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鑫元欣享靈活配置混合C(鑫元欣享混合C)基金凈值查詢(005263)

今天最新凈值 1.0373 -0.0029 -0.2800% 2025-05-23
盤中實(shí)時(shí)估值(僅供參考) 1.0357 -0.0016 -0.1522%
  • 累計(jì)凈值:1.4723
  • 成立日期:2017-12-14
  • 基金類型:混合型-靈活
  • 成立份額:
  • 最近份額:4.4831億
  • 最近資產(chǎn):4.48億
  • 基金公司:鑫元基金
  • 基金經(jīng)理:王美芹 李彪
今年以來鑫元欣享靈活配置混合C|鑫元欣享混合C基金凈值查詢
基金歷史凈值按日期查詢: -
今年以來,鑫元欣享靈活配置混合C(005263)基金累計(jì)收益率2.37%
凈值日期 基金代碼 基金名稱 最新單位凈值 最新累計(jì)凈值 上期單位凈值 上期累計(jì)凈值 當(dāng)日增長(zhǎng)值 當(dāng)日增長(zhǎng)率
2025-05-23 005263 鑫元欣享靈活配置混合C 1.0379 1.4729 1.0373 1.4723 0.0006 0.06%
2025-05-22 005263 鑫元欣享靈活配置混合C 1.0373 1.4723 1.0402 1.4752 -0.0029 -0.28%
2025-05-21 005263 鑫元欣享靈活配置混合C 1.0402 1.4752 1.0402 1.4752 0.0000 0.00%
2025-05-20 005263 鑫元欣享靈活配置混合C 1.0402 1.4752 1.0403 1.4753 -0.0001 -0.01%
2025-05-19 005263 鑫元欣享靈活配置混合C 1.0403 1.4753 1.0379 1.4729 0.0024 0.23%
2025-05-16 005263 鑫元欣享靈活配置混合C 1.0379 1.4729 1.0315 1.4665 0.0064 0.62%
2025-05-15 005263 鑫元欣享靈活配置混合C 1.0315 1.4665 1.0488 1.4838 -0.0173 -1.65%
2025-05-14 005263 鑫元欣享靈活配置混合C 1.0488 1.4838 1.0593 1.4943 -0.0105 -0.99%
2025-05-13 005263 鑫元欣享靈活配置混合C 1.0593 1.4943 1.0625 1.4975 -0.0032 -0.30%
2025-05-12 005263 鑫元欣享靈活配置混合C 1.0625 1.4975 1.0477 1.4827 0.0148 1.41%
2025-05-09 005263 鑫元欣享靈活配置混合C 1.0477 1.4827 1.0636 1.4986 -0.0159 -1.49%
2025-05-08 005263 鑫元欣享靈活配置混合C 1.0636 1.4986 1.0580 1.4930 0.0056 0.53%
2025-05-07 005263 鑫元欣享靈活配置混合C 1.0580 1.4930 1.0505 1.4855 0.0075 0.71%
2025-05-06 005263 鑫元欣享靈活配置混合C 1.0505 1.4855 1.0292 1.4642 0.0213 2.07%
2025-04-30 005263 鑫元欣享靈活配置混合C 1.0292 1.4642 1.0263 1.4613 0.0029 0.28%
2025-04-29 005263 鑫元欣享靈活配置混合C 1.0263 1.4613 1.0266 1.4616 -0.0003 -0.03%
2025-04-28 005263 鑫元欣享靈活配置混合C 1.0266 1.4616 1.0247 1.4597 0.0019 0.19%
2025-04-25 005263 鑫元欣享靈活配置混合C 1.0247 1.4597 1.0265 1.4615 -0.0018 -0.18%
2025-04-24 005263 鑫元欣享靈活配置混合C 1.0265 1.4615 1.0357 1.4707 -0.0092 -0.89%
2025-04-23 005263 鑫元欣享靈活配置混合C 1.0357 1.4707 1.0306 1.4656 0.0051 0.49%
2025-04-22 005263 鑫元欣享靈活配置混合C 1.0306 1.4656 1.0362 1.4712 -0.0056 -0.54%
2025-04-21 005263 鑫元欣享靈活配置混合C 1.0362 1.4712 1.0179 1.4529 0.0183 1.80%
2025-04-18 005263 鑫元欣享靈活配置混合C 1.0179 1.4529 1.0226 1.4576 -0.0047 -0.46%
2025-04-17 005263 鑫元欣享靈活配置混合C 1.0226 1.4576 1.0162 1.4512 0.0064 0.63%
2025-04-16 005263 鑫元欣享靈活配置混合C 1.0162 1.4512 1.0243 1.4593 -0.0081 -0.79%
2025-04-15 005263 鑫元欣享靈活配置混合C 1.0243 1.4593 1.0290 1.4640 -0.0047 -0.46%
2025-04-14 005263 鑫元欣享靈活配置混合C 1.0290 1.4640 1.0322 1.4672 -0.0032 -0.31%
2025-04-11 005263 鑫元欣享靈活配置混合C 1.0322 1.4672 1.0114 1.4464 0.0208 2.06%
2025-04-10 005263 鑫元欣享靈活配置混合C 1.0114 1.4464 0.9930 1.4280 0.0184 1.85%
2025-04-09 005263 鑫元欣享靈活配置混合C 0.9930 1.4280 0.9544 1.3894 0.0386 4.04%
2025-04-08 005263 鑫元欣享靈活配置混合C 0.9544 1.3894 0.9434 1.3784 0.0110 1.17%
2025-04-07 005263 鑫元欣享靈活配置混合C 0.9434 1.3784 1.0511 1.4861 -0.1077 -10.25%
2025-04-03 005263 鑫元欣享靈活配置混合C 1.0511 1.4861 1.0721 1.5071 -0.0210 -1.96%
2025-04-02 005263 鑫元欣享靈活配置混合C 1.0721 1.5071 1.0780 1.5130 -0.0059 -0.55%
2025-04-01 005263 鑫元欣享靈活配置混合C 1.0780 1.5130 1.0702 1.5052 0.0078 0.73%
2025-03-31 005263 鑫元欣享靈活配置混合C 1.0702 1.5052 1.0658 1.5008 0.0044 0.41%
2025-03-28 005263 鑫元欣享靈活配置混合C 1.0658 1.5008 1.0737 1.5087 -0.0079 -0.74%
2025-03-27 005263 鑫元欣享靈活配置混合C 1.0737 1.5087 1.0726 1.5076 0.0011 0.10%
2025-03-26 005263 鑫元欣享靈活配置混合C 1.0726 1.5076 1.0702 1.5052 0.0024 0.22%
2025-03-25 005263 鑫元欣享靈活配置混合C 1.0702 1.5052 1.0823 1.5173 -0.0121 -1.12%
2025-03-24 005263 鑫元欣享靈活配置混合C 1.0823 1.5173 1.0784 1.5134 0.0039 0.36%
2025-03-21 005263 鑫元欣享靈活配置混合C 1.0784 1.5134 1.1016 1.5366 -0.0232 -2.11%
2025-03-20 005263 鑫元欣享靈活配置混合C 1.1016 1.5366 1.0972 1.5322 0.0044 0.40%
2025-03-19 005263 鑫元欣享靈活配置混合C 1.0972 1.5322 1.1027 1.5377 -0.0055 -0.50%
2025-03-18 005263 鑫元欣享靈活配置混合C 1.1027 1.5377 1.1013 1.5363 0.0014 0.13%
2025-03-17 005263 鑫元欣享靈活配置混合C 1.1013 1.5363 1.1008 1.5358 0.0005 0.05%
2025-03-14 005263 鑫元欣享靈活配置混合C 1.1008 1.5358 1.0891 1.5241 0.0117 1.07%
2025-03-13 005263 鑫元欣享靈活配置混合C 1.0891 1.5241 1.0968 1.5318 -0.0077 -0.70%
2025-03-12 005263 鑫元欣享靈活配置混合C 1.0968 1.5318 1.0982 1.5332 -0.0014 -0.13%
2025-03-11 005263 鑫元欣享靈活配置混合C 1.0982 1.5332 1.0977 1.5327 0.0005 0.05%
2025-03-10 005263 鑫元欣享靈活配置混合C 1.0977 1.5327 1.1003 1.5353 -0.0026 -0.24%
2025-03-07 005263 鑫元欣享靈活配置混合C 1.1003 1.5353 1.0928 1.5278 0.0075 0.69%
2025-03-06 005263 鑫元欣享靈活配置混合C 1.0928 1.5278 1.0719 1.5069 0.0209 1.95%
2025-03-05 005263 鑫元欣享靈活配置混合C 1.0719 1.5069 1.0675 1.5025 0.0044 0.41%
2025-03-04 005263 鑫元欣享靈活配置混合C 1.0675 1.5025 1.0490 1.4840 0.0185 1.76%
2025-03-03 005263 鑫元欣享靈活配置混合C 1.0490 1.4840 1.0442 1.4792 0.0048 0.46%
2025-02-28 005263 鑫元欣享靈活配置混合C 1.0442 1.4792 1.0758 1.5108 -0.0316 -2.94%
2025-02-27 005263 鑫元欣享靈活配置混合C 1.0758 1.5108 1.0880 1.5230 -0.0122 -1.12%
2025-02-26 005263 鑫元欣享靈活配置混合C 1.0880 1.5230 1.0880 1.5230 0.0000 0.00%
2025-02-25 005263 鑫元欣享靈活配置混合C 1.0880 1.5230 1.0832 1.5182 0.0048 0.44%
2025-02-24 005263 鑫元欣享靈活配置混合C 1.0832 1.5182 1.0915 1.5265 -0.0083 -0.76%
2025-02-21 005263 鑫元欣享靈活配置混合C 1.0915 1.5265 1.0820 1.5170 0.0095 0.88%
2025-02-20 005263 鑫元欣享靈活配置混合C 1.0820 1.5170 1.0752 1.5102 0.0068 0.63%
2025-02-19 005263 鑫元欣享靈活配置混合C 1.0752 1.5102 1.0422 1.4772 0.0330 3.17%
2025-02-18 005263 鑫元欣享靈活配置混合C 1.0422 1.4772 1.0659 1.5009 -0.0237 -2.22%
2025-02-17 005263 鑫元欣享靈活配置混合C 1.0659 1.5009 1.0576 1.4926 0.0083 0.78%
2025-02-14 005263 鑫元欣享靈活配置混合C 1.0576 1.4926 1.0570 1.4920 0.0006 0.06%
2025-02-13 005263 鑫元欣享靈活配置混合C 1.0570 1.4920 1.0877 1.5227 -0.0307 -2.82%
2025-02-12 005263 鑫元欣享靈活配置混合C 1.0877 1.5227 1.0751 1.5101 0.0126 1.17%
2025-02-11 005263 鑫元欣享靈活配置混合C 1.0751 1.5101 1.0868 1.5218 -0.0117 -1.08%
2025-02-10 005263 鑫元欣享靈活配置混合C 1.0868 1.5218 1.0759 1.5109 0.0109 1.01%
2025-02-07 005263 鑫元欣享靈活配置混合C 1.0759 1.5109 1.0658 1.5008 0.0101 0.95%
2025-02-06 005263 鑫元欣享靈活配置混合C 1.0658 1.5008 1.0386 1.4736 0.0272 2.62%
2025-02-05 005263 鑫元欣享靈活配置混合C 1.0386 1.4736 1.0525 1.4875 -0.0139 -1.32%
2025-01-27 005263 鑫元欣享靈活配置混合C 1.0525 1.4875 1.0637 1.4987 -0.0112 -1.05%
2025-01-22 005263 鑫元欣享靈活配置混合C 1.0554 1.4904 1.0522 1.4872 0.0032 0.30%
2025-01-14 005263 鑫元欣享靈活配置混合C 1.0316 1.4666 0.9920 1.4270 0.0396 3.99%
2025-01-13 005263 鑫元欣享靈活配置混合C 0.9920 1.4270 0.9796 1.4146 0.0124 1.27%
2025-01-10 005263 鑫元欣享靈活配置混合C 0.9796 1.4146 0.9926 1.4276 -0.0130 -1.31%
2025-01-09 005263 鑫元欣享靈活配置混合C 0.9926 1.4276 0.9845 1.4195 0.0081 0.82%
2025-01-08 005263 鑫元欣享靈活配置混合C 0.9845 1.4195 0.9846 1.4196 -0.0001 -0.01%
2025-01-07 005263 鑫元欣享靈活配置混合C 0.9846 1.4196 0.9661 1.4011 0.0185 1.91%
2025-01-06 005263 鑫元欣享靈活配置混合C 0.9661 1.4011 0.9718 1.4068 -0.0057 -0.59%
2025-01-03 005263 鑫元欣享靈活配置混合C 0.9718 1.4068 0.9918 1.4268 -0.0200 -2.02%
2025-01-02 005263 鑫元欣享靈活配置混合C 0.9918 1.4268 1.0161 1.4511 -0.0243 -2.39%
混合型-靈活基金漲幅榜
基金名稱 單位凈值 日增長(zhǎng)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%