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创金合信产业臻选平衡混合A基金净值查询(016997)

今天最新净值 0.7777 0.0079 1.0300% 2025-02-10
盘中实时估值(仅供参考) 0.7319 -0.0021 -0.2923%
  • 累计净值:0.7777
  • 成立日期:2023-03-01
  • 基金类型:混合型-偏股
  • 成立份额:
  • 最近份额:1.7166亿
  • 最近资产:0.90亿元
  • 基金公司:创金合信基金
  • 基金经理:李游
近半年创金合信产业臻选平衡混合A基金净值查询
基金历史净值按日期查询: -
近半年,创金合信产业臻选平衡混合A(016997)基金累计收益率14.79%
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 016997 创金合信产业臻选平衡混合A 0.7815 0.7815 0.7777 0.7777 0.0038 0.49%
2025-02-07 016997 创金合信产业臻选平衡混合A 0.7777 0.7777 0.7698 0.7698 0.0079 1.03%
2025-02-06 016997 创金合信产业臻选平衡混合A 0.7698 0.7698 0.7639 0.7639 0.0059 0.77%
2025-02-05 016997 创金合信产业臻选平衡混合A 0.7639 0.7639 0.7555 0.7555 0.0084 1.11%
2025-01-27 016997 创金合信产业臻选平衡混合A 0.7555 0.7555 0.7565 0.7565 -0.0010 -0.13%
2025-01-22 016997 创金合信产业臻选平衡混合A 0.7556 0.7556 0.7586 0.7586 -0.0030 -0.40%
2025-01-14 016997 创金合信产业臻选平衡混合A 0.7431 0.7431 0.7307 0.7307 0.0124 1.70%
2025-01-13 016997 创金合信产业臻选平衡混合A 0.7307 0.7307 0.7327 0.7327 -0.0020 -0.27%
2025-01-10 016997 创金合信产业臻选平衡混合A 0.7327 0.7327 0.7378 0.7378 -0.0051 -0.69%
2025-01-09 016997 创金合信产业臻选平衡混合A 0.7378 0.7378 0.7343 0.7343 0.0035 0.48%
2025-01-08 016997 创金合信产业臻选平衡混合A 0.7343 0.7343 0.7385 0.7385 -0.0042 -0.57%
2025-01-07 016997 创金合信产业臻选平衡混合A 0.7385 0.7385 0.7361 0.7361 0.0024 0.33%
2025-01-06 016997 创金合信产业臻选平衡混合A 0.7361 0.7361 0.7436 0.7436 -0.0075 -1.01%
2025-01-03 016997 创金合信产业臻选平衡混合A 0.7436 0.7436 0.7466 0.7466 -0.0030 -0.40%
2025-01-02 016997 创金合信产业臻选平衡混合A 0.7466 0.7466 0.7510 0.7510 -0.0044 -0.59%
2024-12-31 016997 创金合信产业臻选平衡混合A 0.7510 0.7510 0.7563 0.7563 -0.0053 -0.70%
2024-12-26 016997 创金合信产业臻选平衡混合A 0.7556 0.7556 0.7549 0.7549 0.0007 0.09%
2024-12-25 016997 创金合信产业臻选平衡混合A 0.7549 0.7549 0.7592 0.7592 -0.0043 -0.57%
2024-12-24 016997 创金合信产业臻选平衡混合A 0.7592 0.7592 0.7519 0.7519 0.0073 0.97%
2024-12-23 016997 创金合信产业臻选平衡混合A 0.7519 0.7519 0.7562 0.7562 -0.0043 -0.57%
2024-12-20 016997 创金合信产业臻选平衡混合A 0.7562 0.7562 0.7587 0.7587 -0.0025 -0.33%
2024-12-19 016997 创金合信产业臻选平衡混合A 0.7587 0.7587 0.7579 0.7579 0.0008 0.11%
2024-12-18 016997 创金合信产业臻选平衡混合A 0.7579 0.7579 0.7557 0.7557 0.0022 0.29%
2024-12-17 016997 创金合信产业臻选平衡混合A 0.7557 0.7557 0.7569 0.7569 -0.0012 -0.16%
2024-12-16 016997 创金合信产业臻选平衡混合A 0.7569 0.7569 0.7552 0.7552 0.0017 0.23%
2024-12-13 016997 创金合信产业臻选平衡混合A 0.7552 0.7552 0.7638 0.7638 -0.0086 -1.13%
2024-12-12 016997 创金合信产业臻选平衡混合A 0.7638 0.7638 0.7587 0.7587 0.0051 0.67%
2024-12-11 016997 创金合信产业臻选平衡混合A 0.7587 0.7587 0.7562 0.7562 0.0025 0.33%
2024-12-10 016997 创金合信产业臻选平衡混合A 0.7562 0.7562 0.7570 0.7570 -0.0008 -0.11%
2024-12-09 016997 创金合信产业臻选平衡混合A 0.7570 0.7570 0.7547 0.7547 0.0023 0.30%
2024-12-06 016997 创金合信产业臻选平衡混合A 0.7547 0.7547 0.7456 0.7456 0.0091 1.22%
2024-12-05 016997 创金合信产业臻选平衡混合A 0.7456 0.7456 0.7502 0.7502 -0.0046 -0.61%
2024-12-04 016997 创金合信产业臻选平衡混合A 0.7502 0.7502 0.7525 0.7525 -0.0023 -0.31%
2024-12-03 016997 创金合信产业臻选平衡混合A 0.7525 0.7525 0.7521 0.7521 0.0004 0.05%
2024-12-02 016997 创金合信产业臻选平衡混合A 0.7521 0.7521 0.7464 0.7464 0.0057 0.76%
2024-11-29 016997 创金合信产业臻选平衡混合A 0.7464 0.7464 0.7364 0.7364 0.0100 1.36%
2024-11-28 016997 创金合信产业臻选平衡混合A 0.7364 0.7364 0.7418 0.7418 -0.0054 -0.73%
2024-11-27 016997 创金合信产业臻选平衡混合A 0.7418 0.7418 0.7304 0.7304 0.0114 1.56%
2024-11-26 016997 创金合信产业臻选平衡混合A 0.7304 0.7304 0.7340 0.7340 -0.0036 -0.49%
2024-11-25 016997 创金合信产业臻选平衡混合A 0.7340 0.7340 0.7347 0.7347 -0.0007 -0.10%
2024-11-22 016997 创金合信产业臻选平衡混合A 0.7347 0.7347 0.7464 0.7464 -0.0117 -1.57%
2024-11-21 016997 创金合信产业臻选平衡混合A 0.7464 0.7464 0.7449 0.7449 0.0015 0.20%
2024-11-20 016997 创金合信产业臻选平衡混合A 0.7449 0.7449 0.7434 0.7434 0.0015 0.20%
2024-11-19 016997 创金合信产业臻选平衡混合A 0.7434 0.7434 0.7355 0.7355 0.0079 1.07%
2024-11-18 016997 创金合信产业臻选平衡混合A 0.7355 0.7355 0.7398 0.7398 -0.0043 -0.58%
2024-11-15 016997 创金合信产业臻选平衡混合A 0.7398 0.7398 0.7455 0.7455 -0.0057 -0.76%
2024-11-14 016997 创金合信产业臻选平衡混合A 0.7455 0.7455 0.7552 0.7552 -0.0097 -1.28%
2024-11-13 016997 创金合信产业臻选平衡混合A 0.7552 0.7552 0.7544 0.7544 0.0008 0.11%
2024-11-12 016997 创金合信产业臻选平衡混合A 0.7544 0.7544 0.7612 0.7612 -0.0068 -0.89%
2024-11-11 016997 创金合信产业臻选平衡混合A 0.7612 0.7612 0.7635 0.7635 -0.0023 -0.30%
2024-11-08 016997 创金合信产业臻选平衡混合A 0.7635 0.7635 0.7665 0.7665 -0.0030 -0.39%
2024-11-07 016997 创金合信产业臻选平衡混合A 0.7665 0.7665 0.7643 0.7643 0.0022 0.29%
2024-11-06 016997 创金合信产业臻选平衡混合A 0.7643 0.7643 0.7694 0.7694 -0.0051 -0.66%
2024-11-05 016997 创金合信产业臻选平衡混合A 0.7694 0.7694 0.7612 0.7612 0.0082 1.08%
2024-11-04 016997 创金合信产业臻选平衡混合A 0.7612 0.7612 0.7516 0.7516 0.0096 1.28%
2024-11-01 016997 创金合信产业臻选平衡混合A 0.7516 0.7516 0.7486 0.7486 0.0030 0.40%
2024-10-31 016997 创金合信产业臻选平衡混合A 0.7486 0.7486 0.7563 0.7563 -0.0077 -1.02%
2024-10-30 016997 创金合信产业臻选平衡混合A 0.7563 0.7563 0.7592 0.7592 -0.0029 -0.38%
2024-10-29 016997 创金合信产业臻选平衡混合A 0.7592 0.7592 0.7578 0.7578 0.0014 0.18%
2024-10-28 016997 创金合信产业臻选平衡混合A 0.7578 0.7578 0.7602 0.7602 -0.0024 -0.32%
2024-10-25 016997 创金合信产业臻选平衡混合A 0.7602 0.7602 0.7583 0.7583 0.0019 0.25%
2024-10-24 016997 创金合信产业臻选平衡混合A 0.7583 0.7583 0.7642 0.7642 -0.0059 -0.77%
2024-10-23 016997 创金合信产业臻选平衡混合A 0.7642 0.7642 0.7595 0.7595 0.0047 0.62%
2024-10-22 016997 创金合信产业臻选平衡混合A 0.7595 0.7595 0.7552 0.7552 0.0043 0.57%
2024-10-21 016997 创金合信产业臻选平衡混合A 0.7552 0.7552 0.7547 0.7547 0.0005 0.07%
2024-10-18 016997 创金合信产业臻选平衡混合A 0.7547 0.7547 0.7309 0.7309 0.0238 3.26%
2024-10-17 016997 创金合信产业臻选平衡混合A 0.7309 0.7309 0.7354 0.7354 -0.0045 -0.61%
2024-10-16 016997 创金合信产业臻选平衡混合A 0.7354 0.7354 0.7433 0.7433 -0.0079 -1.06%
2024-10-15 016997 创金合信产业臻选平衡混合A 0.7433 0.7433 0.7635 0.7635 -0.0202 -2.65%
2024-10-14 016997 创金合信产业臻选平衡混合A 0.7635 0.7635 0.7582 0.7582 0.0053 0.70%
2024-10-11 016997 创金合信产业臻选平衡混合A 0.7582 0.7582 0.7714 0.7714 -0.0132 -1.71%
2024-10-10 016997 创金合信产业臻选平衡混合A 0.7714 0.7714 0.7617 0.7617 0.0097 1.27%
2024-10-09 016997 创金合信产业臻选平衡混合A 0.7617 0.7617 0.7947 0.7947 -0.0330 -4.15%
2024-10-08 016997 创金合信产业臻选平衡混合A 0.7947 0.7947 0.7748 0.7748 0.0199 2.57%
2024-09-30 016997 创金合信产业臻选平衡混合A 0.7748 0.7748 0.7374 0.7374 0.0374 5.07%
2024-09-27 016997 创金合信产业臻选平衡混合A 0.7374 0.7374 0.7191 0.7191 0.0183 2.54%
2024-09-26 016997 创金合信产业臻选平衡混合A 0.7191 0.7191 0.7024 0.7024 0.0167 2.38%
2024-09-25 016997 创金合信产业臻选平衡混合A 0.7024 0.7024 0.7007 0.7007 0.0017 0.24%
2024-09-24 016997 创金合信产业臻选平衡混合A 0.7007 0.7007 0.6857 0.6857 0.0150 2.19%
2024-09-23 016997 创金合信产业臻选平衡混合A 0.6857 0.6857 0.6888 0.6888 -0.0031 -0.45%
2024-09-20 016997 创金合信产业臻选平衡混合A 0.6888 0.6888 0.6865 0.6865 0.0023 0.34%
2024-09-19 016997 创金合信产业臻选平衡混合A 0.6865 0.6865 0.6834 0.6834 0.0031 0.45%
2024-09-18 016997 创金合信产业臻选平衡混合A 0.6834 0.6834 0.6759 0.6759 0.0075 1.11%
2024-09-13 016997 创金合信产业臻选平衡混合A 0.6759 0.6759 0.6759 0.6759 0.0000 0.00%
2024-09-12 016997 创金合信产业臻选平衡混合A 0.6759 0.6759 0.6759 0.6759 0.0000 0.00%
2024-09-11 016997 创金合信产业臻选平衡混合A 0.6759 0.6759 0.6700 0.6700 0.0059 0.88%
2024-09-10 016997 创金合信产业臻选平衡混合A 0.6700 0.6700 0.6701 0.6701 -0.0001 -0.01%
2024-09-09 016997 创金合信产业臻选平衡混合A 0.6701 0.6701 0.6758 0.6758 -0.0057 -0.84%
2024-09-06 016997 创金合信产业臻选平衡混合A 0.6758 0.6758 0.6804 0.6804 -0.0046 -0.68%
2024-09-05 016997 创金合信产业臻选平衡混合A 0.6804 0.6804 0.6799 0.6799 0.0005 0.07%
2024-09-04 016997 创金合信产业臻选平衡混合A 0.6799 0.6799 0.6842 0.6842 -0.0043 -0.63%
2024-09-03 016997 创金合信产业臻选平衡混合A 0.6842 0.6842 0.6799 0.6799 0.0043 0.63%
2024-09-02 016997 创金合信产业臻选平衡混合A 0.6799 0.6799 0.6875 0.6875 -0.0076 -1.11%
2024-08-30 016997 创金合信产业臻选平衡混合A 0.6875 0.6875 0.6794 0.6794 0.0081 1.19%
2024-08-29 016997 创金合信产业臻选平衡混合A 0.6794 0.6794 0.6775 0.6775 0.0019 0.28%
2024-08-28 016997 创金合信产业臻选平衡混合A 0.6775 0.6775 0.6808 0.6808 -0.0033 -0.48%
2024-08-27 016997 创金合信产业臻选平衡混合A 0.6808 0.6808 0.6843 0.6843 -0.0035 -0.51%
2024-08-26 016997 创金合信产业臻选平衡混合A 0.6843 0.6843 0.6822 0.6822 0.0021 0.31%
2024-08-23 016997 创金合信产业臻选平衡混合A 0.6822 0.6822 0.6817 0.6817 0.0005 0.07%
2024-08-22 016997 创金合信产业臻选平衡混合A 0.6817 0.6817 0.6819 0.6819 -0.0002 -0.03%
2024-08-21 016997 创金合信产业臻选平衡混合A 0.6819 0.6819 0.6791 0.6791 0.0028 0.41%
2024-08-20 016997 创金合信产业臻选平衡混合A 0.6791 0.6791 0.6828 0.6828 -0.0037 -0.54%
2024-08-19 016997 创金合信产业臻选平衡混合A 0.6828 0.6828 0.6784 0.6784 0.0044 0.65%
2024-08-16 016997 创金合信产业臻选平衡混合A 0.6784 0.6784 0.6746 0.6746 0.0038 0.56%
2024-08-15 016997 创金合信产业臻选平衡混合A 0.6746 0.6746 0.6721 0.6721 0.0025 0.37%
2024-08-14 016997 创金合信产业臻选平衡混合A 0.6721 0.6721 0.6780 0.6780 -0.0059 -0.87%
2024-08-13 016997 创金合信产业臻选平衡混合A 0.6780 0.6780 0.6759 0.6759 0.0021 0.31%
2024-08-12 016997 创金合信产业臻选平衡混合A 0.6759 0.6759 0.6749 0.6749 0.0010 0.15%
混合型-偏股基金涨幅榜
基金名称 单位净值 日增长率
诺安策略 1.9920 3.43%
银河消费混合A 1.5910 2.98%
诺安精选价值混合A 1.0731 2.97%
诺安精选价值混合C 1.0697 2.96%
鑫元消费甄选混合发起C 0.6595 2.92%
银河消费混合C 1.5580 2.91%
鑫元消费甄选混合发起A 0.6642 2.91%
永赢医药创新智选混合发起A 0.9528 2.53%
永赢医药创新智选混合发起C 0.9461 2.52%
汇泉启元未来混合发起式A 0.8139 2.42%