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宝盈祥和9个月定开混合A(宝盈祥和定开混合A)基金净值查询(010747)

今天最新净值 1.0713 -0.0017 -0.1600% 2025-02-14
盘中实时估值(仅供参考) 1.0326 -0.0009 -0.0905%
  • 累计净值:1.0713
  • 成立日期:
  • 基金类型:混合型-偏债
  • 成立份额:
  • 最近份额:0.2540亿
  • 最近资产:0.26亿
  • 基金公司:宝盈基金
  • 基金经理:邓栋 蔡丹
近半年宝盈祥和9个月定开混合A|宝盈祥和定开混合A基金净值查询
基金历史净值按日期查询: -
近半年,宝盈祥和9个月定开混合A(010747)基金累计收益率7.35%
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
2025-02-14 010747 宝盈祥和9个月定开混合A 1.0715 1.0715 1.0713 1.0713 0.0002 0.02%
2025-02-13 010747 宝盈祥和9个月定开混合A 1.0713 1.0713 1.0730 1.0730 -0.0017 -0.16%
2025-02-12 010747 宝盈祥和9个月定开混合A 1.0730 1.0730 1.0710 1.0710 0.0020 0.19%
2025-02-11 010747 宝盈祥和9个月定开混合A 1.0710 1.0710 1.0717 1.0717 -0.0007 -0.07%
2025-02-10 010747 宝盈祥和9个月定开混合A 1.0717 1.0717 1.0699 1.0699 0.0018 0.17%
2025-02-07 010747 宝盈祥和9个月定开混合A 1.0699 1.0699 1.0676 1.0676 0.0023 0.22%
2025-02-06 010747 宝盈祥和9个月定开混合A 1.0676 1.0676 1.0651 1.0651 0.0025 0.23%
2025-02-05 010747 宝盈祥和9个月定开混合A 1.0651 1.0651 1.0653 1.0653 -0.0002 -0.02%
2025-01-27 010747 宝盈祥和9个月定开混合A 1.0653 1.0653 1.0646 1.0646 0.0007 0.07%
2025-01-22 010747 宝盈祥和9个月定开混合A 1.0641 1.0641 1.0662 1.0662 -0.0021 -0.20%
2025-01-14 010747 宝盈祥和9个月定开混合A 1.0563 1.0563 1.0486 1.0486 0.0077 0.73%
2025-01-13 010747 宝盈祥和9个月定开混合A 1.0486 1.0486 1.0499 1.0499 -0.0013 -0.12%
2025-01-10 010747 宝盈祥和9个月定开混合A 1.0499 1.0499 1.0531 1.0531 -0.0032 -0.30%
2025-01-09 010747 宝盈祥和9个月定开混合A 1.0531 1.0531 1.0551 1.0551 -0.0020 -0.19%
2025-01-08 010747 宝盈祥和9个月定开混合A 1.0551 1.0551 1.0546 1.0546 0.0005 0.05%
2025-01-07 010747 宝盈祥和9个月定开混合A 1.0546 1.0546 1.0519 1.0519 0.0027 0.26%
2025-01-06 010747 宝盈祥和9个月定开混合A 1.0519 1.0519 1.0518 1.0518 0.0001 0.01%
2025-01-03 010747 宝盈祥和9个月定开混合A 1.0518 1.0518 1.0570 1.0570 -0.0052 -0.49%
2025-01-02 010747 宝盈祥和9个月定开混合A 1.0570 1.0570 1.0591 1.0591 -0.0021 -0.20%
2024-12-31 010747 宝盈祥和9个月定开混合A 1.0591 1.0591 1.0627 1.0627 -0.0036 -0.34%
2024-12-26 010747 宝盈祥和9个月定开混合A 1.0583 1.0583 1.0565 1.0565 0.0018 0.17%
2024-12-25 010747 宝盈祥和9个月定开混合A 1.0565 1.0565 1.0595 1.0595 -0.0030 -0.28%
2024-12-24 010747 宝盈祥和9个月定开混合A 1.0595 1.0595 1.0553 1.0553 0.0042 0.40%
2024-12-23 010747 宝盈祥和9个月定开混合A 1.0553 1.0553 1.0585 1.0585 -0.0032 -0.30%
2024-12-20 010747 宝盈祥和9个月定开混合A 1.0585 1.0585 1.0555 1.0555 0.0030 0.28%
2024-12-19 010747 宝盈祥和9个月定开混合A 1.0555 1.0555 1.0542 1.0542 0.0013 0.12%
2024-12-18 010747 宝盈祥和9个月定开混合A 1.0542 1.0542 1.0535 1.0535 0.0007 0.07%
2024-12-17 010747 宝盈祥和9个月定开混合A 1.0535 1.0535 1.0583 1.0583 -0.0048 -0.45%
2024-12-16 010747 宝盈祥和9个月定开混合A 1.0583 1.0583 1.0588 1.0588 -0.0005 -0.05%
2024-12-13 010747 宝盈祥和9个月定开混合A 1.0588 1.0588 1.0602 1.0602 -0.0014 -0.13%
2024-12-12 010747 宝盈祥和9个月定开混合A 1.0602 1.0602 1.0576 1.0576 0.0026 0.25%
2024-12-11 010747 宝盈祥和9个月定开混合A 1.0576 1.0576 1.0568 1.0568 0.0008 0.08%
2024-12-10 010747 宝盈祥和9个月定开混合A 1.0568 1.0568 1.0510 1.0510 0.0058 0.55%
2024-12-09 010747 宝盈祥和9个月定开混合A 1.0510 1.0510 1.0484 1.0484 0.0026 0.25%
2024-12-06 010747 宝盈祥和9个月定开混合A 1.0484 1.0484 1.0468 1.0468 0.0016 0.15%
2024-12-05 010747 宝盈祥和9个月定开混合A 1.0468 1.0468 1.0449 1.0449 0.0019 0.18%
2024-12-04 010747 宝盈祥和9个月定开混合A 1.0449 1.0449 1.0465 1.0465 -0.0016 -0.15%
2024-12-03 010747 宝盈祥和9个月定开混合A 1.0465 1.0465 1.0463 1.0463 0.0002 0.02%
2024-12-02 010747 宝盈祥和9个月定开混合A 1.0463 1.0463 1.0405 1.0405 0.0058 0.56%
2024-11-29 010747 宝盈祥和9个月定开混合A 1.0405 1.0405 1.0369 1.0369 0.0036 0.35%
2024-11-28 010747 宝盈祥和9个月定开混合A 1.0369 1.0369 1.0362 1.0362 0.0007 0.07%
2024-11-27 010747 宝盈祥和9个月定开混合A 1.0362 1.0362 1.0337 1.0337 0.0025 0.24%
2024-11-26 010747 宝盈祥和9个月定开混合A 1.0337 1.0337 1.0335 1.0335 0.0002 0.02%
2024-11-25 010747 宝盈祥和9个月定开混合A 1.0335 1.0335 1.0318 1.0318 0.0017 0.16%
2024-11-22 010747 宝盈祥和9个月定开混合A 1.0318 1.0318 1.0382 1.0382 -0.0064 -0.62%
2024-11-21 010747 宝盈祥和9个月定开混合A 1.0382 1.0382 1.0376 1.0376 0.0006 0.06%
2024-11-20 010747 宝盈祥和9个月定开混合A 1.0376 1.0376 1.0354 1.0354 0.0022 0.21%
2024-11-19 010747 宝盈祥和9个月定开混合A 1.0354 1.0354 1.0314 1.0314 0.0040 0.39%
2024-11-18 010747 宝盈祥和9个月定开混合A 1.0314 1.0314 1.0329 1.0329 -0.0015 -0.15%
2024-11-15 010747 宝盈祥和9个月定开混合A 1.0329 1.0329 1.0367 1.0367 -0.0038 -0.37%
2024-11-14 010747 宝盈祥和9个月定开混合A 1.0367 1.0367 1.0408 1.0408 -0.0041 -0.39%
2024-11-13 010747 宝盈祥和9个月定开混合A 1.0408 1.0408 1.0389 1.0389 0.0019 0.18%
2024-11-12 010747 宝盈祥和9个月定开混合A 1.0389 1.0389 1.0391 1.0391 -0.0002 -0.02%
2024-11-11 010747 宝盈祥和9个月定开混合A 1.0391 1.0391 1.0357 1.0357 0.0034 0.33%
2024-11-08 010747 宝盈祥和9个月定开混合A 1.0357 1.0357 1.0369 1.0369 -0.0012 -0.12%
2024-11-07 010747 宝盈祥和9个月定开混合A 1.0369 1.0369 1.0335 1.0335 0.0034 0.33%
2024-11-06 010747 宝盈祥和9个月定开混合A 1.0335 1.0335 1.0342 1.0342 -0.0007 -0.07%
2024-11-05 010747 宝盈祥和9个月定开混合A 1.0342 1.0342 1.0310 1.0310 0.0032 0.31%
2024-11-04 010747 宝盈祥和9个月定开混合A 1.0310 1.0310 1.0277 1.0277 0.0033 0.32%
2024-11-01 010747 宝盈祥和9个月定开混合A 1.0277 1.0277 1.0310 1.0310 -0.0033 -0.32%
2024-10-31 010747 宝盈祥和9个月定开混合A 1.0310 1.0310 1.0294 1.0294 0.0016 0.16%
2024-10-30 010747 宝盈祥和9个月定开混合A 1.0294 1.0294 1.0310 1.0310 -0.0016 -0.16%
2024-10-29 010747 宝盈祥和9个月定开混合A 1.0310 1.0310 1.0328 1.0328 -0.0018 -0.17%
2024-10-28 010747 宝盈祥和9个月定开混合A 1.0328 1.0328 1.0297 1.0297 0.0031 0.30%
2024-10-25 010747 宝盈祥和9个月定开混合A 1.0297 1.0297 1.0265 1.0265 0.0032 0.31%
2024-10-24 010747 宝盈祥和9个月定开混合A 1.0265 1.0265 1.0265 1.0265 0.0000 0.00%
2024-10-23 010747 宝盈祥和9个月定开混合A 1.0265 1.0265 1.0274 1.0274 -0.0009 -0.09%
2024-10-22 010747 宝盈祥和9个月定开混合A 1.0274 1.0274 1.0268 1.0268 0.0006 0.06%
2024-10-21 010747 宝盈祥和9个月定开混合A 1.0268 1.0268 1.0239 1.0239 0.0029 0.28%
2024-10-18 010747 宝盈祥和9个月定开混合A 1.0239 1.0239 1.0194 1.0194 0.0045 0.44%
2024-10-17 010747 宝盈祥和9个月定开混合A 1.0194 1.0194 1.0199 1.0199 -0.0005 -0.05%
2024-10-16 010747 宝盈祥和9个月定开混合A 1.0199 1.0199 1.0202 1.0202 -0.0003 -0.03%
2024-10-15 010747 宝盈祥和9个月定开混合A 1.0202 1.0202 1.0219 1.0219 -0.0017 -0.17%
2024-10-14 010747 宝盈祥和9个月定开混合A 1.0219 1.0219 1.0164 1.0164 0.0055 0.54%
2024-10-11 010747 宝盈祥和9个月定开混合A 1.0164 1.0164 1.0212 1.0212 -0.0048 -0.47%
2024-10-10 010747 宝盈祥和9个月定开混合A 1.0212 1.0212 1.0178 1.0178 0.0034 0.33%
2024-10-09 010747 宝盈祥和9个月定开混合A 1.0178 1.0178 1.0354 1.0354 -0.0176 -1.70%
2024-10-08 010747 宝盈祥和9个月定开混合A 1.0354 1.0354 1.0236 1.0236 0.0118 1.15%
2024-09-30 010747 宝盈祥和9个月定开混合A 1.0236 1.0236 1.0077 1.0077 0.0159 1.58%
2024-09-27 010747 宝盈祥和9个月定开混合A 1.0077 1.0077 1.0044 1.0044 0.0033 0.33%
2024-09-26 010747 宝盈祥和9个月定开混合A 1.0044 1.0044 1.0014 1.0014 0.0030 0.30%
2024-09-25 010747 宝盈祥和9个月定开混合A 1.0014 1.0014 0.9990 0.9990 0.0024 0.24%
2024-09-24 010747 宝盈祥和9个月定开混合A 0.9990 0.9990 0.9947 0.9947 0.0043 0.43%
2024-09-23 010747 宝盈祥和9个月定开混合A 0.9947 0.9947 0.9956 0.9956 -0.0009 -0.09%
2024-09-20 010747 宝盈祥和9个月定开混合A 0.9956 0.9956 0.9964 0.9964 -0.0008 -0.08%
2024-09-19 010747 宝盈祥和9个月定开混合A 0.9964 0.9964 0.9944 0.9944 0.0020 0.20%
2024-09-18 010747 宝盈祥和9个月定开混合A 0.9944 0.9944 0.9940 0.9940 0.0004 0.04%
2024-09-13 010747 宝盈祥和9个月定开混合A 0.9940 0.9940 0.9950 0.9950 -0.0010 -0.10%
2024-09-12 010747 宝盈祥和9个月定开混合A 0.9950 0.9950 0.9951 0.9951 -0.0001 -0.01%
2024-09-11 010747 宝盈祥和9个月定开混合A 0.9951 0.9951 0.9944 0.9944 0.0007 0.07%
2024-09-10 010747 宝盈祥和9个月定开混合A 0.9944 0.9944 0.9928 0.9928 0.0016 0.16%
2024-09-09 010747 宝盈祥和9个月定开混合A 0.9928 0.9928 0.9937 0.9937 -0.0009 -0.09%
2024-09-06 010747 宝盈祥和9个月定开混合A 0.9937 0.9937 0.9959 0.9959 -0.0022 -0.22%
2024-09-05 010747 宝盈祥和9个月定开混合A 0.9959 0.9959 0.9950 0.9950 0.0009 0.09%
2024-09-04 010747 宝盈祥和9个月定开混合A 0.9950 0.9950 0.9955 0.9955 -0.0005 -0.05%
2024-09-03 010747 宝盈祥和9个月定开混合A 0.9955 0.9955 0.9935 0.9935 0.0020 0.20%
2024-09-02 010747 宝盈祥和9个月定开混合A 0.9935 0.9935 0.9972 0.9972 -0.0037 -0.37%
2024-08-30 010747 宝盈祥和9个月定开混合A 0.9972 0.9972 0.9947 0.9947 0.0025 0.25%
2024-08-29 010747 宝盈祥和9个月定开混合A 0.9947 0.9947 0.9910 0.9910 0.0037 0.37%
2024-08-28 010747 宝盈祥和9个月定开混合A 0.9910 0.9910 0.9907 0.9907 0.0003 0.03%
2024-08-27 010747 宝盈祥和9个月定开混合A 0.9907 0.9907 0.9939 0.9939 -0.0032 -0.32%
2024-08-26 010747 宝盈祥和9个月定开混合A 0.9939 0.9939 0.9929 0.9929 0.0010 0.10%
2024-08-23 010747 宝盈祥和9个月定开混合A 0.9929 0.9929 0.9934 0.9934 -0.0005 -0.05%
2024-08-22 010747 宝盈祥和9个月定开混合A 0.9934 0.9934 0.9946 0.9946 -0.0012 -0.12%
2024-08-21 010747 宝盈祥和9个月定开混合A 0.9946 0.9946 0.9951 0.9951 -0.0005 -0.05%
2024-08-20 010747 宝盈祥和9个月定开混合A 0.9951 0.9951 0.9980 0.9980 -0.0029 -0.29%
2024-08-19 010747 宝盈祥和9个月定开混合A 0.9980 0.9980 0.9977 0.9977 0.0003 0.03%
2024-08-16 010747 宝盈祥和9个月定开混合A 0.9977 0.9977 0.9975 0.9975 0.0002 0.02%
2024-08-15 010747 宝盈祥和9个月定开混合A 0.9975 0.9975 0.9969 0.9969 0.0006 0.06%
混合型-偏债基金涨幅榜
基金名称 单位净值 日增长率
工银聚享混合A 0.9932 1.14%
工银聚享混合C 0.9900 1.13%
万家优享平衡混合发起式A 0.8639 1.04%
万家优享平衡混合发起式C 0.8533 1.03%
圆信永丰沣泰混合 1.3069 0.67%
北信瑞丰丰利 1.0221 0.60%
华夏磐泰LOF 1.5454 0.58%
华夏磐泰混合C 1.5441 0.57%
0.9895 0.54%
富国久利稳健配置混合型A 1.0747 0.46%