金基速查 - 基金速查网 - 开放式基金数据大全,每日基金净值查询

汇添富优选回报混合C基金净值查询(002418)

今天最新净值 1.8630 0.0930 5.25% 2025-12-18
盘中实时估值(仅供参考) 1.8196 0.0126 0.6990%
  • 累计净值:1.8630
  • 成立日期:
  • 基金类型:混合型-灵活
  • 成立份额:
  • 最近份额:2.3829亿
  • 最近资产:1.05亿元
  • 基金公司:
  • 基金经理:赖中立 李威
近半年汇添富优选回报混合C基金净值查询
基金历史净值按日期查询: -
近半年,汇添富优选回报混合C(002418)基金累计收益率49.40%
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
2025-12-18 002418 汇添富优选回报混合C 1.8070 1.8070 1.8630 1.8630 -0.0560 -3.10%
2025-12-17 002418 汇添富优选回报混合C 1.8630 1.8630 1.7700 1.7700 0.0930 5.25%
2025-12-16 002418 汇添富优选回报混合C 1.7700 1.7700 1.8180 1.8180 -0.0480 -2.71%
2025-12-15 002418 汇添富优选回报混合C 1.8180 1.8180 1.8510 1.8510 -0.0330 -1.78%
2025-12-12 002418 汇添富优选回报混合C 1.8510 1.8510 1.8350 1.8350 0.0160 0.87%
2025-12-11 002418 汇添富优选回报混合C 1.8350 1.8350 1.8820 1.8820 -0.0470 -2.56%
2025-12-10 002418 汇添富优选回报混合C 1.8820 1.8820 1.8870 1.8870 -0.0050 -0.26%
2025-12-09 002418 汇添富优选回报混合C 1.8870 1.8870 1.8540 1.8540 0.0330 1.78%
2025-12-08 002418 汇添富优选回报混合C 1.8540 1.8540 1.7870 1.7870 0.0670 3.75%
2025-12-05 002418 汇添富优选回报混合C 1.7870 1.7870 1.7690 1.7690 0.0180 1.02%
2025-12-04 002418 汇添富优选回报混合C 1.7690 1.7690 1.7520 1.7520 0.0170 0.97%
2025-12-03 002418 汇添富优选回报混合C 1.7520 1.7520 1.7650 1.7650 -0.0130 -0.74%
2025-12-02 002418 汇添富优选回报混合C 1.7650 1.7650 1.7730 1.7730 -0.0080 -0.45%
2025-12-01 002418 汇添富优选回报混合C 1.7730 1.7730 1.7560 1.7560 0.0170 0.97%
2025-11-28 002418 汇添富优选回报混合C 1.7560 1.7560 1.7430 1.7430 0.0130 0.75%
2025-11-27 002418 汇添富优选回报混合C 1.7430 1.7430 1.7490 1.7490 -0.0060 -0.34%
2025-11-26 002418 汇添富优选回报混合C 1.7490 1.7490 1.6860 1.6860 0.0630 3.74%
2025-11-25 002418 汇添富优选回报混合C 1.6860 1.6860 1.6410 1.6410 0.0450 2.74%
2025-11-24 002418 汇添富优选回报混合C 1.6410 1.6410 1.6620 1.6620 -0.0210 -1.28%
2025-11-21 002418 汇添富优选回报混合C 1.6620 1.6620 1.7570 1.7570 -0.0950 -5.41%
2025-11-20 002418 汇添富优选回报混合C 1.7570 1.7570 1.7550 1.7550 0.0020 0.11%
2025-11-19 002418 汇添富优选回报混合C 1.7550 1.7550 1.7400 1.7400 0.0150 0.86%
2025-11-18 002418 汇添富优选回报混合C 1.7400 1.7400 1.7540 1.7540 -0.0140 -0.80%
2025-11-17 002418 汇添富优选回报混合C 1.7540 1.7540 1.7500 1.7500 0.0040 0.23%
2025-11-14 002418 汇添富优选回报混合C 1.7500 1.7500 1.8190 1.8190 -0.0690 -3.94%
2025-11-13 002418 汇添富优选回报混合C 1.8190 1.8190 1.7850 1.7850 0.0340 1.90%
2025-11-12 002418 汇添富优选回报混合C 1.7850 1.7850 1.7760 1.7760 0.0090 0.51%
2025-11-11 002418 汇添富优选回报混合C 1.7760 1.7760 1.8110 1.8110 -0.0350 -1.93%
2025-11-10 002418 汇添富优选回报混合C 1.8110 1.8110 1.8510 1.8510 -0.0400 -2.21%
2025-11-07 002418 汇添富优选回报混合C 1.8510 1.8510 1.8590 1.8590 -0.0080 -0.43%
2025-11-06 002418 汇添富优选回报混合C 1.8590 1.8590 1.7940 1.7940 0.0650 3.62%
2025-11-05 002418 汇添富优选回报混合C 1.7940 1.7940 1.7740 1.7740 0.0200 1.13%
2025-11-04 002418 汇添富优选回报混合C 1.7740 1.7740 1.7990 1.7990 -0.0250 -1.39%
2025-11-03 002418 汇添富优选回报混合C 1.7990 1.7990 1.7790 1.7790 0.0200 1.12%
2025-10-31 002418 汇添富优选回报混合C 1.7790 1.7790 1.8450 1.8450 -0.0660 -3.58%
2025-10-30 002418 汇添富优选回报混合C 1.8450 1.8450 1.8940 1.8940 -0.0490 -2.59%
2025-10-29 002418 汇添富优选回报混合C 1.8940 1.8940 1.8310 1.8310 0.0630 3.44%
2025-10-28 002418 汇添富优选回报混合C 1.8310 1.8310 1.8360 1.8360 -0.0050 -0.27%
2025-10-27 002418 汇添富优选回报混合C 1.8360 1.8360 1.8060 1.8060 0.0300 1.66%
2025-10-24 002418 汇添富优选回报混合C 1.8060 1.8060 1.7170 1.7170 0.0890 5.18%
2025-10-23 002418 汇添富优选回报混合C 1.7170 1.7170 1.7270 1.7270 -0.0100 -0.58%
2025-10-22 002418 汇添富优选回报混合C 1.7270 1.7270 1.7260 1.7260 0.0010 0.06%
2025-10-21 002418 汇添富优选回报混合C 1.7260 1.7260 1.6430 1.6430 0.0830 5.05%
2025-10-20 002418 汇添富优选回报混合C 1.6430 1.6430 1.6070 1.6070 0.0360 2.24%
2025-10-17 002418 汇添富优选回报混合C 1.6070 1.6070 1.6760 1.6760 -0.0690 -4.12%
2025-10-16 002418 汇添富优选回报混合C 1.6760 1.6760 1.6490 1.6490 0.0270 1.64%
2025-10-15 002418 汇添富优选回报混合C 1.6490 1.6490 1.6020 1.6020 0.0470 2.93%
2025-10-14 002418 汇添富优选回报混合C 1.6020 1.6020 1.6890 1.6890 -0.0870 -5.15%
2025-10-13 002418 汇添富优选回报混合C 1.6890 1.6890 1.7010 1.7010 -0.0120 -0.71%
2025-10-10 002418 汇添富优选回报混合C 1.7010 1.7010 1.7860 1.7860 -0.0850 -4.76%
2025-10-09 002418 汇添富优选回报混合C 1.7860 1.7860 1.7920 1.7920 -0.0060 -0.33%
2025-09-30 002418 汇添富优选回报混合C 1.7920 1.7920 1.8050 1.8050 -0.0130 -0.72%
2025-09-29 002418 汇添富优选回报混合C 1.8050 1.8050 1.7640 1.7640 0.0410 2.32%
2025-09-26 002418 汇添富优选回报混合C 1.7640 1.7640 1.8170 1.8170 -0.0530 -2.92%
2025-09-25 002418 汇添富优选回报混合C 1.8170 1.8170 1.7720 1.7720 0.0450 2.54%
2025-09-24 002418 汇添富优选回报混合C 1.7720 1.7720 1.7490 1.7490 0.0230 1.32%
2025-09-23 002418 汇添富优选回报混合C 1.7490 1.7490 1.7360 1.7360 0.0130 0.75%
2025-09-22 002418 汇添富优选回报混合C 1.7360 1.7360 1.7060 1.7060 0.0300 1.76%
2025-09-19 002418 汇添富优选回报混合C 1.7060 1.7060 1.7190 1.7190 -0.0130 -0.76%
2025-09-18 002418 汇添富优选回报混合C 1.7190 1.7190 1.7220 1.7220 -0.0030 -0.17%
2025-09-17 002418 汇添富优选回报混合C 1.7220 1.7220 1.7060 1.7060 0.0160 0.94%
2025-09-16 002418 汇添富优选回报混合C 1.7060 1.7060 1.7010 1.7010 0.0050 0.29%
2025-09-15 002418 汇添富优选回报混合C 1.7010 1.7010 1.7060 1.7060 -0.0050 -0.29%
2025-09-12 002418 汇添富优选回报混合C 1.7060 1.7060 1.7100 1.7100 -0.0040 -0.23%
2025-09-11 002418 汇添富优选回报混合C 1.7100 1.7100 1.6210 1.6210 0.0890 5.49%
2025-09-10 002418 汇添富优选回报混合C 1.6210 1.6210 1.5870 1.5870 0.0340 2.14%
2025-09-09 002418 汇添富优选回报混合C 1.5870 1.5870 1.6140 1.6140 -0.0270 -1.67%
2025-09-08 002418 汇添富优选回报混合C 1.6140 1.6140 1.6560 1.6560 -0.0420 -2.54%
2025-09-05 002418 汇添富优选回报混合C 1.6560 1.6560 1.5580 1.5580 0.0980 6.29%
2025-09-04 002418 汇添富优选回报混合C 1.5580 1.5580 1.6540 1.6540 -0.0960 -5.80%
2025-09-03 002418 汇添富优选回报混合C 1.6540 1.6540 1.6250 1.6250 0.0290 1.78%
2025-09-02 002418 汇添富优选回报混合C 1.6250 1.6250 1.6620 1.6620 -0.0370 -2.23%
2025-09-01 002418 汇添富优选回报混合C 1.6620 1.6620 1.6310 1.6310 0.0310 1.90%
2025-08-29 002418 汇添富优选回报混合C 1.6310 1.6310 1.6270 1.6270 0.0040 0.25%
2025-08-28 002418 汇添富优选回报混合C 1.6270 1.6270 1.5360 1.5360 0.0910 5.92%
2025-08-27 002418 汇添富优选回报混合C 1.5360 1.5360 1.5450 1.5450 -0.0090 -0.58%
2025-08-26 002418 汇添富优选回报混合C 1.5450 1.5450 1.5610 1.5610 -0.0160 -1.02%
2025-08-25 002418 汇添富优选回报混合C 1.5610 1.5610 1.5150 1.5150 0.0460 3.04%
2025-08-22 002418 汇添富优选回报混合C 1.5150 1.5150 1.4650 1.4650 0.0500 3.41%
2025-08-21 002418 汇添富优选回报混合C 1.4650 1.4650 1.4800 1.4800 -0.0150 -1.01%
2025-08-20 002418 汇添富优选回报混合C 1.4800 1.4800 1.4830 1.4830 -0.0030 -0.20%
2025-08-19 002418 汇添富优选回报混合C 1.4830 1.4830 1.4720 1.4720 0.0110 0.75%
2025-08-18 002418 汇添富优选回报混合C 1.4720 1.4720 1.4440 1.4440 0.0280 1.94%
2025-08-15 002418 汇添富优选回报混合C 1.4440 1.4440 1.4160 1.4160 0.0280 1.98%
2025-08-14 002418 汇添富优选回报混合C 1.4160 1.4160 1.4310 1.4310 -0.0150 -1.05%
2025-08-13 002418 汇添富优选回报混合C 1.4310 1.4310 1.3860 1.3860 0.0450 3.25%
2025-08-12 002418 汇添富优选回报混合C 1.3860 1.3860 1.3650 1.3650 0.0210 1.54%
2025-08-11 002418 汇添富优选回报混合C 1.3650 1.3650 1.3520 1.3520 0.0130 0.96%
2025-08-08 002418 汇添富优选回报混合C 1.3520 1.3520 1.3550 1.3550 -0.0030 -0.22%
2025-08-07 002418 汇添富优选回报混合C 1.3550 1.3550 1.3610 1.3610 -0.0060 -0.44%
2025-08-06 002418 汇添富优选回报混合C 1.3610 1.3610 1.3560 1.3560 0.0050 0.37%
2025-08-05 002418 汇添富优选回报混合C 1.3560 1.3560 1.3450 1.3450 0.0110 0.82%
2025-08-04 002418 汇添富优选回报混合C 1.3450 1.3450 1.3430 1.3430 0.0020 0.15%
2025-08-01 002418 汇添富优选回报混合C 1.3430 1.3430 1.3560 1.3560 -0.0130 -0.96%
2025-07-31 002418 汇添富优选回报混合C 1.3560 1.3560 1.3620 1.3620 -0.0060 -0.44%
2025-07-30 002418 汇添富优选回报混合C 1.3620 1.3620 1.3750 1.3750 -0.0130 -0.95%
2025-07-29 002418 汇添富优选回报混合C 1.3750 1.3750 1.3530 1.3530 0.0220 1.63%
2025-07-28 002418 汇添富优选回报混合C 1.3530 1.3530 1.3420 1.3420 0.0110 0.82%
2025-07-25 002418 汇添富优选回报混合C 1.3420 1.3420 1.3410 1.3410 0.0010 0.07%
2025-07-24 002418 汇添富优选回报混合C 1.3410 1.3410 1.3240 1.3240 0.0170 1.28%
2025-07-23 002418 汇添富优选回报混合C 1.3240 1.3240 1.3250 1.3250 -0.0010 -0.08%
2025-07-22 002418 汇添富优选回报混合C 1.3250 1.3250 1.3210 1.3210 0.0040 0.30%
2025-07-21 002418 汇添富优选回报混合C 1.3210 1.3210 1.3090 1.3090 0.0120 0.92%
2025-07-18 002418 汇添富优选回报混合C 1.3090 1.3090 1.3040 1.3040 0.0050 0.38%
2025-07-17 002418 汇添富优选回报混合C 1.3040 1.3040 1.2880 1.2880 0.0160 1.24%
2025-07-16 002418 汇添富优选回报混合C 1.2880 1.2880 1.2950 1.2950 -0.0070 -0.54%
2025-07-15 002418 汇添富优选回报混合C 1.2950 1.2950 1.2860 1.2860 0.0090 0.70%
2025-07-14 002418 汇添富优选回报混合C 1.2860 1.2860 1.2930 1.2930 -0.0070 -0.54%
2025-07-11 002418 汇添富优选回报混合C 1.2930 1.2930 1.2820 1.2820 0.0110 0.86%
2025-07-10 002418 汇添富优选回报混合C 1.2820 1.2820 1.2850 1.2850 -0.0030 -0.23%
2025-07-09 002418 汇添富优选回报混合C 1.2850 1.2850 1.2750 1.2750 0.0100 0.78%
2025-07-08 002418 汇添富优选回报混合C 1.2750 1.2750 1.2650 1.2650 0.0100 0.79%
2025-07-07 002418 汇添富优选回报混合C 1.2650 1.2650 1.2690 1.2690 -0.0040 -0.32%
2025-07-04 002418 汇添富优选回报混合C 1.2690 1.2690 1.2680 1.2680 0.0010 0.08%
2025-07-03 002418 汇添富优选回报混合C 1.2680 1.2680 1.2550 1.2550 0.0130 1.04%
2025-07-02 002418 汇添富优选回报混合C 1.2550 1.2550 1.2730 1.2730 -0.0180 -1.41%
2025-07-01 002418 汇添富优选回报混合C 1.2730 1.2730 1.2710 1.2710 0.0020 0.16%
2025-06-30 002418 汇添富优选回报混合C 1.2710 1.2710 1.2580 1.2580 0.0130 1.03%
2025-06-27 002418 汇添富优选回报混合C 1.2580 1.2580 1.2660 1.2660 -0.0080 -0.63%
2025-06-26 002418 汇添富优选回报混合C 1.2660 1.2660 1.2770 1.2770 -0.0110 -0.86%
2025-06-25 002418 汇添富优选回报混合C 1.2770 1.2770 1.2500 1.2500 0.0270 2.16%
2025-06-24 002418 汇添富优选回报混合C 1.2500 1.2500 1.2330 1.2330 0.0170 1.38%
2025-06-23 002418 汇添富优选回报混合C 1.2330 1.2330 1.2260 1.2260 0.0070 0.57%
2025-06-20 002418 汇添富优选回报混合C 1.2260 1.2260 1.2350 1.2350 -0.0090 -0.73%
2025-06-19 002418 汇添富优选回报混合C 1.2350 1.2350 1.2490 1.2490 -0.0140 -1.12%
旗下基金涨幅榜
基金名称 单位净值 日增长率
广发新锐智选混合C 1.6912 100.00%
兴银长乐定开债C 1.0660 100.00%
长城消费增值混合C 1.1103 3.80%
互联医疗 0.9637 3.62%
互联医C 0.9340 3.62%
泰信互联网+主题混合C 1.4356 3.25%
博时中证卫星产业指数A 1.1577 2.81%
博时中证卫星产业指数C 1.1575 2.80%
华泰保兴吉年红混合发起A 1.1145 2.76%
华泰保兴吉年红混合发起C 1.1139 2.76%
混合型-灵活基金涨幅榜
基金名称 单位净值 日增长率
长城久嘉创新成长混合A 2.7143 3.60%
长城久嘉创新成长混合C 2.2711 3.60%
前海开源沪港深强国产业 1.2703 3.29%
泰信互联网+A 1.4356 3.25%
泰信互联网+主题混合C 1.4356 3.25%
前海大海洋 1.8380 2.18%
国联鑫起点混合A 1.1803 1.97%
国联鑫起点混合C 1.1017 1.97%
汇安多策略混合A 1.5327 1.88%
汇安多策略混合C 1.4838 1.88%