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国投瑞银弘信回报混合A(国投瑞银弘信回报混合)基金净值查询(020669)

今天最新净值 1.0615 0.0083 0.7900% 2025-01-27
盘中实时估值(仅供参考) 1.0572 0.0010 0.0981%
  • 累计净值:1.0615
  • 成立日期:
  • 基金类型:混合型-偏股
  • 成立份额:
  • 最近份额:3.0035亿
  • 最近资产:1.35亿元
  • 基金公司:
  • 基金经理:綦缚鹏
近一年国投瑞银弘信回报混合A|国投瑞银弘信回报混合基金净值查询
基金历史净值按日期查询: -
近一年,国投瑞银弘信回报混合A(020669)基金累计收益率6.07%
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
2025-01-27 020669 国投瑞银弘信回报混合A 1.0615 1.0615 1.0532 1.0532 0.0083 0.79%
2025-01-22 020669 国投瑞银弘信回报混合A 1.0440 1.0440 1.0515 1.0515 -0.0075 -0.71%
2025-01-14 020669 国投瑞银弘信回报混合A 1.0404 1.0404 1.0225 1.0225 0.0179 1.75%
2025-01-13 020669 国投瑞银弘信回报混合A 1.0225 1.0225 1.0229 1.0229 -0.0004 -0.04%
2025-01-10 020669 国投瑞银弘信回报混合A 1.0229 1.0229 1.0359 1.0359 -0.0130 -1.25%
2025-01-09 020669 国投瑞银弘信回报混合A 1.0359 1.0359 1.0440 1.0440 -0.0081 -0.78%
2025-01-08 020669 国投瑞银弘信回报混合A 1.0440 1.0440 1.0432 1.0432 0.0008 0.08%
2025-01-07 020669 国投瑞银弘信回报混合A 1.0432 1.0432 1.0405 1.0405 0.0027 0.26%
2025-01-06 020669 国投瑞银弘信回报混合A 1.0405 1.0405 1.0362 1.0362 0.0043 0.41%
2025-01-03 020669 国投瑞银弘信回报混合A 1.0362 1.0362 1.0447 1.0447 -0.0085 -0.81%
2025-01-02 020669 国投瑞银弘信回报混合A 1.0447 1.0447 1.0596 1.0596 -0.0149 -1.41%
2024-12-31 020669 国投瑞银弘信回报混合A 1.0596 1.0596 1.0658 1.0658 -0.0062 -0.58%
2024-12-26 020669 国投瑞银弘信回报混合A 1.0624 1.0624 1.0627 1.0627 -0.0003 -0.03%
2024-12-25 020669 国投瑞银弘信回报混合A 1.0627 1.0627 1.0646 1.0646 -0.0019 -0.18%
2024-12-24 020669 国投瑞银弘信回报混合A 1.0646 1.0646 1.0563 1.0563 0.0083 0.79%
2024-12-23 020669 国投瑞银弘信回报混合A 1.0563 1.0563 1.0581 1.0581 -0.0018 -0.17%
2024-12-20 020669 国投瑞银弘信回报混合A 1.0581 1.0581 1.0644 1.0644 -0.0063 -0.59%
2024-12-19 020669 国投瑞银弘信回报混合A 1.0644 1.0644 1.0700 1.0700 -0.0056 -0.52%
2024-12-18 020669 国投瑞银弘信回报混合A 1.0700 1.0700 1.0647 1.0647 0.0053 0.50%
2024-12-17 020669 国投瑞银弘信回报混合A 1.0647 1.0647 1.0704 1.0704 -0.0057 -0.53%
2024-12-16 020669 国投瑞银弘信回报混合A 1.0704 1.0704 1.0788 1.0788 -0.0084 -0.78%
2024-12-13 020669 国投瑞银弘信回报混合A 1.0788 1.0788 1.0941 1.0941 -0.0153 -1.40%
2024-12-12 020669 国投瑞银弘信回报混合A 1.0941 1.0941 1.0839 1.0839 0.0102 0.94%
2024-12-11 020669 国投瑞银弘信回报混合A 1.0839 1.0839 1.0731 1.0731 0.0108 1.01%
2024-12-10 020669 国投瑞银弘信回报混合A 1.0731 1.0731 1.0678 1.0678 0.0053 0.50%
2024-12-09 020669 国投瑞银弘信回报混合A 1.0678 1.0678 1.0682 1.0682 -0.0004 -0.04%
2024-12-06 020669 国投瑞银弘信回报混合A 1.0682 1.0682 1.0594 1.0594 0.0088 0.83%
2024-12-05 020669 国投瑞银弘信回报混合A 1.0594 1.0594 1.0639 1.0639 -0.0045 -0.42%
2024-12-04 020669 国投瑞银弘信回报混合A 1.0639 1.0639 1.0667 1.0667 -0.0028 -0.26%
2024-12-03 020669 国投瑞银弘信回报混合A 1.0667 1.0667 1.0631 1.0631 0.0036 0.34%
2024-12-02 020669 国投瑞银弘信回报混合A 1.0631 1.0631 1.0594 1.0594 0.0037 0.35%
2024-11-29 020669 国投瑞银弘信回报混合A 1.0594 1.0594 1.0523 1.0523 0.0071 0.67%
2024-11-28 020669 国投瑞银弘信回报混合A 1.0523 1.0523 1.0628 1.0628 -0.0105 -0.99%
2024-11-27 020669 国投瑞银弘信回报混合A 1.0628 1.0628 1.0524 1.0524 0.0104 0.99%
2024-11-26 020669 国投瑞银弘信回报混合A 1.0524 1.0524 1.0562 1.0562 -0.0038 -0.36%
2024-11-25 020669 国投瑞银弘信回报混合A 1.0562 1.0562 1.0575 1.0575 -0.0013 -0.12%
2024-11-22 020669 国投瑞银弘信回报混合A 1.0575 1.0575 1.0840 1.0840 -0.0265 -2.44%
2024-11-21 020669 国投瑞银弘信回报混合A 1.0840 1.0840 1.0848 1.0848 -0.0008 -0.07%
2024-11-20 020669 国投瑞银弘信回报混合A 1.0848 1.0848 1.0794 1.0794 0.0054 0.50%
2024-11-19 020669 国投瑞银弘信回报混合A 1.0794 1.0794 1.0734 1.0734 0.0060 0.56%
2024-11-18 020669 国投瑞银弘信回报混合A 1.0734 1.0734 1.0713 1.0713 0.0021 0.20%
2024-11-15 020669 国投瑞银弘信回报混合A 1.0713 1.0713 1.0777 1.0777 -0.0064 -0.59%
2024-11-14 020669 国投瑞银弘信回报混合A 1.0777 1.0777 1.0968 1.0968 -0.0191 -1.74%
2024-11-13 020669 国投瑞银弘信回报混合A 1.0968 1.0968 1.0944 1.0944 0.0024 0.22%
2024-11-12 020669 国投瑞银弘信回报混合A 1.0944 1.0944 1.1019 1.1019 -0.0075 -0.68%
2024-11-11 020669 国投瑞银弘信回报混合A 1.1019 1.1019 1.1088 1.1088 -0.0069 -0.62%
2024-11-08 020669 国投瑞银弘信回报混合A 1.1088 1.1088 1.1222 1.1222 -0.0134 -1.19%
2024-11-07 020669 国投瑞银弘信回报混合A 1.1222 1.1222 1.0995 1.0995 0.0227 2.06%
2024-11-06 020669 国投瑞银弘信回报混合A 1.0995 1.0995 1.1041 1.1041 -0.0046 -0.42%
2024-11-05 020669 国投瑞银弘信回报混合A 1.1041 1.1041 1.0947 1.0947 0.0094 0.86%
2024-11-04 020669 国投瑞银弘信回报混合A 1.0947 1.0947 1.0889 1.0889 0.0058 0.53%
2024-11-01 020669 国投瑞银弘信回报混合A 1.0889 1.0889 1.0814 1.0814 0.0075 0.69%
2024-10-31 020669 国投瑞银弘信回报混合A 1.0814 1.0814 1.0768 1.0768 0.0046 0.43%
2024-10-30 020669 国投瑞银弘信回报混合A 1.0768 1.0768 1.0712 1.0712 0.0056 0.52%
2024-10-29 020669 国投瑞银弘信回报混合A 1.0712 1.0712 1.0836 1.0836 -0.0124 -1.14%
2024-10-28 020669 国投瑞银弘信回报混合A 1.0836 1.0836 1.0702 1.0702 0.0134 1.25%
2024-10-25 020669 国投瑞银弘信回报混合A 1.0702 1.0702 1.0662 1.0662 0.0040 0.38%
2024-10-24 020669 国投瑞银弘信回报混合A 1.0662 1.0662 1.0680 1.0680 -0.0018 -0.17%
2024-10-23 020669 国投瑞银弘信回报混合A 1.0680 1.0680 1.0657 1.0657 0.0023 0.22%
2024-10-22 020669 国投瑞银弘信回报混合A 1.0657 1.0657 1.0548 1.0548 0.0109 1.03%
2024-10-21 020669 国投瑞银弘信回报混合A 1.0548 1.0548 1.0518 1.0518 0.0030 0.29%
2024-10-18 020669 国投瑞银弘信回报混合A 1.0518 1.0518 1.0377 1.0377 0.0141 1.36%
2024-10-17 020669 国投瑞银弘信回报混合A 1.0377 1.0377 1.0516 1.0516 -0.0139 -1.32%
2024-10-16 020669 国投瑞银弘信回报混合A 1.0516 1.0516 1.0477 1.0477 0.0039 0.37%
2024-10-15 020669 国投瑞银弘信回报混合A 1.0477 1.0477 1.0705 1.0705 -0.0228 -2.13%
2024-10-14 020669 国投瑞银弘信回报混合A 1.0705 1.0705 1.0513 1.0513 0.0192 1.83%
2024-10-11 020669 国投瑞银弘信回报混合A 1.0513 1.0513 1.0637 1.0637 -0.0124 -1.17%
2024-10-10 020669 国投瑞银弘信回报混合A 1.0637 1.0637 1.0437 1.0437 0.0200 1.92%
2024-10-09 020669 国投瑞银弘信回报混合A 1.0437 1.0437 1.1007 1.1007 -0.0570 -5.18%
2024-10-08 020669 国投瑞银弘信回报混合A 1.1007 1.1007 1.0954 1.0954 0.0053 0.48%
2024-09-30 020669 国投瑞银弘信回报混合A 1.0954 1.0954 1.0459 1.0459 0.0495 4.73%
2024-09-27 020669 国投瑞银弘信回报混合A 1.0459 1.0459 1.0197 1.0197 0.0262 2.57%
2024-09-26 020669 国投瑞银弘信回报混合A 1.0197 1.0197 0.9893 0.9893 0.0304 3.07%
2024-09-25 020669 国投瑞银弘信回报混合A 0.9893 0.9893 0.9865 0.9865 0.0028 0.28%
2024-09-24 020669 国投瑞银弘信回报混合A 0.9865 0.9865 0.9579 0.9579 0.0286 2.99%
2024-09-23 020669 国投瑞银弘信回报混合A 0.9579 0.9579 0.9564 0.9564 0.0015 0.16%
2024-09-20 020669 国投瑞银弘信回报混合A 0.9564 0.9564 0.9568 0.9568 -0.0004 -0.04%
2024-09-19 020669 国投瑞银弘信回报混合A 0.9568 0.9568 0.9465 0.9465 0.0103 1.09%
2024-09-18 020669 国投瑞银弘信回报混合A 0.9465 0.9465 0.9414 0.9414 0.0051 0.54%
2024-09-13 020669 国投瑞银弘信回报混合A 0.9414 0.9414 0.9442 0.9442 -0.0028 -0.30%
2024-09-12 020669 国投瑞银弘信回报混合A 0.9442 0.9442 0.9454 0.9454 -0.0012 -0.13%
2024-09-11 020669 国投瑞银弘信回报混合A 0.9454 0.9454 0.9481 0.9481 -0.0027 -0.28%
2024-09-10 020669 国投瑞银弘信回报混合A 0.9481 0.9481 0.9485 0.9485 -0.0004 -0.04%
2024-09-09 020669 国投瑞银弘信回报混合A 0.9485 0.9485 0.9542 0.9542 -0.0057 -0.60%
2024-09-06 020669 国投瑞银弘信回报混合A 0.9542 0.9542 0.9594 0.9594 -0.0052 -0.54%
2024-09-05 020669 国投瑞银弘信回报混合A 0.9594 0.9594 0.9594 0.9594 0.0000 0.00%
2024-09-04 020669 国投瑞银弘信回报混合A 0.9594 0.9594 0.9641 0.9641 -0.0047 -0.49%
2024-09-03 020669 国投瑞银弘信回报混合A 0.9641 0.9641 0.9617 0.9617 0.0024 0.25%
2024-09-02 020669 国投瑞银弘信回报混合A 0.9617 0.9617 0.9652 0.9652 -0.0035 -0.36%
2024-08-30 020669 国投瑞银弘信回报混合A 0.9652 0.9652 0.9605 0.9605 0.0047 0.49%
2024-08-29 020669 国投瑞银弘信回报混合A 0.9605 0.9605 0.9567 0.9567 0.0038 0.40%
2024-08-28 020669 国投瑞银弘信回报混合A 0.9567 0.9567 0.9570 0.9570 -0.0003 -0.03%
2024-08-27 020669 国投瑞银弘信回报混合A 0.9570 0.9570 0.9583 0.9583 -0.0013 -0.14%
2024-08-26 020669 国投瑞银弘信回报混合A 0.9583 0.9583 0.9583 0.9583 0.0000 0.00%
2024-08-23 020669 国投瑞银弘信回报混合A 0.9583 0.9583 0.9586 0.9586 -0.0003 -0.03%
2024-08-22 020669 国投瑞银弘信回报混合A 0.9586 0.9586 0.9600 0.9600 -0.0014 -0.15%
2024-08-21 020669 国投瑞银弘信回报混合A 0.9600 0.9600 0.9610 0.9610 -0.0010 -0.10%
2024-08-20 020669 国投瑞银弘信回报混合A 0.9610 0.9610 0.9669 0.9669 -0.0059 -0.61%
2024-08-19 020669 国投瑞银弘信回报混合A 0.9669 0.9669 0.9659 0.9659 0.0010 0.10%
2024-08-16 020669 国投瑞银弘信回报混合A 0.9659 0.9659 0.9665 0.9665 -0.0006 -0.06%
2024-08-15 020669 国投瑞银弘信回报混合A 0.9665 0.9665 0.9636 0.9636 0.0029 0.30%
2024-08-14 020669 国投瑞银弘信回报混合A 0.9636 0.9636 0.9678 0.9678 -0.0042 -0.43%
2024-08-13 020669 国投瑞银弘信回报混合A 0.9678 0.9678 0.9672 0.9672 0.0006 0.06%
2024-08-12 020669 国投瑞银弘信回报混合A 0.9672 0.9672 0.9666 0.9666 0.0006 0.06%
2024-08-09 020669 国投瑞银弘信回报混合A 0.9666 0.9666 0.9682 0.9682 -0.0016 -0.17%
2024-08-08 020669 国投瑞银弘信回报混合A 0.9682 0.9682 0.9666 0.9666 0.0016 0.17%
2024-08-07 020669 国投瑞银弘信回报混合A 0.9666 0.9666 0.9655 0.9655 0.0011 0.11%
2024-08-06 020669 国投瑞银弘信回报混合A 0.9655 0.9655 0.9639 0.9639 0.0016 0.17%
2024-08-05 020669 国投瑞银弘信回报混合A 0.9639 0.9639 0.9698 0.9698 -0.0059 -0.61%
2024-08-02 020669 国投瑞银弘信回报混合A 0.9698 0.9698 0.9716 0.9716 -0.0018 -0.19%
2024-07-31 020669 国投瑞银弘信回报混合A 0.9762 0.9762 0.9646 0.9646 0.0116 1.20%
2024-07-30 020669 国投瑞银弘信回报混合A 0.9646 0.9646 0.9663 0.9663 -0.0017 -0.18%
2024-07-29 020669 国投瑞银弘信回报混合A 0.9663 0.9663 0.9698 0.9698 -0.0035 -0.36%
2024-07-26 020669 国投瑞银弘信回报混合A 0.9698 0.9698 0.9676 0.9676 0.0022 0.23%
2024-07-25 020669 国投瑞银弘信回报混合A 0.9676 0.9676 0.9693 0.9693 -0.0017 -0.18%
2024-07-24 020669 国投瑞银弘信回报混合A 0.9693 0.9693 0.9725 0.9725 -0.0032 -0.33%
2024-07-23 020669 国投瑞银弘信回报混合A 0.9725 0.9725 0.9792 0.9792 -0.0067 -0.68%
2024-07-22 020669 国投瑞银弘信回报混合A 0.9792 0.9792 0.9816 0.9816 -0.0024 -0.24%
2024-07-19 020669 国投瑞银弘信回报混合A 0.9816 0.9816 0.9843 0.9843 -0.0027 -0.27%
2024-07-18 020669 国投瑞银弘信回报混合A 0.9843 0.9843 0.9822 0.9822 0.0021 0.21%
2024-07-17 020669 国投瑞银弘信回报混合A 0.9822 0.9822 0.9866 0.9866 -0.0044 -0.45%
2024-07-16 020669 国投瑞银弘信回报混合A 0.9866 0.9866 0.9868 0.9868 -0.0002 -0.02%
2024-07-15 020669 国投瑞银弘信回报混合A 0.9868 0.9868 0.9889 0.9889 -0.0021 -0.21%
2024-07-12 020669 国投瑞银弘信回报混合A 0.9889 0.9889 0.9917 0.9917 -0.0028 -0.28%
2024-07-11 020669 国投瑞银弘信回报混合A 0.9917 0.9917 0.9877 0.9877 0.0040 0.40%
2024-07-10 020669 国投瑞银弘信回报混合A 0.9877 0.9877 0.9916 0.9916 -0.0039 -0.39%
2024-07-09 020669 国投瑞银弘信回报混合A 0.9916 0.9916 0.9887 0.9887 0.0029 0.29%
2024-07-08 020669 国投瑞银弘信回报混合A 0.9887 0.9887 0.9935 0.9935 -0.0048 -0.48%
2024-07-05 020669 国投瑞银弘信回报混合A 0.9935 0.9935 0.9937 0.9937 -0.0002 -0.02%
2024-07-04 020669 国投瑞银弘信回报混合A 0.9937 0.9937 0.9973 0.9973 -0.0036 -0.36%
2024-07-03 020669 国投瑞银弘信回报混合A 0.9973 0.9973 0.9990 0.9990 -0.0017 -0.17%
2024-07-02 020669 国投瑞银弘信回报混合A 0.9990 0.9990 1.0025 1.0025 -0.0035 -0.35%
2024-07-01 020669 国投瑞银弘信回报混合A 1.0025 1.0025 0.9965 0.9965 0.0060 0.60%
2024-06-28 020669 国投瑞银弘信回报混合A 0.9965 0.9965 0.9936 0.9936 0.0029 0.29%
2024-06-27 020669 国投瑞银弘信回报混合A 0.9936 0.9936 0.9984 0.9984 -0.0048 -0.48%
2024-06-26 020669 国投瑞银弘信回报混合A 0.9984 0.9984 0.9975 0.9975 0.0009 0.09%
2024-06-25 020669 国投瑞银弘信回报混合A 0.9975 0.9975 0.9964 0.9964 0.0011 0.11%
2024-06-24 020669 国投瑞银弘信回报混合A 0.9964 0.9964 1.0013 1.0013 -0.0049 -0.49%
2024-06-21 020669 国投瑞银弘信回报混合A 1.0013 1.0013 1.0016 1.0016 -0.0003 -0.03%
2024-06-20 020669 国投瑞银弘信回报混合A 1.0016 1.0016 1.0027 1.0027 -0.0011 -0.11%
2024-06-19 020669 国投瑞银弘信回报混合A 1.0027 1.0027 1.0049 1.0049 -0.0022 -0.22%
2024-06-18 020669 国投瑞银弘信回报混合A 1.0049 1.0049 1.0070 1.0070 -0.0021 -0.21%
2024-06-14 020669 国投瑞银弘信回报混合A 1.0070 1.0070 1.0154 1.0154 -0.0084 -0.83%
2024-06-07 020669 国投瑞银弘信回报混合A 1.0154 1.0154 1.0163 1.0163 -0.0009 -0.09%
2024-05-31 020669 国投瑞银弘信回报混合A 1.0163 1.0163 1.0176 1.0176 -0.0013 -0.13%
2024-05-24 020669 国投瑞银弘信回报混合A 1.0176 1.0176 1.0225 1.0225 -0.0049 -0.48%
2024-05-17 020669 国投瑞银弘信回报混合A 1.0225 1.0225 1.0192 1.0192 0.0033 0.32%
2024-05-10 020669 国投瑞银弘信回报混合A 1.0192 1.0192 1.0086 1.0086 0.0106 1.05%
2024-04-30 020669 国投瑞银弘信回报混合A 1.0086 1.0086 1.0052 1.0052 0.0034 0.34%
2024-04-26 020669 国投瑞银弘信回报混合A 1.0052 1.0052 1.0061 1.0061 -0.0009 -0.09%
2024-04-19 020669 国投瑞银弘信回报混合A 1.0061 1.0061 1.0018 1.0018 0.0043 0.43%
2024-04-12 020669 国投瑞银弘信回报混合A 1.0018 1.0018 1.0041 1.0041 -0.0023 -0.23%
2024-04-03 020669 国投瑞银弘信回报混合A 1.0041 1.0041 1.0008 1.0008 0.0033 0.33%
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%