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宏利绩优混合A(泰达宏利绩优混合)基金净值查询(005903)

今天最新净值 2.3966 -0.0411 -1.69% 2025-12-17
盘中实时估值(仅供参考) 2.5503 0.1537 6.4141%
  • 累计净值:2.6376
  • 成立日期:2018-06-13
  • 基金类型:混合型-灵活
  • 成立份额:
  • 最近份额:3.0668亿
  • 最近资产:2.13亿元
  • 基金公司:泰达宏利基金
  • 基金经理:吴华 张勋 孙硕
近半年宏利绩优混合A|泰达宏利绩优混合基金净值查询
基金历史净值按日期查询: -
近半年,宏利绩优混合A(005903)基金累计收益率83.02%
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
2025-12-17 005903 宏利绩优混合A 2.5555 2.7965 2.3966 2.6376 0.1589 6.63%
2025-12-16 005903 宏利绩优混合A 2.3966 2.6376 2.4377 2.6787 -0.0411 -1.69%
2025-12-15 005903 宏利绩优混合A 2.4377 2.6787 2.5094 2.7504 -0.0717 -2.86%
2025-12-12 005903 宏利绩优混合A 2.5094 2.7504 2.4894 2.7304 0.0200 0.80%
2025-12-11 005903 宏利绩优混合A 2.4894 2.7304 2.5871 2.8281 -0.0977 -3.92%
2025-12-10 005903 宏利绩优混合A 2.5871 2.8281 2.5970 2.8380 -0.0099 -0.38%
2025-12-09 005903 宏利绩优混合A 2.5970 2.8380 2.4785 2.7195 0.1185 4.78%
2025-12-08 005903 宏利绩优混合A 2.4785 2.7195 2.3491 2.5901 0.1294 5.51%
2025-12-05 005903 宏利绩优混合A 2.3491 2.5901 2.3123 2.5533 0.0368 1.59%
2025-12-04 005903 宏利绩优混合A 2.3123 2.5533 2.2953 2.5363 0.0170 0.74%
2025-12-03 005903 宏利绩优混合A 2.2953 2.5363 2.2813 2.5223 0.0140 0.61%
2025-12-02 005903 宏利绩优混合A 2.2813 2.5223 2.2816 2.5226 -0.0003 -0.01%
2025-12-01 005903 宏利绩优混合A 2.2816 2.5226 2.2697 2.5107 0.0119 0.52%
2025-11-28 005903 宏利绩优混合A 2.2697 2.5107 2.2739 2.5149 -0.0042 -0.18%
2025-11-27 005903 宏利绩优混合A 2.2739 2.5149 2.2900 2.5310 -0.0161 -0.70%
2025-11-26 005903 宏利绩优混合A 2.2900 2.5310 2.1764 2.4174 0.1136 5.22%
2025-11-25 005903 宏利绩优混合A 2.1764 2.4174 2.0910 2.3320 0.0854 4.08%
2025-11-24 005903 宏利绩优混合A 2.0910 2.3320 2.1299 2.3709 -0.0389 -1.86%
2025-11-21 005903 宏利绩优混合A 2.1299 2.3709 2.2855 2.5265 -0.1556 -7.31%
2025-11-20 005903 宏利绩优混合A 2.2855 2.5265 2.2588 2.4998 0.0267 1.18%
2025-11-19 005903 宏利绩优混合A 2.2588 2.4998 2.2591 2.5001 -0.0003 -0.01%
2025-11-18 005903 宏利绩优混合A 2.2591 2.5001 2.2425 2.4835 0.0166 0.74%
2025-11-17 005903 宏利绩优混合A 2.2425 2.4835 2.2339 2.4749 0.0086 0.38%
2025-11-14 005903 宏利绩优混合A 2.2339 2.4749 2.3299 2.5709 -0.0960 -4.30%
2025-11-13 005903 宏利绩优混合A 2.3299 2.5709 2.3457 2.5867 -0.0158 -0.67%
2025-11-12 005903 宏利绩优混合A 2.3457 2.5867 2.3344 2.5754 0.0113 0.48%
2025-11-11 005903 宏利绩优混合A 2.3344 2.5754 2.4153 2.6563 -0.0809 -3.47%
2025-11-10 005903 宏利绩优混合A 2.4153 2.6563 2.4325 2.6735 -0.0172 -0.71%
2025-11-07 005903 宏利绩优混合A 2.4325 2.6735 2.4916 2.7326 -0.0591 -2.43%
2025-11-06 005903 宏利绩优混合A 2.4916 2.7326 2.3907 2.6317 0.1009 4.22%
2025-11-05 005903 宏利绩优混合A 2.3907 2.6317 2.3825 2.6235 0.0082 0.34%
2025-11-04 005903 宏利绩优混合A 2.3825 2.6235 2.3943 2.6353 -0.0118 -0.49%
2025-11-03 005903 宏利绩优混合A 2.3943 2.6353 2.3849 2.6259 0.0094 0.39%
2025-10-31 005903 宏利绩优混合A 2.3849 2.6259 2.5435 2.7845 -0.1586 -6.65%
2025-10-30 005903 宏利绩优混合A 2.5435 2.7845 2.6222 2.8632 -0.0787 -3.00%
2025-10-29 005903 宏利绩优混合A 2.6222 2.8632 2.5497 2.7907 0.0725 2.84%
2025-10-28 005903 宏利绩优混合A 2.5497 2.7907 2.5134 2.7544 0.0363 1.44%
2025-10-27 005903 宏利绩优混合A 2.5134 2.7544 2.3713 2.6123 0.1421 5.99%
2025-10-24 005903 宏利绩优混合A 2.3713 2.6123 2.2132 2.4542 0.1581 7.14%
2025-10-23 005903 宏利绩优混合A 2.2132 2.4542 2.2529 2.4939 -0.0397 -1.76%
2025-10-22 005903 宏利绩优混合A 2.2529 2.4939 2.2617 2.5027 -0.0088 -0.39%
2025-10-21 005903 宏利绩优混合A 2.2617 2.5027 2.1059 2.3469 0.1558 7.40%
2025-10-20 005903 宏利绩优混合A 2.1059 2.3469 2.0108 2.2518 0.0951 4.73%
2025-10-17 005903 宏利绩优混合A 2.0108 2.2518 2.0954 2.3364 -0.0846 -4.04%
2025-10-16 005903 宏利绩优混合A 2.0954 2.3364 2.0894 2.3304 0.0060 0.29%
2025-10-15 005903 宏利绩优混合A 2.0894 2.3304 2.0149 2.2559 0.0745 3.70%
2025-10-14 005903 宏利绩优混合A 2.0149 2.2559 2.1279 2.3689 -0.1130 -5.31%
2025-10-13 005903 宏利绩优混合A 2.1279 2.3689 2.1680 2.4090 -0.0401 -1.85%
2025-10-10 005903 宏利绩优混合A 2.1680 2.4090 2.2304 2.4714 -0.0624 -2.80%
2025-10-09 005903 宏利绩优混合A 2.2304 2.4714 2.2512 2.4922 -0.0208 -0.92%
2025-09-30 005903 宏利绩优混合A 2.2512 2.4922 2.2903 2.5313 -0.0391 -1.71%
2025-09-29 005903 宏利绩优混合A 2.2903 2.5313 2.2290 2.4700 0.0613 2.75%
2025-09-26 005903 宏利绩优混合A 2.2290 2.4700 2.3050 2.5460 -0.0760 -3.30%
2025-09-25 005903 宏利绩优混合A 2.3050 2.5460 2.2877 2.5287 0.0173 0.76%
2025-09-24 005903 宏利绩优混合A 2.2877 2.5287 2.3365 2.5775 -0.0488 -2.09%
2025-09-23 005903 宏利绩优混合A 2.3365 2.5775 2.3377 2.5787 -0.0012 -0.05%
2025-09-22 005903 宏利绩优混合A 2.3377 2.5787 2.3102 2.5512 0.0275 1.19%
2025-09-19 005903 宏利绩优混合A 2.3102 2.5512 2.3233 2.5643 -0.0131 -0.56%
2025-09-18 005903 宏利绩优混合A 2.3233 2.5643 2.2921 2.5331 0.0312 1.36%
2025-09-17 005903 宏利绩优混合A 2.2921 2.5331 2.2910 2.5320 0.0011 0.05%
2025-09-16 005903 宏利绩优混合A 2.2910 2.5320 2.2559 2.4969 0.0351 1.56%
2025-09-15 005903 宏利绩优混合A 2.2559 2.4969 2.2845 2.5255 -0.0286 -1.25%
2025-09-12 005903 宏利绩优混合A 2.2845 2.5255 2.2982 2.5392 -0.0137 -0.60%
2025-09-11 005903 宏利绩优混合A 2.2982 2.5392 2.0791 2.3201 0.2191 10.54%
2025-09-10 005903 宏利绩优混合A 2.0791 2.3201 1.9843 2.2253 0.0948 4.78%
2025-09-09 005903 宏利绩优混合A 1.9843 2.2253 2.0270 2.2680 -0.0427 -2.11%
2025-09-08 005903 宏利绩优混合A 2.0270 2.2680 2.1365 2.3775 -0.1095 -5.13%
2025-09-05 005903 宏利绩优混合A 2.1365 2.3775 1.9921 2.2331 0.1444 7.25%
2025-09-04 005903 宏利绩优混合A 1.9921 2.2331 2.1812 2.4222 -0.1891 -8.67%
2025-09-03 005903 宏利绩优混合A 2.1812 2.4222 2.1176 2.3586 0.0636 3.00%
2025-09-02 005903 宏利绩优混合A 2.1176 2.3586 2.2562 2.4972 -0.1386 -6.14%
2025-09-01 005903 宏利绩优混合A 2.2562 2.4972 2.1560 2.3970 0.1002 4.65%
2025-08-29 005903 宏利绩优混合A 2.1560 2.3970 2.1776 2.4186 -0.0216 -0.99%
2025-08-28 005903 宏利绩优混合A 2.1776 2.4186 2.0169 2.2579 0.1607 7.97%
2025-08-27 005903 宏利绩优混合A 2.0169 2.2579 1.9793 2.2203 0.0376 1.90%
2025-08-26 005903 宏利绩优混合A 1.9793 2.2203 1.9981 2.2391 -0.0188 -0.94%
2025-08-25 005903 宏利绩优混合A 1.9981 2.2391 1.8806 2.1216 0.1175 6.25%
2025-08-22 005903 宏利绩优混合A 1.8806 2.1216 1.7994 2.0404 0.0812 4.51%
2025-08-21 005903 宏利绩优混合A 1.7994 2.0404 1.8392 2.0802 -0.0398 -2.16%
2025-08-20 005903 宏利绩优混合A 1.8392 2.0802 1.8411 2.0821 -0.0019 -0.10%
2025-08-19 005903 宏利绩优混合A 1.8411 2.0821 1.8106 2.0516 0.0305 1.68%
2025-08-18 005903 宏利绩优混合A 1.8106 2.0516 1.7354 1.9764 0.0752 4.33%
2025-08-15 005903 宏利绩优混合A 1.7354 1.9764 1.7364 1.9774 -0.0010 -0.06%
2025-08-14 005903 宏利绩优混合A 1.7364 1.9774 1.7857 2.0267 -0.0493 -2.76%
2025-08-13 005903 宏利绩优混合A 1.7857 2.0267 1.6953 1.9363 0.0904 5.33%
2025-08-12 005903 宏利绩优混合A 1.6953 1.9363 1.6605 1.9015 0.0348 2.10%
2025-08-11 005903 宏利绩优混合A 1.6605 1.9015 1.6090 1.8500 0.0515 3.20%
2025-08-08 005903 宏利绩优混合A 1.6090 1.8500 1.6408 1.8818 -0.0318 -1.94%
2025-08-07 005903 宏利绩优混合A 1.6408 1.8818 1.6395 1.8805 0.0013 0.08%
2025-08-06 005903 宏利绩优混合A 1.6395 1.8805 1.6350 1.8760 0.0045 0.28%
2025-08-05 005903 宏利绩优混合A 1.6350 1.8760 1.6334 1.8744 0.0016 0.10%
2025-08-04 005903 宏利绩优混合A 1.6334 1.8744 1.6341 1.8751 -0.0007 -0.04%
2025-08-01 005903 宏利绩优混合A 1.6341 1.8751 1.6658 1.9068 -0.0317 -1.90%
2025-07-31 005903 宏利绩优混合A 1.6658 1.9068 1.6402 1.8812 0.0256 1.56%
2025-07-30 005903 宏利绩优混合A 1.6402 1.8812 1.6521 1.8931 -0.0119 -0.72%
2025-07-29 005903 宏利绩优混合A 1.6521 1.8931 1.5999 1.8409 0.0522 3.26%
2025-07-28 005903 宏利绩优混合A 1.5999 1.8409 1.5691 1.8101 0.0308 1.96%
2025-07-25 005903 宏利绩优混合A 1.5691 1.8101 1.5562 1.7972 0.0129 0.83%
2025-07-24 005903 宏利绩优混合A 1.5562 1.7972 1.5646 1.8056 -0.0084 -0.54%
2025-07-23 005903 宏利绩优混合A 1.5646 1.8056 1.5641 1.8051 0.0005 0.03%
2025-07-22 005903 宏利绩优混合A 1.5641 1.8051 1.5639 1.8049 0.0002 0.01%
2025-07-21 005903 宏利绩优混合A 1.5639 1.8049 1.5746 1.8156 -0.0107 -0.68%
2025-07-18 005903 宏利绩优混合A 1.5746 1.8156 1.5885 1.8295 -0.0139 -0.88%
2025-07-17 005903 宏利绩优混合A 1.5885 1.8295 1.5267 1.7677 0.0618 4.05%
2025-07-16 005903 宏利绩优混合A 1.5267 1.7677 1.5120 1.7530 0.0147 0.97%
2025-07-15 005903 宏利绩优混合A 1.5120 1.7530 1.4268 1.6678 0.0852 5.97%
2025-07-14 005903 宏利绩优混合A 1.4268 1.6678 1.4126 1.6536 0.0142 1.01%
2025-07-11 005903 宏利绩优混合A 1.4126 1.6536 1.4220 1.6630 -0.0094 -0.66%
2025-07-10 005903 宏利绩优混合A 1.4220 1.6630 1.4286 1.6696 -0.0066 -0.46%
2025-07-09 005903 宏利绩优混合A 1.4286 1.6696 1.4237 1.6647 0.0049 0.34%
2025-07-08 005903 宏利绩优混合A 1.4237 1.6647 1.3745 1.6155 0.0492 3.58%
2025-07-07 005903 宏利绩优混合A 1.3745 1.6155 1.3874 1.6284 -0.0129 -0.93%
2025-07-04 005903 宏利绩优混合A 1.3874 1.6284 1.3954 1.6364 -0.0080 -0.57%
2025-07-03 005903 宏利绩优混合A 1.3954 1.6364 1.3716 1.6126 0.0238 1.74%
2025-07-02 005903 宏利绩优混合A 1.3716 1.6126 1.4054 1.6464 -0.0338 -2.41%
2025-07-01 005903 宏利绩优混合A 1.4054 1.6464 1.4071 1.6481 -0.0017 -0.12%
2025-06-30 005903 宏利绩优混合A 1.4071 1.6481 1.3813 1.6223 0.0258 1.87%
2025-06-27 005903 宏利绩优混合A 1.3813 1.6223 1.3625 1.6035 0.0188 1.38%
2025-06-26 005903 宏利绩优混合A 1.3625 1.6035 1.3597 1.6007 0.0028 0.21%
2025-06-25 005903 宏利绩优混合A 1.3597 1.6007 1.3246 1.5656 0.0351 2.65%
2025-06-24 005903 宏利绩优混合A 1.3246 1.5656 1.2998 1.5408 0.0248 1.91%
2025-06-23 005903 宏利绩优混合A 1.2998 1.5408 1.2905 1.5315 0.0093 0.72%
2025-06-20 005903 宏利绩优混合A 1.2905 1.5315 1.3179 1.5589 -0.0274 -2.08%
2025-06-19 005903 宏利绩优混合A 1.3179 1.5589 1.3301 1.5711 -0.0122 -0.92%
2025-06-18 005903 宏利绩优混合A 1.3301 1.5711 1.3062 1.5472 0.0239 1.83%
混合型-灵活基金涨幅榜
基金名称 单位净值 日增长率
国投进宝 3.0457 6.87%
宏利成长混合 4.1044 6.80%
财通福鑫 4.6201 6.74%
宏利复兴混合C 2.6010 6.69%
宏利复兴混合A 2.6240 6.67%
宏利绩优混合A 2.5555 6.63%
宏利绩优混合C 2.5202 6.63%
红土创新新兴产业混合C 2.7330 6.59%
德邦鑫星价值A 3.7980 6.58%
德邦鑫星价值C 3.6502 6.58%