國泰成長價值混合A基金凈值查詢(010912)
今天最新凈值
0.7413
-0.0049 -0.6600%
2025-05-22
盤中實時估值(僅供參考)
0.7265
-0.0093 -1.2634%
- 累計凈值:0.7413
- 成立日期:2021-03-23
- 基金類型:混合型-偏股
- 成立份額:
- 最近份額:2.8116億
- 最近資產(chǎn):1.89億元
- 基金公司:國泰基金
- 基金經(jīng)理:彭凌志
近一季,國泰成長價值混合A(010912)基金累計收益率-12.40%
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 |
2025-05-22 |
010912 |
國泰成長價值混合A |
0.7358 |
0.7358 |
0.7413 |
0.7413 |
-0.0055 |
-0.74% |
2025-05-21 |
010912 |
國泰成長價值混合A |
0.7413 |
0.7413 |
0.7462 |
0.7462 |
-0.0049 |
-0.66% |
2025-05-20 |
010912 |
國泰成長價值混合A |
0.7462 |
0.7462 |
0.7428 |
0.7428 |
0.0034 |
0.46% |
2025-05-19 |
010912 |
國泰成長價值混合A |
0.7428 |
0.7428 |
0.7459 |
0.7459 |
-0.0031 |
-0.42% |
2025-05-16 |
010912 |
國泰成長價值混合A |
0.7459 |
0.7459 |
0.7483 |
0.7483 |
-0.0024 |
-0.32% |
2025-05-15 |
010912 |
國泰成長價值混合A |
0.7483 |
0.7483 |
0.7675 |
0.7675 |
-0.0192 |
-2.50% |
2025-05-14 |
010912 |
國泰成長價值混合A |
0.7675 |
0.7675 |
0.7644 |
0.7644 |
0.0031 |
0.41% |
2025-05-13 |
010912 |
國泰成長價值混合A |
0.7644 |
0.7644 |
0.7734 |
0.7734 |
-0.0090 |
-1.16% |
2025-05-12 |
010912 |
國泰成長價值混合A |
0.7734 |
0.7734 |
0.7559 |
0.7559 |
0.0175 |
2.32% |
2025-05-09 |
010912 |
國泰成長價值混合A |
0.7559 |
0.7559 |
0.7711 |
0.7711 |
-0.0152 |
-1.97% |
|
2025-05-08 |
010912 |
國泰成長價值混合A |
0.7711 |
0.7711 |
0.7732 |
0.7732 |
-0.0021 |
-0.27% |
2025-05-07 |
010912 |
國泰成長價值混合A |
0.7732 |
0.7732 |
0.7827 |
0.7827 |
-0.0095 |
-1.21% |
2025-05-06 |
010912 |
國泰成長價值混合A |
0.7827 |
0.7827 |
0.7627 |
0.7627 |
0.0200 |
2.62% |
2025-04-30 |
010912 |
國泰成長價值混合A |
0.7627 |
0.7627 |
0.7462 |
0.7462 |
0.0165 |
2.21% |
2025-04-29 |
010912 |
國泰成長價值混合A |
0.7462 |
0.7462 |
0.7423 |
0.7423 |
0.0039 |
0.53% |
2025-04-28 |
010912 |
國泰成長價值混合A |
0.7423 |
0.7423 |
0.7369 |
0.7369 |
0.0054 |
0.73% |
2025-04-25 |
010912 |
國泰成長價值混合A |
0.7369 |
0.7369 |
0.7362 |
0.7362 |
0.0007 |
0.10% |
2025-04-24 |
010912 |
國泰成長價值混合A |
0.7362 |
0.7362 |
0.7466 |
0.7466 |
-0.0104 |
-1.39% |
2025-04-23 |
010912 |
國泰成長價值混合A |
0.7466 |
0.7466 |
0.7318 |
0.7318 |
0.0148 |
2.02% |
2025-04-22 |
010912 |
國泰成長價值混合A |
0.7318 |
0.7318 |
0.7318 |
0.7318 |
0.0000 |
0.00% |
2025-04-21 |
010912 |
國泰成長價值混合A |
0.7318 |
0.7318 |
0.7212 |
0.7212 |
0.0106 |
1.47% |
2025-04-18 |
010912 |
國泰成長價值混合A |
0.7212 |
0.7212 |
0.7269 |
0.7269 |
-0.0057 |
-0.78% |
2025-04-17 |
010912 |
國泰成長價值混合A |
0.7269 |
0.7269 |
0.7197 |
0.7197 |
0.0072 |
1.00% |
2025-04-16 |
010912 |
國泰成長價值混合A |
0.7197 |
0.7197 |
0.7263 |
0.7263 |
-0.0066 |
-0.91% |
2025-04-15 |
010912 |
國泰成長價值混合A |
0.7263 |
0.7263 |
0.7338 |
0.7338 |
-0.0075 |
-1.02% |
|
2025-04-14 |
010912 |
國泰成長價值混合A |
0.7338 |
0.7338 |
0.7234 |
0.7234 |
0.0104 |
1.44% |
2025-04-11 |
010912 |
國泰成長價值混合A |
0.7234 |
0.7234 |
0.7051 |
0.7051 |
0.0183 |
2.60% |
2025-04-10 |
010912 |
國泰成長價值混合A |
0.7051 |
0.7051 |
0.6929 |
0.6929 |
0.0122 |
1.76% |
2025-04-09 |
010912 |
國泰成長價值混合A |
0.6929 |
0.6929 |
0.6658 |
0.6658 |
0.0271 |
4.07% |
2025-04-08 |
010912 |
國泰成長價值混合A |
0.6658 |
0.6658 |
0.6634 |
0.6634 |
0.0024 |
0.36% |
2025-04-07 |
010912 |
國泰成長價值混合A |
0.6634 |
0.6634 |
0.7445 |
0.7445 |
-0.0811 |
-10.89% |
2025-04-03 |
010912 |
國泰成長價值混合A |
0.7445 |
0.7445 |
0.7534 |
0.7534 |
-0.0089 |
-1.18% |
2025-04-02 |
010912 |
國泰成長價值混合A |
0.7534 |
0.7534 |
0.7545 |
0.7545 |
-0.0011 |
-0.15% |
2025-04-01 |
010912 |
國泰成長價值混合A |
0.7545 |
0.7545 |
0.7512 |
0.7512 |
0.0033 |
0.44% |
2025-03-31 |
010912 |
國泰成長價值混合A |
0.7512 |
0.7512 |
0.7523 |
0.7523 |
-0.0011 |
-0.15% |
2025-03-28 |
010912 |
國泰成長價值混合A |
0.7523 |
0.7523 |
0.7684 |
0.7684 |
-0.0161 |
-2.10% |
2025-03-27 |
010912 |
國泰成長價值混合A |
0.7684 |
0.7684 |
0.7624 |
0.7624 |
0.0060 |
0.79% |
2025-03-26 |
010912 |
國泰成長價值混合A |
0.7624 |
0.7624 |
0.7575 |
0.7575 |
0.0049 |
0.65% |
2025-03-25 |
010912 |
國泰成長價值混合A |
0.7575 |
0.7575 |
0.7788 |
0.7788 |
-0.0213 |
-2.73% |
2025-03-24 |
010912 |
國泰成長價值混合A |
0.7788 |
0.7788 |
0.7685 |
0.7685 |
0.0103 |
1.34% |
2025-03-21 |
010912 |
國泰成長價值混合A |
0.7685 |
0.7685 |
0.7932 |
0.7932 |
-0.0247 |
-3.11% |
2025-03-20 |
010912 |
國泰成長價值混合A |
0.7932 |
0.7932 |
0.8085 |
0.8085 |
-0.0153 |
-1.89% |
2025-03-19 |
010912 |
國泰成長價值混合A |
0.8085 |
0.8085 |
0.8200 |
0.8200 |
-0.0115 |
-1.40% |
2025-03-18 |
010912 |
國泰成長價值混合A |
0.8200 |
0.8200 |
0.8052 |
0.8052 |
0.0148 |
1.84% |
2025-03-17 |
010912 |
國泰成長價值混合A |
0.8052 |
0.8052 |
0.8079 |
0.8079 |
-0.0027 |
-0.33% |
2025-03-14 |
010912 |
國泰成長價值混合A |
0.8079 |
0.8079 |
0.7947 |
0.7947 |
0.0132 |
1.66% |
2025-03-13 |
010912 |
國泰成長價值混合A |
0.7947 |
0.7947 |
0.8125 |
0.8125 |
-0.0178 |
-2.19% |
2025-03-12 |
010912 |
國泰成長價值混合A |
0.8125 |
0.8125 |
0.8244 |
0.8244 |
-0.0119 |
-1.44% |
2025-03-11 |
010912 |
國泰成長價值混合A |
0.8244 |
0.8244 |
0.8281 |
0.8281 |
-0.0037 |
-0.45% |
2025-03-10 |
010912 |
國泰成長價值混合A |
0.8281 |
0.8281 |
0.8422 |
0.8422 |
-0.0141 |
-1.67% |
2025-03-07 |
010912 |
國泰成長價值混合A |
0.8422 |
0.8422 |
0.8493 |
0.8493 |
-0.0071 |
-0.84% |
2025-03-06 |
010912 |
國泰成長價值混合A |
0.8493 |
0.8493 |
0.8051 |
0.8051 |
0.0442 |
5.49% |
2025-03-05 |
010912 |
國泰成長價值混合A |
0.8051 |
0.8051 |
0.7956 |
0.7956 |
0.0095 |
1.19% |
2025-03-04 |
010912 |
國泰成長價值混合A |
0.7956 |
0.7956 |
0.7901 |
0.7901 |
0.0055 |
0.70% |
2025-03-03 |
010912 |
國泰成長價值混合A |
0.7901 |
0.7901 |
0.7996 |
0.7996 |
-0.0095 |
-1.19% |
2025-02-28 |
010912 |
國泰成長價值混合A |
0.7996 |
0.7996 |
0.8360 |
0.8360 |
-0.0364 |
-4.35% |
2025-02-27 |
010912 |
國泰成長價值混合A |
0.8360 |
0.8360 |
0.8501 |
0.8501 |
-0.0141 |
-1.66% |
2025-02-26 |
010912 |
國泰成長價值混合A |
0.8501 |
0.8501 |
0.8464 |
0.8464 |
0.0037 |
0.44% |
2025-02-25 |
010912 |
國泰成長價值混合A |
0.8464 |
0.8464 |
0.8435 |
0.8435 |
0.0029 |
0.34% |
2025-02-24 |
010912 |
國泰成長價值混合A |
0.8435 |
0.8435 |
0.8400 |
0.8400 |
0.0035 |
0.42% |