 2.2508 0.0183 0.85%
2025-05-19 001272 興業(yè)聚利靈活配置混合A 2.1558 2.2508 2.1560 2.2510 -0.0002 -0.01%
2025-05-16 001272 興業(yè)聚利靈活配置混合A 2.1560 2.2510 2.1530 2.2480 0.0030 0.14%
2025-05-15 001272 興業(yè)聚利靈活配置混合A 2.1530 2.2480 2.1748 2.2698 -0.0218 -1.00%
2025-05-14 001272 興業(yè)聚利靈活配置混合A 2.1748 2.2698 2.1668 2.2618 0.0080 0.37%
2025-05-13 001272 興業(yè)聚利靈活配置混合A 2.1668 2.2618 2.1665 2.2615 0.0003 0.01%
2025-05-12 001272 興業(yè)聚利靈活配置混合A 2.1665 2.2615 2.1439 2.2389 0.0226 1.05%
2025-05-09 001272 興業(yè)聚利靈活配置混合A 2.1439 2.2389 2.1535 2.2485 -0.0096 -0.45%
2025-05-08 001272 興業(yè)聚利靈活配置混合A 2.1535 2.2485 2.1405 2.2355 0.0130 0.61%
2025-05-07 001272 興業(yè)聚利靈活配置混合A 2.1405 2.2355 2.1353 2.2303 0.0052 0.24%
2025-05-06 001272 興業(yè)聚利靈活配置混合A 2.1353 2.2303 2.1043 2.1993 0.0310 1.47%
2025-04-30 001272 興業(yè)聚利靈活配置混合A 2.1043 2.1993 2.1006 2.1956 0.0037 0.18%
2025-04-29 001272 興業(yè)聚利靈活配置混合A 2.1006 2.1956 2.1054 2.2004 -0.0048 -0.23%
2025-04-28 001272 興業(yè)聚利靈活配置混合A 2.1054 2.2004 2.1209 2.2159 -0.0155 -0.73%
2025-04-25 001272 興業(yè)聚利靈活配置混合A 2.1209 2.2159 2.1106 2.2056 0.0103 0.49%
2025-04-24 001272 興業(yè)聚利靈活配置混合A 2.1106 2.2056 2.1174 2.2124 -0.0068 -0.32%
2025-04-23 001272 興業(yè)聚利靈活配置混合A 2.1174 2.2124 2.1019 2.1969 0.0155 0.74%
2025-04-22 001272 興業(yè)聚利靈活配置混合A 2.1019 2.1969 2.1012 2.1962 0.0007 0.03%
2025-04-21 001272 興業(yè)聚利靈活配置混合A 2.1012 2.1962 2.0765 2.1715 0.0247 1.19%
2025-04-18 001272 興業(yè)聚利靈活配置混合A 2.0765 2.1715 2.0683 2.1633 0.0082 0.40%
2025-04-17 001272 興業(yè)聚利靈活配置混合A 2.0683 2.1633 2.0680 2.1630 0.0003 0.01%
2025-04-16 001272 興業(yè)聚利靈活配置混合A 2.0680 2.1630 2.0818 2.1768 -0.0138 -0.66%
2025-04-15 001272 興業(yè)聚利靈活配置混合A 2.0818 2.1768 2.0838 2.1788 -0.0020 -0.10%
2025-04-14 001272 興業(yè)聚利靈活配置混合A 2.0838 2.1788 2.0674 2.1624 0.0164 0.79%
2025-04-11 001272 興業(yè)聚利靈活配置混合A 2.0674 2.1624 2.0499 2.1449 0.0175 0.85%
2025-04-10 001272 興業(yè)聚利靈活配置混合A 2.0499 2.1449 2.0115 2.1065 0.0384 1.91%
2025-04-09 001272 興業(yè)聚利靈活配置混合A 2.0115 2.1065 1.9897 2.0847 0.0218 1.10%
2025-04-08 001272 興業(yè)聚利靈活配置混合A 1.9897 2.0847 1.9792 2.0742 0.0105 0.53%
2025-04-07 001272 興業(yè)聚利靈活配置混合A 1.9792 2.0742 2.1624 2.2574 -0.1832 -8.47%
2025-04-03 001272 興業(yè)聚利靈活配置混合A 2.1624 2.2574 2.1931 2.2881 -0.0307 -1.40%
2025-04-02 001272 興業(yè)聚利靈活配置混合A 2.1931 2.2881 2.1911 2.2861 0.0020 0.09%
2025-04-01 001272 興業(yè)聚利靈活配置混合A 2.1911 2.2861 2.1826 2.2776 0.0085 0.39%
2025-03-31 001272 興業(yè)聚利靈活配置混合A 2.1826 2.2776 2.1904 2.2854 -0.0078 -0.36%
2025-03-28 001272 興業(yè)聚利靈活配置混合A 2.1904 2.2854 2.1978 2.2928 -0.0074 -0.34%
2025-03-27 001272 興業(yè)聚利靈活配置混合A 2.1978 2.2928 2.1942 2.2892 0.0036 0.16%
2025-03-26 001272 興業(yè)聚利靈活配置混合A 2.1942 2.2892 2.1984 2.2934 -0.0042 -0.19%
2025-03-25 001272 興業(yè)聚利靈活配置混合A 2.1984 2.2934 2.1977 2.2927 0.0007 0.03%
2025-03-24 001272 興業(yè)聚利靈活配置混合A 2.1977 2.2927 2.1898 2.2848 0.0079 0.36%
2025-03-21 001272 興業(yè)聚利靈活配置混合A 2.1898 2.2848 2.2151 2.3101 -0.0253 -1.14%
2025-03-20 001272 興業(yè)聚利靈活配置混合A 2.2151 2.3101 2.2245 2.3195 -0.0094 -0.42%
2025-03-19 001272 興業(yè)聚利靈活配置混合A 2.2245 2.3195 2.2313 2.3263 -0.0068 -0.30%
2025-03-18 001272 興業(yè)聚利靈活配置混合A 2.2313 2.3263 2.2154 2.3104 0.0159 0.72%
2025-03-17 001272 興業(yè)聚利靈活配置混合A 2.2154 2.3104 2.2159 2.3109 -0.0005 -0.02%
2025-03-14 001272 興業(yè)聚利靈活配置混合A 2.2159 2.3109 2.1816 2.2766 0.0343 1.57%
2025-03-13 001272 興業(yè)聚利靈活配置混合A 2.1816 2.2766 2.1933 2.2883 -0.0117 -0.53%
2025-03-12 001272 興業(yè)聚利靈活配置混合A 2.1933 2.2883 2.1897 2.2847 0.0036 0.16%
2025-03-11 001272 興業(yè)聚利靈活配置混合A 2.1897 2.2847 2.1851 2.2801 0.0046 0.21%
2025-03-10 001272 興業(yè)聚利靈活配置混合A 2.1851 2.2801 2.1839 2.2789 0.0012 0.05%
2025-03-07 001272 興業(yè)聚利靈活配置混合A 2.1839 2.2789 2.1910 2.2860 -0.0071 -0.32%
2025-03-06 001272 興業(yè)聚利靈活配置混合A 2.1910 2.2860 2.1647 2.2597 0.0263 1.21%
2025-03-05 001272 興業(yè)聚利靈活配置混合A 2.1647 2.2597 2.1599 2.2549 0.0048 0.22%
2025-03-04 001272 興業(yè)聚利靈活配置混合A 2.1599 2.2549 2.1498 2.2448 0.0101 0.47%
2025-03-03 001272 興業(yè)聚利靈活配置混合A 2.1498 2.2448 2.1404 2.2354 0.0094 0.44%
2025-02-28 001272 興業(yè)聚利靈活配置混合A 2.1404 2.2354 2.1829 2.2779 -0.0425 -1.95%
2025-02-27 001272 興業(yè)聚利靈活配置混合A 2.1829 2.2779 2.1837 2.2787 -0.0008 -0.04%
2025-02-26 001272 興業(yè)聚利靈活配置混合A 2.1837 2.2787 2.1663 2.2613 0.0174 0.80%
2025-02-25 001272 興業(yè)聚利靈活配置混合A 2.1663 2.2613 2.1840 2.2790 -0.0177 -0.81%
2025-02-24 001272 興業(yè)聚利靈活配置混合A 2.1840 2.2790 2.1904 2.2854 -0.0064 -0.29%
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(dá)欣混合A 2.2800 0.93%
匯添富達(dá)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%