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鑫元价值精选混合C(鑫元价值精选C)基金净值查询(005494)

今天最新净值 1.0657 0.0057 0.5400% 2025-02-10
盘中实时估值(仅供参考) 0.9328 -0.0027 -0.2917%
  • 累计净值:1.0657
  • 成立日期:2018-01-23
  • 基金类型:混合型-灵活
  • 成立份额:
  • 最近份额:0.7680亿
  • 最近资产:0.04亿元
  • 基金公司:鑫元基金
  • 基金经理:赵慧 丁玥 林启姜 刘俊文
近一季鑫元价值精选混合C|鑫元价值精选C基金净值查询
基金历史净值按日期查询: -
近一季,鑫元价值精选混合C(005494)基金累计收益率7.59%
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 005494 鑫元价值精选混合C 1.0945 1.0945 1.0657 1.0657 0.0288 2.70%
2025-02-07 005494 鑫元价值精选混合C 1.0657 1.0657 1.0600 1.0600 0.0057 0.54%
2025-02-06 005494 鑫元价值精选混合C 1.0600 1.0600 1.0365 1.0365 0.0235 2.27%
2025-02-05 005494 鑫元价值精选混合C 1.0365 1.0365 1.0247 1.0247 0.0118 1.15%
2025-01-27 005494 鑫元价值精选混合C 1.0247 1.0247 1.0225 1.0225 0.0022 0.22%
2025-01-22 005494 鑫元价值精选混合C 1.0153 1.0153 1.0195 1.0195 -0.0042 -0.41%
2025-01-14 005494 鑫元价值精选混合C 1.0046 1.0046 0.9750 0.9750 0.0296 3.04%
2025-01-13 005494 鑫元价值精选混合C 0.9750 0.9750 0.9768 0.9768 -0.0018 -0.18%
2025-01-10 005494 鑫元价值精选混合C 0.9768 0.9768 0.9923 0.9923 -0.0155 -1.56%
2025-01-09 005494 鑫元价值精选混合C 0.9923 0.9923 0.9919 0.9919 0.0004 0.04%
2025-01-08 005494 鑫元价值精选混合C 0.9919 0.9919 0.9967 0.9967 -0.0048 -0.48%
2025-01-07 005494 鑫元价值精选混合C 0.9967 0.9967 0.9786 0.9786 0.0181 1.85%
2025-01-06 005494 鑫元价值精选混合C 0.9786 0.9786 0.9959 0.9959 -0.0173 -1.74%
2025-01-03 005494 鑫元价值精选混合C 0.9959 0.9959 1.0070 1.0070 -0.0111 -1.10%
2025-01-02 005494 鑫元价值精选混合C 1.0070 1.0070 1.0160 1.0160 -0.0090 -0.89%
2024-12-31 005494 鑫元价值精选混合C 1.0160 1.0160 1.0327 1.0327 -0.0167 -1.62%
2024-12-26 005494 鑫元价值精选混合C 1.0589 1.0589 1.0405 1.0405 0.0184 1.77%
2024-12-25 005494 鑫元价值精选混合C 1.0405 1.0405 1.0447 1.0447 -0.0042 -0.40%
2024-12-24 005494 鑫元价值精选混合C 1.0447 1.0447 1.0278 1.0278 0.0169 1.64%
2024-12-23 005494 鑫元价值精选混合C 1.0278 1.0278 1.0528 1.0528 -0.0250 -2.37%
2024-12-20 005494 鑫元价值精选混合C 1.0528 1.0528 1.0168 1.0168 0.0360 3.54%
2024-12-19 005494 鑫元价值精选混合C 1.0168 1.0168 1.0238 1.0238 -0.0070 -0.68%
2024-12-18 005494 鑫元价值精选混合C 1.0238 1.0238 0.9764 0.9764 0.0474 4.85%
2024-12-17 005494 鑫元价值精选混合C 0.9764 0.9764 0.9997 0.9997 -0.0233 -2.33%
2024-12-16 005494 鑫元价值精选混合C 0.9997 0.9997 1.0082 1.0082 -0.0085 -0.84%
2024-12-13 005494 鑫元价值精选混合C 1.0082 1.0082 1.0073 1.0073 0.0009 0.09%
2024-12-12 005494 鑫元价值精选混合C 1.0073 1.0073 0.9876 0.9876 0.0197 1.99%
2024-12-11 005494 鑫元价值精选混合C 0.9876 0.9876 0.9744 0.9744 0.0132 1.35%
2024-12-10 005494 鑫元价值精选混合C 0.9744 0.9744 0.9615 0.9615 0.0129 1.34%
2024-12-09 005494 鑫元价值精选混合C 0.9615 0.9615 0.9491 0.9491 0.0124 1.31%
2024-12-06 005494 鑫元价值精选混合C 0.9491 0.9491 0.9392 0.9392 0.0099 1.05%
2024-12-05 005494 鑫元价值精选混合C 0.9392 0.9392 0.9415 0.9415 -0.0023 -0.24%
2024-12-04 005494 鑫元价值精选混合C 0.9415 0.9415 0.9437 0.9437 -0.0022 -0.23%
2024-12-03 005494 鑫元价值精选混合C 0.9437 0.9437 0.9468 0.9468 -0.0031 -0.33%
2024-12-02 005494 鑫元价值精选混合C 0.9468 0.9468 0.9309 0.9309 0.0159 1.71%
2024-11-29 005494 鑫元价值精选混合C 0.9309 0.9309 0.9235 0.9235 0.0074 0.80%
2024-11-28 005494 鑫元价值精选混合C 0.9235 0.9235 0.9466 0.9466 -0.0231 -2.44%
2024-11-27 005494 鑫元价值精选混合C 0.9466 0.9466 0.9226 0.9226 0.0240 2.60%
2024-11-26 005494 鑫元价值精选混合C 0.9226 0.9226 0.9355 0.9355 -0.0129 -1.38%
2024-11-25 005494 鑫元价值精选混合C 0.9355 0.9355 0.9438 0.9438 -0.0083 -0.88%
2024-11-22 005494 鑫元价值精选混合C 0.9438 0.9438 0.9648 0.9648 -0.0210 -2.18%
2024-11-21 005494 鑫元价值精选混合C 0.9648 0.9648 0.9654 0.9654 -0.0006 -0.06%
2024-11-20 005494 鑫元价值精选混合C 0.9654 0.9654 0.9690 0.9690 -0.0036 -0.37%
2024-11-19 005494 鑫元价值精选混合C 0.9690 0.9690 0.9549 0.9549 0.0141 1.48%
2024-11-18 005494 鑫元价值精选混合C 0.9549 0.9549 0.9559 0.9559 -0.0010 -0.10%
2024-11-15 005494 鑫元价值精选混合C 0.9559 0.9559 0.9634 0.9634 -0.0075 -0.78%
2024-11-14 005494 鑫元价值精选混合C 0.9634 0.9634 0.9862 0.9862 -0.0228 -2.31%
2024-11-13 005494 鑫元价值精选混合C 0.9862 0.9862 0.9851 0.9851 0.0011 0.11%
2024-11-12 005494 鑫元价值精选混合C 0.9851 0.9851 1.0130 1.0130 -0.0279 -2.75%
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%