金基速查 - 基金速查网 - 开放式基金数据大全,每日基金净值查询
上证综指 深证成指 创业板指 沪深300 基金指数

汇安丰泽混合C基金净值查询(003890)

今天最新净值 2.1265 0.0219 1.0400% 2025-02-10
盘中实时估值(仅供参考) 2.1118 0.0011 0.0506%
  • 累计净值:2.6765
  • 成立日期:2017-01-13
  • 基金类型:混合型-灵活
  • 成立份额:
  • 最近份额:0.1882亿
  • 最近资产:0.41亿
  • 基金公司:汇安基金
  • 基金经理:陆丰 戴杰
近一季汇安丰泽混合C基金净值查询
基金历史净值按日期查询: -
近一季,汇安丰泽混合C(003890)基金累计收益率-3.67%
净值日期 基金代码 基金名称 最新单位净值 最新累计净值 上期单位净值 上期累计净值 当日增长值 当日增长率
2025-02-10 003890 汇安丰泽混合C 2.1149 2.6649 2.1265 2.6765 -0.0116 -0.55%
2025-02-07 003890 汇安丰泽混合C 2.1265 2.6765 2.1046 2.6546 0.0219 1.04%
2025-02-06 003890 汇安丰泽混合C 2.1046 2.6546 2.0629 2.6129 0.0417 2.02%
2025-02-05 003890 汇安丰泽混合C 2.0629 2.6129 2.0576 2.6076 0.0053 0.26%
2025-01-27 003890 汇安丰泽混合C 2.0576 2.6076 2.0835 2.6335 -0.0259 -1.24%
2025-01-22 003890 汇安丰泽混合C 2.0691 2.6191 2.0683 2.6183 0.0008 0.04%
2025-01-14 003890 汇安丰泽混合C 2.0300 2.5800 1.9474 2.4974 0.0826 4.24%
2025-01-13 003890 汇安丰泽混合C 1.9474 2.4974 1.9525 2.5025 -0.0051 -0.26%
2025-01-10 003890 汇安丰泽混合C 1.9525 2.5025 1.9824 2.5324 -0.0299 -1.51%
2025-01-09 003890 汇安丰泽混合C 1.9824 2.5324 1.9745 2.5245 0.0079 0.40%
2025-01-08 003890 汇安丰泽混合C 1.9745 2.5245 1.9724 2.5224 0.0021 0.11%
2025-01-07 003890 汇安丰泽混合C 1.9724 2.5224 1.9460 2.4960 0.0264 1.36%
2025-01-06 003890 汇安丰泽混合C 1.9460 2.4960 1.9431 2.4931 0.0029 0.15%
2025-01-03 003890 汇安丰泽混合C 1.9431 2.4931 1.9824 2.5324 -0.0393 -1.98%
2025-01-02 003890 汇安丰泽混合C 1.9824 2.5324 2.0261 2.5761 -0.0437 -2.16%
2024-12-31 003890 汇安丰泽混合C 2.0261 2.5761 2.0728 2.6228 -0.0467 -2.25%
2024-12-26 003890 汇安丰泽混合C 2.0914 2.6414 2.0689 2.6189 0.0225 1.09%
2024-12-25 003890 汇安丰泽混合C 2.0689 2.6189 2.0871 2.6371 -0.0182 -0.87%
2024-12-24 003890 汇安丰泽混合C 2.0871 2.6371 2.0684 2.6184 0.0187 0.90%
2024-12-23 003890 汇安丰泽混合C 2.0684 2.6184 2.0948 2.6448 -0.0264 -1.26%
2024-12-20 003890 汇安丰泽混合C 2.0948 2.6448 2.0763 2.6263 0.0185 0.89%
2024-12-19 003890 汇安丰泽混合C 2.0763 2.6263 2.0738 2.6238 0.0025 0.12%
2024-12-18 003890 汇安丰泽混合C 2.0738 2.6238 2.0701 2.6201 0.0037 0.18%
2024-12-17 003890 汇安丰泽混合C 2.0701 2.6201 2.0951 2.6451 -0.0250 -1.19%
2024-12-16 003890 汇安丰泽混合C 2.0951 2.6451 2.1228 2.6728 -0.0277 -1.30%
2024-12-13 003890 汇安丰泽混合C 2.1228 2.6728 2.1699 2.7199 -0.0471 -2.17%
2024-12-12 003890 汇安丰泽混合C 2.1699 2.7199 2.1610 2.7110 0.0089 0.41%
2024-12-11 003890 汇安丰泽混合C 2.1610 2.7110 2.1505 2.7005 0.0105 0.49%
2024-12-10 003890 汇安丰泽混合C 2.1505 2.7005 2.1371 2.6871 0.0134 0.63%
2024-12-09 003890 汇安丰泽混合C 2.1371 2.6871 2.1430 2.6930 -0.0059 -0.28%
2024-12-06 003890 汇安丰泽混合C 2.1430 2.6930 2.1351 2.6851 0.0079 0.37%
2024-12-05 003890 汇安丰泽混合C 2.1351 2.6851 2.1383 2.6883 -0.0032 -0.15%
2024-12-04 003890 汇安丰泽混合C 2.1383 2.6883 2.1622 2.7122 -0.0239 -1.11%
2024-12-03 003890 汇安丰泽混合C 2.1622 2.7122 2.1636 2.7136 -0.0014 -0.06%
2024-12-02 003890 汇安丰泽混合C 2.1636 2.7136 2.1354 2.6854 0.0282 1.32%
2024-11-29 003890 汇安丰泽混合C 2.1354 2.6854 2.1000 2.6500 0.0354 1.69%
2024-11-28 003890 汇安丰泽混合C 2.1000 2.6500 2.1198 2.6698 -0.0198 -0.93%
2024-11-27 003890 汇安丰泽混合C 2.1198 2.6698 2.0984 2.6484 0.0214 1.02%
2024-11-26 003890 汇安丰泽混合C 2.0984 2.6484 2.1107 2.6607 -0.0123 -0.58%
2024-11-25 003890 汇安丰泽混合C 2.1107 2.6607 2.1068 2.6568 0.0039 0.19%
2024-11-22 003890 汇安丰泽混合C 2.1068 2.6568 2.1726 2.7226 -0.0658 -3.03%
2024-11-21 003890 汇安丰泽混合C 2.1726 2.7226 2.1604 2.7104 0.0122 0.56%
2024-11-20 003890 汇安丰泽混合C 2.1604 2.7104 2.1563 2.7063 0.0041 0.19%
2024-11-19 003890 汇安丰泽混合C 2.1563 2.7063 2.0956 2.6456 0.0607 2.90%
2024-11-18 003890 汇安丰泽混合C 2.0956 2.6456 2.1235 2.6735 -0.0279 -1.31%
2024-11-15 003890 汇安丰泽混合C 2.1235 2.6735 2.1749 2.7249 -0.0514 -2.36%
2024-11-14 003890 汇安丰泽混合C 2.1749 2.7249 2.2342 2.7842 -0.0593 -2.65%
2024-11-13 003890 汇安丰泽混合C 2.2342 2.7842 2.2455 2.7955 -0.0113 -0.50%
2024-11-12 003890 汇安丰泽混合C 2.2455 2.7955 2.2680 2.8180 -0.0225 -0.99%
2024-11-11 003890 汇安丰泽混合C 2.2680 2.8180 2.2208 2.7708 0.0472 2.13%
混合型-灵活基金涨幅榜
基金名称 单位净值 日增长率
华富健康文娱灵活配置混合A 0.9231 2.85%
华富健康文娱灵活配置混合C 0.9188 2.84%
先锋聚优A 1.0694 2.76%
先锋聚优C 1.0905 2.76%
华夏新锦绣混合A 1.9753 2.53%
华夏新锦绣混合C 1.9724 2.53%
银河文体娱乐混合A 1.0219 2.43%
益民品质升级混合A 0.6893 2.42%
银河文体娱乐混合C 1.0015 2.41%
益民品质升级混合C 0.6881 2.40%