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长安鑫旺价值混合A基金净值查询(005049)

今天最新净值 2.0394 0.0197 0.9800% 2025-02-10
盘中实时估值(仅供参考) 2.0112 0.0135 0.6745%
  • 累计净值:2.0394
  • 成立日期:2017-09-21
  • 基金类型:混合型-灵活
  • 成立份额:
  • 最近份额:0.3818亿
  • 最近资产:0.26亿元
  • 基金公司:长安基金
  • 基金经理:徐小勇
近一年长安鑫旺价值混合A基金净值查询
基金历史净值按日期查询: -
近一年,长安鑫旺价值混合A(005049)基金累计收益率15.78%
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 005049 长安鑫旺价值混合A 2.0384 2.0384 2.0394 2.0394 -0.0010 -0.05%
2025-02-07 005049 长安鑫旺价值混合A 2.0394 2.0394 2.0197 2.0197 0.0197 0.98%
2025-02-06 005049 长安鑫旺价值混合A 2.0197 2.0197 2.0164 2.0164 0.0033 0.16%
2025-02-05 005049 长安鑫旺价值混合A 2.0164 2.0164 2.0507 2.0507 -0.0343 -1.67%
2025-01-27 005049 长安鑫旺价值混合A 2.0507 2.0507 2.0418 2.0418 0.0089 0.44%
2025-01-22 005049 长安鑫旺价值混合A 2.0455 2.0455 2.0598 2.0598 -0.0143 -0.69%
2025-01-14 005049 长安鑫旺价值混合A 2.0440 2.0440 2.0093 2.0093 0.0347 1.73%
2025-01-13 005049 长安鑫旺价值混合A 2.0093 2.0093 2.0207 2.0207 -0.0114 -0.56%
2025-01-10 005049 长安鑫旺价值混合A 2.0207 2.0207 2.0322 2.0322 -0.0115 -0.57%
2025-01-09 005049 长安鑫旺价值混合A 2.0322 2.0322 2.0429 2.0429 -0.0107 -0.52%
2025-01-08 005049 长安鑫旺价值混合A 2.0429 2.0429 2.0313 2.0313 0.0116 0.57%
2025-01-07 005049 长安鑫旺价值混合A 2.0313 2.0313 2.0194 2.0194 0.0119 0.59%
2025-01-06 005049 长安鑫旺价值混合A 2.0194 2.0194 2.0175 2.0175 0.0019 0.09%
2025-01-03 005049 长安鑫旺价值混合A 2.0175 2.0175 2.0206 2.0206 -0.0031 -0.15%
2025-01-02 005049 长安鑫旺价值混合A 2.0206 2.0206 2.0340 2.0340 -0.0134 -0.66%
2024-12-31 005049 长安鑫旺价值混合A 2.0340 2.0340 2.0440 2.0440 -0.0100 -0.49%
2024-12-26 005049 长安鑫旺价值混合A 2.0410 2.0410 2.0364 2.0364 0.0046 0.23%
2024-12-25 005049 长安鑫旺价值混合A 2.0364 2.0364 2.0385 2.0385 -0.0021 -0.10%
2024-12-24 005049 长安鑫旺价值混合A 2.0385 2.0385 2.0230 2.0230 0.0155 0.77%
2024-12-23 005049 长安鑫旺价值混合A 2.0230 2.0230 2.0269 2.0269 -0.0039 -0.19%
2024-12-20 005049 长安鑫旺价值混合A 2.0269 2.0269 2.0287 2.0287 -0.0018 -0.09%
2024-12-19 005049 长安鑫旺价值混合A 2.0287 2.0287 2.0309 2.0309 -0.0022 -0.11%
2024-12-18 005049 长安鑫旺价值混合A 2.0309 2.0309 2.0309 2.0309 0.0000 0.00%
2024-12-17 005049 长安鑫旺价值混合A 2.0309 2.0309 2.0328 2.0328 -0.0019 -0.09%
2024-12-16 005049 长安鑫旺价值混合A 2.0328 2.0328 2.0404 2.0404 -0.0076 -0.37%
2024-12-13 005049 长安鑫旺价值混合A 2.0404 2.0404 2.0619 2.0619 -0.0215 -1.04%
2024-12-12 005049 长安鑫旺价值混合A 2.0619 2.0619 2.0425 2.0425 0.0194 0.95%
2024-12-11 005049 长安鑫旺价值混合A 2.0425 2.0425 2.0242 2.0242 0.0183 0.90%
2024-12-10 005049 长安鑫旺价值混合A 2.0242 2.0242 2.0237 2.0237 0.0005 0.02%
2024-12-09 005049 长安鑫旺价值混合A 2.0237 2.0237 2.0380 2.0380 -0.0143 -0.70%
2024-12-06 005049 长安鑫旺价值混合A 2.0380 2.0380 2.0288 2.0288 0.0092 0.45%
2024-12-05 005049 长安鑫旺价值混合A 2.0288 2.0288 2.0231 2.0231 0.0057 0.28%
2024-12-04 005049 长安鑫旺价值混合A 2.0231 2.0231 2.0374 2.0374 -0.0143 -0.70%
2024-12-03 005049 长安鑫旺价值混合A 2.0374 2.0374 2.0415 2.0415 -0.0041 -0.20%
2024-12-02 005049 长安鑫旺价值混合A 2.0415 2.0415 2.0096 2.0096 0.0319 1.59%
2024-11-29 005049 长安鑫旺价值混合A 2.0096 2.0096 1.9867 1.9867 0.0229 1.15%
2024-11-28 005049 长安鑫旺价值混合A 1.9867 1.9867 2.0209 2.0209 -0.0342 -1.69%
2024-11-27 005049 长安鑫旺价值混合A 2.0209 2.0209 2.0021 2.0021 0.0188 0.94%
2024-11-26 005049 长安鑫旺价值混合A 2.0021 2.0021 1.9977 1.9977 0.0044 0.22%
2024-11-25 005049 长安鑫旺价值混合A 1.9977 1.9977 2.0283 2.0283 -0.0306 -1.51%
2024-11-22 005049 长安鑫旺价值混合A 2.0283 2.0283 2.0859 2.0859 -0.0576 -2.76%
2024-11-21 005049 长安鑫旺价值混合A 2.0859 2.0859 2.1117 2.1117 -0.0258 -1.22%
2024-11-20 005049 长安鑫旺价值混合A 2.1117 2.1117 2.0963 2.0963 0.0154 0.73%
2024-11-19 005049 长安鑫旺价值混合A 2.0963 2.0963 2.0626 2.0626 0.0337 1.63%
2024-11-18 005049 长安鑫旺价值混合A 2.0626 2.0626 2.1032 2.1032 -0.0406 -1.93%
2024-11-15 005049 长安鑫旺价值混合A 2.1032 2.1032 2.1624 2.1624 -0.0592 -2.74%
2024-11-14 005049 长安鑫旺价值混合A 2.1624 2.1624 2.2151 2.2151 -0.0527 -2.38%
2024-11-13 005049 长安鑫旺价值混合A 2.2151 2.2151 2.1722 2.1722 0.0429 1.97%
2024-11-12 005049 长安鑫旺价值混合A 2.1722 2.1722 2.1768 2.1768 -0.0046 -0.21%
2024-11-11 005049 长安鑫旺价值混合A 2.1768 2.1768 2.1844 2.1844 -0.0076 -0.35%
2024-11-08 005049 长安鑫旺价值混合A 2.1844 2.1844 2.1999 2.1999 -0.0155 -0.70%
2024-11-07 005049 长安鑫旺价值混合A 2.1999 2.1999 2.1607 2.1607 0.0392 1.81%
2024-11-06 005049 长安鑫旺价值混合A 2.1607 2.1607 2.2003 2.2003 -0.0396 -1.80%
2024-11-05 005049 长安鑫旺价值混合A 2.2003 2.2003 2.1628 2.1628 0.0375 1.73%
2024-11-04 005049 长安鑫旺价值混合A 2.1628 2.1628 2.1244 2.1244 0.0384 1.81%
2024-11-01 005049 长安鑫旺价值混合A 2.1244 2.1244 2.1523 2.1523 -0.0279 -1.30%
2024-10-31 005049 长安鑫旺价值混合A 2.1523 2.1523 2.1699 2.1699 -0.0176 -0.81%
2024-10-30 005049 长安鑫旺价值混合A 2.1699 2.1699 2.1850 2.1850 -0.0151 -0.69%
2024-10-29 005049 长安鑫旺价值混合A 2.1850 2.1850 2.2022 2.2022 -0.0172 -0.78%
2024-10-28 005049 长安鑫旺价值混合A 2.2022 2.2022 2.2299 2.2299 -0.0277 -1.24%
2024-10-25 005049 长安鑫旺价值混合A 2.2299 2.2299 2.2126 2.2126 0.0173 0.78%
2024-10-24 005049 长安鑫旺价值混合A 2.2126 2.2126 2.1991 2.1991 0.0135 0.61%
2024-10-23 005049 长安鑫旺价值混合A 2.1991 2.1991 2.2496 2.2496 -0.0505 -2.24%
2024-10-22 005049 长安鑫旺价值混合A 2.2496 2.2496 2.2195 2.2195 0.0301 1.36%
2024-10-21 005049 长安鑫旺价值混合A 2.2195 2.2195 2.1991 2.1991 0.0204 0.93%
2024-10-18 005049 长安鑫旺价值混合A 2.1991 2.1991 2.0694 2.0694 0.1297 6.27%
2024-10-17 005049 长安鑫旺价值混合A 2.0694 2.0694 2.0539 2.0539 0.0155 0.75%
2024-10-16 005049 长安鑫旺价值混合A 2.0539 2.0539 2.1133 2.1133 -0.0594 -2.81%
2024-10-15 005049 长安鑫旺价值混合A 2.1133 2.1133 2.1616 2.1616 -0.0483 -2.23%
2024-10-14 005049 长安鑫旺价值混合A 2.1616 2.1616 2.1022 2.1022 0.0594 2.83%
2024-10-11 005049 长安鑫旺价值混合A 2.1022 2.1022 2.1642 2.1642 -0.0620 -2.86%
2024-10-10 005049 长安鑫旺价值混合A 2.1642 2.1642 2.1812 2.1812 -0.0170 -0.78%
2024-10-09 005049 长安鑫旺价值混合A 2.1812 2.1812 2.3251 2.3251 -0.1439 -6.19%
2024-10-08 005049 长安鑫旺价值混合A 2.3251 2.3251 2.0952 2.0952 0.2299 10.97%
2024-09-30 005049 长安鑫旺价值混合A 2.0952 2.0952 1.8896 1.8896 0.2056 10.88%
2024-09-27 005049 长安鑫旺价值混合A 1.8896 1.8896 1.8131 1.8131 0.0765 4.22%
2024-09-26 005049 长安鑫旺价值混合A 1.8131 1.8131 1.7645 1.7645 0.0486 2.75%
2024-09-25 005049 长安鑫旺价值混合A 1.7645 1.7645 1.7707 1.7707 -0.0062 -0.35%
2024-09-24 005049 长安鑫旺价值混合A 1.7707 1.7707 1.6811 1.6811 0.0896 5.33%
2024-09-23 005049 长安鑫旺价值混合A 1.6811 1.6811 1.6866 1.6866 -0.0055 -0.33%
2024-09-20 005049 长安鑫旺价值混合A 1.6866 1.6866 1.6900 1.6900 -0.0034 -0.20%
2024-09-19 005049 长安鑫旺价值混合A 1.6900 1.6900 1.7070 1.7070 -0.0170 -1.00%
2024-09-18 005049 长安鑫旺价值混合A 1.7070 1.7070 1.7295 1.7295 -0.0225 -1.30%
2024-09-13 005049 长安鑫旺价值混合A 1.7295 1.7295 1.6875 1.6875 0.0420 2.49%
2024-09-12 005049 长安鑫旺价值混合A 1.6875 1.6875 1.6892 1.6892 -0.0017 -0.10%
2024-09-11 005049 长安鑫旺价值混合A 1.6892 1.6892 1.6907 1.6907 -0.0015 -0.09%
2024-09-10 005049 长安鑫旺价值混合A 1.6907 1.6907 1.6710 1.6710 0.0197 1.18%
2024-09-09 005049 长安鑫旺价值混合A 1.6710 1.6710 1.6648 1.6648 0.0062 0.37%
2024-09-06 005049 长安鑫旺价值混合A 1.6648 1.6648 1.6996 1.6996 -0.0348 -2.05%
2024-09-05 005049 长安鑫旺价值混合A 1.6996 1.6996 1.6977 1.6977 0.0019 0.11%
2024-09-04 005049 长安鑫旺价值混合A 1.6977 1.6977 1.7260 1.7260 -0.0283 -1.64%
2024-09-03 005049 长安鑫旺价值混合A 1.7260 1.7260 1.7206 1.7206 0.0054 0.31%
2024-09-02 005049 长安鑫旺价值混合A 1.7206 1.7206 1.7877 1.7877 -0.0671 -3.75%
2024-08-30 005049 长安鑫旺价值混合A 1.7877 1.7877 1.7346 1.7346 0.0531 3.06%
2024-08-29 005049 长安鑫旺价值混合A 1.7346 1.7346 1.7587 1.7587 -0.0241 -1.37%
2024-08-28 005049 长安鑫旺价值混合A 1.7587 1.7587 1.7577 1.7577 0.0010 0.06%
2024-08-27 005049 长安鑫旺价值混合A 1.7577 1.7577 1.7823 1.7823 -0.0246 -1.38%
2024-08-26 005049 长安鑫旺价值混合A 1.7823 1.7823 1.8085 1.8085 -0.0262 -1.45%
2024-08-23 005049 长安鑫旺价值混合A 1.8085 1.8085 1.8256 1.8256 -0.0171 -0.94%
2024-08-22 005049 长安鑫旺价值混合A 1.8256 1.8256 1.8298 1.8298 -0.0042 -0.23%
2024-08-21 005049 长安鑫旺价值混合A 1.8298 1.8298 1.8140 1.8140 0.0158 0.87%
2024-08-20 005049 长安鑫旺价值混合A 1.8140 1.8140 1.8260 1.8260 -0.0120 -0.66%
2024-08-19 005049 长安鑫旺价值混合A 1.8260 1.8260 1.8261 1.8261 -0.0001 -0.01%
2024-08-16 005049 长安鑫旺价值混合A 1.8261 1.8261 1.7937 1.7937 0.0324 1.81%
2024-08-15 005049 长安鑫旺价值混合A 1.7937 1.7937 1.7955 1.7955 -0.0018 -0.10%
2024-08-14 005049 长安鑫旺价值混合A 1.7955 1.7955 1.8142 1.8142 -0.0187 -1.03%
2024-08-13 005049 长安鑫旺价值混合A 1.8142 1.8142 1.7915 1.7915 0.0227 1.27%
2024-08-12 005049 长安鑫旺价值混合A 1.7915 1.7915 1.7825 1.7825 0.0090 0.50%
2024-08-09 005049 长安鑫旺价值混合A 1.7825 1.7825 1.7505 1.7505 0.0320 1.83%
2024-08-08 005049 长安鑫旺价值混合A 1.7505 1.7505 1.7615 1.7615 -0.0110 -0.62%
2024-08-07 005049 长安鑫旺价值混合A 1.7615 1.7615 1.7722 1.7722 -0.0107 -0.60%
2024-08-06 005049 长安鑫旺价值混合A 1.7722 1.7722 1.7367 1.7367 0.0355 2.04%
2024-08-05 005049 长安鑫旺价值混合A 1.7367 1.7367 1.8451 1.8451 -0.1084 -5.88%
2024-08-01 005049 长安鑫旺价值混合A 1.9370 1.9370 1.9319 1.9319 0.0051 0.26%
2024-07-31 005049 长安鑫旺价值混合A 1.9319 1.9319 1.8971 1.8971 0.0348 1.83%
2024-07-30 005049 长安鑫旺价值混合A 1.8971 1.8971 1.9188 1.9188 -0.0217 -1.13%
2024-07-29 005049 长安鑫旺价值混合A 1.9188 1.9188 1.8853 1.8853 0.0335 1.78%
2024-07-26 005049 长安鑫旺价值混合A 1.8853 1.8853 1.8584 1.8584 0.0269 1.45%
2024-07-25 005049 长安鑫旺价值混合A 1.8584 1.8584 1.9322 1.9322 -0.0738 -3.82%
2024-07-24 005049 长安鑫旺价值混合A 1.9322 1.9322 1.9397 1.9397 -0.0075 -0.39%
2024-07-23 005049 长安鑫旺价值混合A 1.9397 1.9397 1.9920 1.9920 -0.0523 -2.63%
2024-07-22 005049 长安鑫旺价值混合A 1.9920 1.9920 1.9847 1.9847 0.0073 0.37%
2024-07-19 005049 长安鑫旺价值混合A 1.9847 1.9847 2.0156 2.0156 -0.0309 -1.53%
2024-07-18 005049 长安鑫旺价值混合A 2.0156 2.0156 2.0160 2.0160 -0.0004 -0.02%
2024-07-17 005049 长安鑫旺价值混合A 2.0160 2.0160 2.0931 2.0931 -0.0771 -3.68%
2024-07-16 005049 长安鑫旺价值混合A 2.0931 2.0931 2.0636 2.0636 0.0295 1.43%
2024-07-15 005049 长安鑫旺价值混合A 2.0636 2.0636 2.0804 2.0804 -0.0168 -0.81%
2024-07-12 005049 长安鑫旺价值混合A 2.0804 2.0804 2.1190 2.1190 -0.0386 -1.82%
2024-07-11 005049 长安鑫旺价值混合A 2.1190 2.1190 2.1160 2.1160 0.0030 0.14%
2024-07-10 005049 长安鑫旺价值混合A 2.1160 2.1160 2.1134 2.1134 0.0026 0.12%
2024-07-09 005049 长安鑫旺价值混合A 2.1134 2.1134 2.0197 2.0197 0.0937 4.64%
2024-07-08 005049 长安鑫旺价值混合A 2.0197 2.0197 2.0113 2.0113 0.0084 0.42%
2024-07-05 005049 长安鑫旺价值混合A 2.0113 2.0113 2.0088 2.0088 0.0025 0.12%
2024-07-04 005049 长安鑫旺价值混合A 2.0088 2.0088 2.0103 2.0103 -0.0015 -0.07%
2024-07-03 005049 长安鑫旺价值混合A 2.0103 2.0103 2.0356 2.0356 -0.0253 -1.24%
2024-07-02 005049 长安鑫旺价值混合A 2.0356 2.0356 2.0520 2.0520 -0.0164 -0.80%
2024-07-01 005049 长安鑫旺价值混合A 2.0520 2.0520 1.9991 1.9991 0.0529 2.65%
2024-06-28 005049 长安鑫旺价值混合A 1.9991 1.9991 1.9652 1.9652 0.0339 1.73%
2024-06-27 005049 长安鑫旺价值混合A 1.9652 1.9652 2.0074 2.0074 -0.0422 -2.10%
2024-06-26 005049 长安鑫旺价值混合A 2.0074 2.0074 1.9555 1.9555 0.0519 2.65%
2024-06-25 005049 长安鑫旺价值混合A 1.9555 1.9555 2.0070 2.0070 -0.0515 -2.57%
2024-06-24 005049 长安鑫旺价值混合A 2.0070 2.0070 2.0430 2.0430 -0.0360 -1.76%
2024-06-21 005049 长安鑫旺价值混合A 2.0430 2.0430 2.0430 2.0430 0.0000 0.00%
2024-06-20 005049 长安鑫旺价值混合A 2.0430 2.0430 2.0576 2.0576 -0.0146 -0.71%
2024-06-19 005049 长安鑫旺价值混合A 2.0576 2.0576 2.0695 2.0695 -0.0119 -0.58%
2024-06-18 005049 长安鑫旺价值混合A 2.0695 2.0695 2.0388 2.0388 0.0307 1.51%
2024-06-17 005049 长安鑫旺价值混合A 2.0388 2.0388 2.0161 2.0161 0.0227 1.13%
2024-06-14 005049 长安鑫旺价值混合A 2.0161 2.0161 1.9361 1.9361 0.0800 4.13%
2024-06-13 005049 长安鑫旺价值混合A 1.9361 1.9361 1.9109 1.9109 0.0252 1.32%
2024-06-12 005049 长安鑫旺价值混合A 1.9109 1.9109 1.9060 1.9060 0.0049 0.26%
2024-06-11 005049 长安鑫旺价值混合A 1.9060 1.9060 1.9063 1.9063 -0.0003 -0.02%
2024-06-07 005049 长安鑫旺价值混合A 1.9063 1.9063 1.9447 1.9447 -0.0384 -1.97%
2024-06-06 005049 长安鑫旺价值混合A 1.9447 1.9447 1.9123 1.9123 0.0324 1.69%
2024-06-05 005049 长安鑫旺价值混合A 1.9123 1.9123 1.9475 1.9475 -0.0352 -1.81%
2024-06-04 005049 长安鑫旺价值混合A 1.9475 1.9475 1.9212 1.9212 0.0263 1.37%
2024-06-03 005049 长安鑫旺价值混合A 1.9212 1.9212 1.8716 1.8716 0.0496 2.65%
2024-05-31 005049 长安鑫旺价值混合A 1.8716 1.8716 1.8780 1.8780 -0.0064 -0.34%
2024-05-30 005049 长安鑫旺价值混合A 1.8780 1.8780 1.9018 1.9018 -0.0238 -1.25%
2024-05-29 005049 长安鑫旺价值混合A 1.9018 1.9018 1.9066 1.9066 -0.0048 -0.25%
2024-05-28 005049 长安鑫旺价值混合A 1.9066 1.9066 1.9385 1.9385 -0.0319 -1.65%
2024-05-27 005049 长安鑫旺价值混合A 1.9385 1.9385 1.8982 1.8982 0.0403 2.12%
2024-05-24 005049 长安鑫旺价值混合A 1.8982 1.8982 1.9333 1.9333 -0.0351 -1.82%
2024-05-23 005049 长安鑫旺价值混合A 1.9333 1.9333 1.9456 1.9456 -0.0123 -0.63%
2024-05-21 005049 长安鑫旺价值混合A 1.9800 1.9800 2.0013 2.0013 -0.0213 -1.06%
2024-05-20 005049 长安鑫旺价值混合A 2.0013 2.0013 1.9575 1.9575 0.0438 2.24%
2024-05-17 005049 长安鑫旺价值混合A 1.9575 1.9575 1.9478 1.9478 0.0097 0.50%
2024-05-16 005049 长安鑫旺价值混合A 1.9478 1.9478 1.9463 1.9463 0.0015 0.08%
2024-05-15 005049 长安鑫旺价值混合A 1.9463 1.9463 1.9446 1.9446 0.0017 0.09%
2024-05-14 005049 长安鑫旺价值混合A 1.9446 1.9446 1.9618 1.9618 -0.0172 -0.88%
2024-05-13 005049 长安鑫旺价值混合A 1.9618 1.9618 1.9649 1.9649 -0.0031 -0.16%
2024-05-10 005049 长安鑫旺价值混合A 1.9649 1.9649 1.9745 1.9745 -0.0096 -0.49%
2024-05-09 005049 长安鑫旺价值混合A 1.9745 1.9745 1.9759 1.9759 -0.0014 -0.07%
2024-05-08 005049 长安鑫旺价值混合A 1.9759 1.9759 1.9780 1.9780 -0.0021 -0.11%
2024-05-07 005049 长安鑫旺价值混合A 1.9780 1.9780 1.9976 1.9976 -0.0196 -0.98%
2024-05-06 005049 长安鑫旺价值混合A 1.9976 1.9976 1.9975 1.9975 0.0001 0.01%
2024-04-30 005049 长安鑫旺价值混合A 1.9975 1.9975 1.9947 1.9947 0.0028 0.14%
2024-04-29 005049 长安鑫旺价值混合A 1.9947 1.9947 1.9744 1.9744 0.0203 1.03%
2024-04-26 005049 长安鑫旺价值混合A 1.9744 1.9744 1.9026 1.9026 0.0718 3.77%
2024-04-24 005049 长安鑫旺价值混合A 1.9278 1.9278 1.8963 1.8963 0.0315 1.66%
2024-04-23 005049 长安鑫旺价值混合A 1.8963 1.8963 1.9163 1.9163 -0.0200 -1.04%
2024-04-22 005049 长安鑫旺价值混合A 1.9163 1.9163 1.9689 1.9689 -0.0526 -2.67%
2024-04-19 005049 长安鑫旺价值混合A 1.9689 1.9689 1.9901 1.9901 -0.0212 -1.07%
2024-04-18 005049 长安鑫旺价值混合A 1.9901 1.9901 1.9906 1.9906 -0.0005 -0.03%
2024-04-17 005049 长安鑫旺价值混合A 1.9906 1.9906 1.9430 1.9430 0.0476 2.45%
2024-04-16 005049 长安鑫旺价值混合A 1.9430 1.9430 1.9812 1.9812 -0.0382 -1.93%
2024-04-15 005049 长安鑫旺价值混合A 1.9812 1.9812 1.9654 1.9654 0.0158 0.80%
2024-04-12 005049 长安鑫旺价值混合A 1.9654 1.9654 1.9123 1.9123 0.0531 2.78%
2024-04-11 005049 长安鑫旺价值混合A 1.9123 1.9123 1.8956 1.8956 0.0167 0.88%
2024-04-10 005049 长安鑫旺价值混合A 1.8956 1.8956 1.9363 1.9363 -0.0407 -2.10%
2024-04-09 005049 长安鑫旺价值混合A 1.9363 1.9363 1.9388 1.9388 -0.0025 -0.13%
2024-04-08 005049 长安鑫旺价值混合A 1.9388 1.9388 1.9384 1.9384 0.0004 0.02%
2024-04-03 005049 长安鑫旺价值混合A 1.9384 1.9384 1.9747 1.9747 -0.0363 -1.84%
2024-04-02 005049 长安鑫旺价值混合A 1.9747 1.9747 1.9948 1.9948 -0.0201 -1.01%
2024-04-01 005049 长安鑫旺价值混合A 1.9948 1.9948 1.9520 1.9520 0.0428 2.19%
2024-03-29 005049 长安鑫旺价值混合A 1.9520 1.9520 1.9459 1.9459 0.0061 0.31%
2024-03-28 005049 长安鑫旺价值混合A 1.9459 1.9459 1.9165 1.9165 0.0294 1.53%
2024-03-27 005049 长安鑫旺价值混合A 1.9165 1.9165 1.9611 1.9611 -0.0446 -2.27%
2024-03-26 005049 长安鑫旺价值混合A 1.9611 1.9611 1.9982 1.9982 -0.0371 -1.86%
2024-03-25 005049 长安鑫旺价值混合A 1.9982 1.9982 2.0424 2.0424 -0.0442 -2.16%
2024-03-22 005049 长安鑫旺价值混合A 2.0424 2.0424 2.0283 2.0283 0.0141 0.70%
2024-03-21 005049 长安鑫旺价值混合A 2.0283 2.0283 2.0330 2.0330 -0.0047 -0.23%
2024-03-20 005049 长安鑫旺价值混合A 2.0330 2.0330 2.0394 2.0394 -0.0064 -0.31%
2024-03-19 005049 长安鑫旺价值混合A 2.0394 2.0394 2.0663 2.0663 -0.0269 -1.30%
2024-03-18 005049 长安鑫旺价值混合A 2.0663 2.0663 2.0238 2.0238 0.0425 2.10%
2024-03-15 005049 长安鑫旺价值混合A 2.0238 2.0238 1.9760 1.9760 0.0478 2.42%
2024-03-14 005049 长安鑫旺价值混合A 1.9760 1.9760 1.9744 1.9744 0.0016 0.08%
2024-03-13 005049 长安鑫旺价值混合A 1.9744 1.9744 1.9695 1.9695 0.0049 0.25%
2024-03-12 005049 长安鑫旺价值混合A 1.9695 1.9695 1.9899 1.9899 -0.0204 -1.03%
2024-03-11 005049 长安鑫旺价值混合A 1.9899 1.9899 1.9863 1.9863 0.0036 0.18%
2024-03-08 005049 长安鑫旺价值混合A 1.9863 1.9863 1.9262 1.9262 0.0601 3.12%
2024-03-07 005049 长安鑫旺价值混合A 1.9262 1.9262 1.9601 1.9601 -0.0339 -1.73%
2024-03-06 005049 长安鑫旺价值混合A 1.9601 1.9601 1.9752 1.9752 -0.0151 -0.76%
2024-03-05 005049 长安鑫旺价值混合A 1.9752 1.9752 1.9710 1.9710 0.0042 0.21%
2024-03-04 005049 长安鑫旺价值混合A 1.9710 1.9710 1.9294 1.9294 0.0416 2.16%
2024-03-01 005049 长安鑫旺价值混合A 1.9294 1.9294 1.8922 1.8922 0.0372 1.97%
2024-02-29 005049 长安鑫旺价值混合A 1.8922 1.8922 1.8331 1.8331 0.0591 3.22%
2024-02-28 005049 长安鑫旺价值混合A 1.8331 1.8331 1.9167 1.9167 -0.0836 -4.36%
2024-02-27 005049 长安鑫旺价值混合A 1.9167 1.9167 1.8433 1.8433 0.0734 3.98%
2024-02-26 005049 长安鑫旺价值混合A 1.8433 1.8433 1.8447 1.8447 -0.0014 -0.08%
2024-02-23 005049 长安鑫旺价值混合A 1.8447 1.8447 1.8562 1.8562 -0.0115 -0.62%
2024-02-22 005049 长安鑫旺价值混合A 1.8562 1.8562 1.8392 1.8392 0.0170 0.92%
2024-02-21 005049 长安鑫旺价值混合A 1.8392 1.8392 1.8800 1.8800 -0.0408 -2.17%
2024-02-20 005049 长安鑫旺价值混合A 1.8800 1.8800 1.8760 1.8760 0.0040 0.21%
2024-02-19 005049 长安鑫旺价值混合A 1.8760 1.8760 1.7606 1.7606 0.1154 6.55%
长安基金旗下基金涨幅榜
基金名称 单位净值 日增长率
长安鑫禧混合C 0.4100 1.38%
长安鑫禧混合A 0.4154 1.37%
长安裕盛混合A 0.6225 1.30%
长安裕盛混合C 0.6146 1.29%
长安鑫悦消费混合C 0.6683 0.39%
长安鑫悦消费混合A 0.6824 0.38%
长安鑫富领先混合A 1.7750 0.17%
长安裕泰混合A 1.8050 0.12%
长安裕泰混合C 1.8057 0.12%
长安泓源纯债债券A 1.0381 0.07%
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%