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汇安资产轮动混合C基金净值查询(017213)

今天最新净值 0.8812 0.0143 1.6500% 2025-02-11
盘中实时估值(仅供参考) 0.9196 0.0065 0.7088%
  • 累计净值:0.8812
  • 成立日期:
  • 基金类型:混合型-灵活
  • 成立份额:
  • 最近份额:0.3315亿
  • 最近资产:0.18亿元
  • 基金公司:
  • 基金经理:刘田 周冲
近半年汇安资产轮动混合C基金净值查询
基金历史净值按日期查询: -
近半年,汇安资产轮动混合C(017213)基金累计收益率8.52%
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
2025-02-11 017213 汇安资产轮动混合C 0.8782 0.8782 0.8812 0.8812 -0.0030 -0.34%
2025-02-10 017213 汇安资产轮动混合C 0.8812 0.8812 0.8669 0.8669 0.0143 1.65%
2025-02-07 017213 汇安资产轮动混合C 0.8669 0.8669 0.8601 0.8601 0.0068 0.79%
2025-02-06 017213 汇安资产轮动混合C 0.8601 0.8601 0.8551 0.8551 0.0050 0.58%
2025-02-05 017213 汇安资产轮动混合C 0.8551 0.8551 0.8586 0.8586 -0.0035 -0.41%
2025-01-27 017213 汇安资产轮动混合C 0.8586 0.8586 0.8561 0.8561 0.0025 0.29%
2025-01-22 017213 汇安资产轮动混合C 0.8585 0.8585 0.8642 0.8642 -0.0057 -0.66%
2025-01-14 017213 汇安资产轮动混合C 0.8543 0.8543 0.8346 0.8346 0.0197 2.36%
2025-01-13 017213 汇安资产轮动混合C 0.8346 0.8346 0.8297 0.8297 0.0049 0.59%
2025-01-10 017213 汇安资产轮动混合C 0.8297 0.8297 0.8376 0.8376 -0.0079 -0.94%
2025-01-09 017213 汇安资产轮动混合C 0.8376 0.8376 0.8451 0.8451 -0.0075 -0.89%
2025-01-08 017213 汇安资产轮动混合C 0.8451 0.8451 0.8511 0.8511 -0.0060 -0.70%
2025-01-07 017213 汇安资产轮动混合C 0.8511 0.8511 0.8607 0.8607 -0.0096 -1.12%
2025-01-06 017213 汇安资产轮动混合C 0.8607 0.8607 0.8531 0.8531 0.0076 0.89%
2025-01-03 017213 汇安资产轮动混合C 0.8531 0.8531 0.8562 0.8562 -0.0031 -0.36%
2025-01-02 017213 汇安资产轮动混合C 0.8562 0.8562 0.8764 0.8764 -0.0202 -2.30%
2024-12-31 017213 汇安资产轮动混合C 0.8764 0.8764 0.8930 0.8930 -0.0166 -1.86%
2024-12-26 017213 汇安资产轮动混合C 0.8955 0.8955 0.9007 0.9007 -0.0052 -0.58%
2024-12-25 017213 汇安资产轮动混合C 0.9007 0.9007 0.9066 0.9066 -0.0059 -0.65%
2024-12-24 017213 汇安资产轮动混合C 0.9066 0.9066 0.8943 0.8943 0.0123 1.38%
2024-12-23 017213 汇安资产轮动混合C 0.8943 0.8943 0.9031 0.9031 -0.0088 -0.97%
2024-12-20 017213 汇安资产轮动混合C 0.9031 0.9031 0.9040 0.9040 -0.0009 -0.10%
2024-12-19 017213 汇安资产轮动混合C 0.9040 0.9040 0.9090 0.9090 -0.0050 -0.55%
2024-12-18 017213 汇安资产轮动混合C 0.9090 0.9090 0.9101 0.9101 -0.0011 -0.12%
2024-12-17 017213 汇安资产轮动混合C 0.9101 0.9101 0.9222 0.9222 -0.0121 -1.31%
2024-12-16 017213 汇安资产轮动混合C 0.9222 0.9222 0.9298 0.9298 -0.0076 -0.82%
2024-12-13 017213 汇安资产轮动混合C 0.9298 0.9298 0.9473 0.9473 -0.0175 -1.85%
2024-12-12 017213 汇安资产轮动混合C 0.9473 0.9473 0.9390 0.9390 0.0083 0.88%
2024-12-11 017213 汇安资产轮动混合C 0.9390 0.9390 0.9356 0.9356 0.0034 0.36%
2024-12-10 017213 汇安资产轮动混合C 0.9356 0.9356 0.9302 0.9302 0.0054 0.58%
2024-12-09 017213 汇安资产轮动混合C 0.9302 0.9302 0.9390 0.9390 -0.0088 -0.94%
2024-12-06 017213 汇安资产轮动混合C 0.9390 0.9390 0.9301 0.9301 0.0089 0.96%
2024-12-05 017213 汇安资产轮动混合C 0.9301 0.9301 0.9312 0.9312 -0.0011 -0.12%
2024-12-04 017213 汇安资产轮动混合C 0.9312 0.9312 0.9408 0.9408 -0.0096 -1.02%
2024-12-03 017213 汇安资产轮动混合C 0.9408 0.9408 0.9412 0.9412 -0.0004 -0.04%
2024-12-02 017213 汇安资产轮动混合C 0.9412 0.9412 0.9278 0.9278 0.0134 1.44%
2024-11-29 017213 汇安资产轮动混合C 0.9278 0.9278 0.9171 0.9171 0.0107 1.17%
2024-11-28 017213 汇安资产轮动混合C 0.9171 0.9171 0.9313 0.9313 -0.0142 -1.52%
2024-11-27 017213 汇安资产轮动混合C 0.9313 0.9313 0.9185 0.9185 0.0128 1.39%
2024-11-26 017213 汇安资产轮动混合C 0.9185 0.9185 0.9131 0.9131 0.0054 0.59%
2024-11-25 017213 汇安资产轮动混合C 0.9131 0.9131 0.9133 0.9133 -0.0002 -0.02%
2024-11-22 017213 汇安资产轮动混合C 0.9133 0.9133 0.9498 0.9498 -0.0365 -3.84%
2024-11-21 017213 汇安资产轮动混合C 0.9498 0.9498 0.9542 0.9542 -0.0044 -0.46%
2024-11-20 017213 汇安资产轮动混合C 0.9542 0.9542 0.9368 0.9368 0.0174 1.86%
2024-11-19 017213 汇安资产轮动混合C 0.9368 0.9368 0.9253 0.9253 0.0115 1.24%
2024-11-18 017213 汇安资产轮动混合C 0.9253 0.9253 0.9376 0.9376 -0.0123 -1.31%
2024-11-15 017213 汇安资产轮动混合C 0.9376 0.9376 0.9471 0.9471 -0.0095 -1.00%
2024-11-14 017213 汇安资产轮动混合C 0.9471 0.9471 0.9688 0.9688 -0.0217 -2.24%
2024-11-13 017213 汇安资产轮动混合C 0.9688 0.9688 0.9754 0.9754 -0.0066 -0.68%
2024-11-12 017213 汇安资产轮动混合C 0.9754 0.9754 0.9681 0.9681 0.0073 0.75%
2024-11-11 017213 汇安资产轮动混合C 0.9681 0.9681 0.9569 0.9569 0.0112 1.17%
2024-11-08 017213 汇安资产轮动混合C 0.9569 0.9569 0.9528 0.9528 0.0041 0.43%
2024-11-07 017213 汇安资产轮动混合C 0.9528 0.9528 0.9332 0.9332 0.0196 2.10%
2024-11-06 017213 汇安资产轮动混合C 0.9332 0.9332 0.9420 0.9420 -0.0088 -0.93%
2024-11-05 017213 汇安资产轮动混合C 0.9420 0.9420 0.9297 0.9297 0.0123 1.32%
2024-11-04 017213 汇安资产轮动混合C 0.9297 0.9297 0.9282 0.9282 0.0015 0.16%
2024-11-01 017213 汇安资产轮动混合C 0.9282 0.9282 0.9299 0.9299 -0.0017 -0.18%
2024-10-31 017213 汇安资产轮动混合C 0.9299 0.9299 0.9243 0.9243 0.0056 0.61%
2024-10-30 017213 汇安资产轮动混合C 0.9243 0.9243 0.9341 0.9341 -0.0098 -1.05%
2024-10-29 017213 汇安资产轮动混合C 0.9341 0.9341 0.9479 0.9479 -0.0138 -1.46%
2024-10-28 017213 汇安资产轮动混合C 0.9479 0.9479 0.9384 0.9384 0.0095 1.01%
2024-10-25 017213 汇安资产轮动混合C 0.9384 0.9384 0.9251 0.9251 0.0133 1.44%
2024-10-24 017213 汇安资产轮动混合C 0.9251 0.9251 0.9256 0.9256 -0.0005 -0.05%
2024-10-23 017213 汇安资产轮动混合C 0.9256 0.9256 0.9276 0.9276 -0.0020 -0.22%
2024-10-22 017213 汇安资产轮动混合C 0.9276 0.9276 0.9139 0.9139 0.0137 1.50%
2024-10-21 017213 汇安资产轮动混合C 0.9139 0.9139 0.9126 0.9126 0.0013 0.14%
2024-10-18 017213 汇安资产轮动混合C 0.9126 0.9126 0.8862 0.8862 0.0264 2.98%
2024-10-17 017213 汇安资产轮动混合C 0.8862 0.8862 0.8933 0.8933 -0.0071 -0.79%
2024-10-16 017213 汇安资产轮动混合C 0.8933 0.8933 0.8947 0.8947 -0.0014 -0.16%
2024-10-15 017213 汇安资产轮动混合C 0.8947 0.8947 0.9129 0.9129 -0.0182 -1.99%
2024-10-14 017213 汇安资产轮动混合C 0.9129 0.9129 0.9008 0.9008 0.0121 1.34%
2024-10-11 017213 汇安资产轮动混合C 0.9008 0.9008 0.9261 0.9261 -0.0253 -2.73%
2024-10-10 017213 汇安资产轮动混合C 0.9261 0.9261 0.9321 0.9321 -0.0060 -0.64%
2024-10-09 017213 汇安资产轮动混合C 0.9321 0.9321 0.9906 0.9906 -0.0585 -5.91%
2024-10-08 017213 汇安资产轮动混合C 0.9906 0.9906 0.9351 0.9351 0.0555 5.94%
2024-09-30 017213 汇安资产轮动混合C 0.9351 0.9351 0.8604 0.8604 0.0747 8.68%
2024-09-27 017213 汇安资产轮动混合C 0.8604 0.8604 0.8128 0.8128 0.0476 5.86%
2024-09-26 017213 汇安资产轮动混合C 0.8128 0.8128 0.7830 0.7830 0.0298 3.81%
2024-09-25 017213 汇安资产轮动混合C 0.7830 0.7830 0.7762 0.7762 0.0068 0.88%
2024-09-24 017213 汇安资产轮动混合C 0.7762 0.7762 0.7477 0.7477 0.0285 3.81%
2024-09-23 017213 汇安资产轮动混合C 0.7477 0.7477 0.7511 0.7511 -0.0034 -0.45%
2024-09-20 017213 汇安资产轮动混合C 0.7511 0.7511 0.7643 0.7643 -0.0132 -1.73%
2024-09-19 017213 汇安资产轮动混合C 0.7643 0.7643 0.7585 0.7585 0.0058 0.76%
2024-09-18 017213 汇安资产轮动混合C 0.7585 0.7585 0.7686 0.7686 -0.0101 -1.31%
2024-09-13 017213 汇安资产轮动混合C 0.7686 0.7686 0.7816 0.7816 -0.0130 -1.66%
2024-09-12 017213 汇安资产轮动混合C 0.7816 0.7816 0.7897 0.7897 -0.0081 -1.03%
2024-09-11 017213 汇安资产轮动混合C 0.7897 0.7897 0.7859 0.7859 0.0038 0.48%
2024-09-10 017213 汇安资产轮动混合C 0.7859 0.7859 0.7880 0.7880 -0.0021 -0.27%
2024-09-09 017213 汇安资产轮动混合C 0.7880 0.7880 0.7902 0.7902 -0.0022 -0.28%
2024-09-06 017213 汇安资产轮动混合C 0.7902 0.7902 0.8063 0.8063 -0.0161 -2.00%
2024-09-05 017213 汇安资产轮动混合C 0.8063 0.8063 0.7983 0.7983 0.0080 1.00%
2024-09-04 017213 汇安资产轮动混合C 0.7983 0.7983 0.7904 0.7904 0.0079 1.00%
2024-09-03 017213 汇安资产轮动混合C 0.7904 0.7904 0.7840 0.7840 0.0064 0.82%
2024-09-02 017213 汇安资产轮动混合C 0.7840 0.7840 0.7986 0.7986 -0.0146 -1.83%
2024-08-30 017213 汇安资产轮动混合C 0.7986 0.7986 0.7799 0.7799 0.0187 2.40%
2024-08-29 017213 汇安资产轮动混合C 0.7799 0.7799 0.7693 0.7693 0.0106 1.38%
2024-08-28 017213 汇安资产轮动混合C 0.7693 0.7693 0.7747 0.7747 -0.0054 -0.70%
2024-08-27 017213 汇安资产轮动混合C 0.7747 0.7747 0.7678 0.7678 0.0069 0.90%
2024-08-26 017213 汇安资产轮动混合C 0.7678 0.7678 0.7702 0.7702 -0.0024 -0.31%
2024-08-23 017213 汇安资产轮动混合C 0.7702 0.7702 0.7783 0.7783 -0.0081 -1.04%
2024-08-22 017213 汇安资产轮动混合C 0.7783 0.7783 0.7826 0.7826 -0.0043 -0.55%
2024-08-21 017213 汇安资产轮动混合C 0.7826 0.7826 0.7900 0.7900 -0.0074 -0.94%
2024-08-20 017213 汇安资产轮动混合C 0.7900 0.7900 0.8019 0.8019 -0.0119 -1.48%
2024-08-19 017213 汇安资产轮动混合C 0.8019 0.8019 0.8046 0.8046 -0.0027 -0.34%
2024-08-16 017213 汇安资产轮动混合C 0.8046 0.8046 0.7995 0.7995 0.0051 0.64%
2024-08-15 017213 汇安资产轮动混合C 0.7995 0.7995 0.8019 0.8019 -0.0024 -0.30%
2024-08-14 017213 汇安资产轮动混合C 0.8019 0.8019 0.8142 0.8142 -0.0123 -1.51%
2024-08-13 017213 汇安资产轮动混合C 0.8142 0.8142 0.8233 0.8233 -0.0091 -1.11%
2024-08-12 017213 汇安资产轮动混合C 0.8233 0.8233 0.8120 0.8120 0.0113 1.39%
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%