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创金合信聚利债券E基金净值查询(022100)

今天最新净值 1.1857 0.0003 0.03% 2025-12-18
盘中实时估值(仅供参考) %
  • 累计净值:1.1857
  • 成立日期:
  • 基金类型:债券型-混合二级
  • 成立份额:
  • 最近份额:2.9319亿
  • 最近资产:0.00亿元
  • 基金公司:
  • 基金经理:黄浩东 吕沂洋 金莉
近一季创金合信聚利债券E基金净值查询
基金历史净值按日期查询: -
近一季,创金合信聚利债券E(022100)基金累计收益率0.27%
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 022100 创金合信聚利债券E 1.1859 1.1859 1.1857 1.1857 0.0002 0.02%
2025-12-17 022100 创金合信聚利债券E 1.1857 1.1857 1.1854 1.1854 0.0003 0.03%
2025-12-16 022100 创金合信聚利债券E 1.1854 1.1854 1.1853 1.1853 0.0001 0.01%
2025-12-15 022100 创金合信聚利债券E 1.1853 1.1853 1.1859 1.1859 -0.0006 -0.05%
2025-12-12 022100 创金合信聚利债券E 1.1859 1.1859 1.1859 1.1859 0.0000 0.00%
2025-12-11 022100 创金合信聚利债券E 1.1859 1.1859 1.1858 1.1858 0.0001 0.01%
2025-12-10 022100 创金合信聚利债券E 1.1858 1.1858 1.1857 1.1857 0.0001 0.01%
2025-12-09 022100 创金合信聚利债券E 1.1857 1.1857 1.1855 1.1855 0.0002 0.02%
2025-12-08 022100 创金合信聚利债券E 1.1855 1.1855 1.1855 1.1855 0.0000 0.00%
2025-12-05 022100 创金合信聚利债券E 1.1855 1.1855 1.1854 1.1854 0.0001 0.01%
2025-12-04 022100 创金合信聚利债券E 1.1854 1.1854 1.1860 1.1860 -0.0006 -0.05%
2025-12-03 022100 创金合信聚利债券E 1.1860 1.1860 1.1864 1.1864 -0.0004 -0.03%
2025-12-02 022100 创金合信聚利债券E 1.1864 1.1864 1.1865 1.1865 -0.0001 -0.01%
2025-12-01 022100 创金合信聚利债券E 1.1865 1.1865 1.1862 1.1862 0.0003 0.03%
2025-11-28 022100 创金合信聚利债券E 1.1862 1.1862 1.1861 1.1861 0.0001 0.01%
2025-11-27 022100 创金合信聚利债券E 1.1861 1.1861 1.1863 1.1863 -0.0002 -0.02%
2025-11-26 022100 创金合信聚利债券E 1.1863 1.1863 1.1867 1.1867 -0.0004 -0.03%
2025-11-25 022100 创金合信聚利债券E 1.1867 1.1867 1.1869 1.1869 -0.0002 -0.02%
2025-11-24 022100 创金合信聚利债券E 1.1869 1.1869 1.1868 1.1868 0.0001 0.01%
2025-11-21 022100 创金合信聚利债券E 1.1868 1.1868 1.1869 1.1869 -0.0001 -0.01%
2025-11-20 022100 创金合信聚利债券E 1.1869 1.1869 1.1868 1.1868 0.0001 0.01%
2025-11-19 022100 创金合信聚利债券E 1.1868 1.1868 1.1868 1.1868 0.0000 0.00%
2025-11-18 022100 创金合信聚利债券E 1.1868 1.1868 1.1867 1.1867 0.0001 0.01%
2025-11-17 022100 创金合信聚利债券E 1.1867 1.1867 1.1865 1.1865 0.0002 0.02%
2025-11-14 022100 创金合信聚利债券E 1.1865 1.1865 1.1864 1.1864 0.0001 0.01%
2025-11-13 022100 创金合信聚利债券E 1.1864 1.1864 1.1864 1.1864 0.0000 0.00%
2025-11-12 022100 创金合信聚利债券E 1.1864 1.1864 1.1862 1.1862 0.0002 0.02%
2025-11-11 022100 创金合信聚利债券E 1.1862 1.1862 1.1860 1.1860 0.0002 0.02%
2025-11-10 022100 创金合信聚利债券E 1.1860 1.1860 1.1860 1.1860 0.0000 0.00%
2025-11-07 022100 创金合信聚利债券E 1.1860 1.1860 1.1864 1.1864 -0.0004 -0.03%
2025-11-06 022100 创金合信聚利债券E 1.1864 1.1864 1.1866 1.1866 -0.0002 -0.02%
2025-11-05 022100 创金合信聚利债券E 1.1866 1.1866 1.1866 1.1866 0.0000 0.00%
2025-11-04 022100 创金合信聚利债券E 1.1866 1.1866 1.1865 1.1865 0.0001 0.01%
2025-11-03 022100 创金合信聚利债券E 1.1865 1.1865 1.1865 1.1865 0.0000 0.00%
2025-10-31 022100 创金合信聚利债券E 1.1865 1.1865 1.1858 1.1858 0.0007 0.06%
2025-10-30 022100 创金合信聚利债券E 1.1858 1.1858 1.1854 1.1854 0.0004 0.03%
2025-10-29 022100 创金合信聚利债券E 1.1854 1.1854 1.1850 1.1850 0.0004 0.03%
2025-10-28 022100 创金合信聚利债券E 1.1850 1.1850 1.1842 1.1842 0.0008 0.07%
2025-10-27 022100 创金合信聚利债券E 1.1842 1.1842 1.1841 1.1841 0.0001 0.01%
2025-10-24 022100 创金合信聚利债券E 1.1841 1.1841 1.1839 1.1839 0.0002 0.02%
2025-10-23 022100 创金合信聚利债券E 1.1839 1.1839 1.1838 1.1838 0.0001 0.01%
2025-10-22 022100 创金合信聚利债券E 1.1838 1.1838 1.1837 1.1837 0.0001 0.01%
2025-10-21 022100 创金合信聚利债券E 1.1837 1.1837 1.1836 1.1836 0.0001 0.01%
2025-10-20 022100 创金合信聚利债券E 1.1836 1.1836 1.1836 1.1836 0.0000 0.00%
2025-10-17 022100 创金合信聚利债券E 1.1836 1.1836 1.1833 1.1833 0.0003 0.03%
2025-10-16 022100 创金合信聚利债券E 1.1833 1.1833 1.1832 1.1832 0.0001 0.01%
2025-10-15 022100 创金合信聚利债券E 1.1832 1.1832 1.1829 1.1829 0.0003 0.03%
2025-10-14 022100 创金合信聚利债券E 1.1829 1.1829 1.1828 1.1828 0.0001 0.01%
2025-10-13 022100 创金合信聚利债券E 1.1828 1.1828 1.1825 1.1825 0.0003 0.03%
2025-10-10 022100 创金合信聚利债券E 1.1825 1.1825 1.1823 1.1823 0.0002 0.02%
2025-10-09 022100 创金合信聚利债券E 1.1823 1.1823 1.1817 1.1817 0.0006 0.05%
2025-09-30 022100 创金合信聚利债券E 1.1817 1.1817 1.1813 1.1813 0.0004 0.03%
2025-09-29 022100 创金合信聚利债券E 1.1813 1.1813 1.1811 1.1811 0.0002 0.02%
2025-09-26 022100 创金合信聚利债券E 1.1811 1.1811 1.1809 1.1809 0.0002 0.02%
2025-09-25 022100 创金合信聚利债券E 1.1809 1.1809 1.1814 1.1814 -0.0005 -0.04%
2025-09-24 022100 创金合信聚利债券E 1.1814 1.1814 1.1821 1.1821 -0.0007 -0.06%
2025-09-23 022100 创金合信聚利债券E 1.1821 1.1821 1.1823 1.1823 -0.0002 -0.02%
2025-09-22 022100 创金合信聚利债券E 1.1823 1.1823 1.1823 1.1823 0.0000 0.00%
2025-09-19 022100 创金合信聚利债券E 1.1823 1.1823 1.1823 1.1823 0.0000 0.00%
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 3.95%
互联医疗 0.9637 3.76%
互联医C 0.9340 3.75%
泰信互联网+主题混合C 1.4356 3.35%
博时中证卫星产业指数A 1.1577 2.89%
博时中证卫星产业指数C 1.1575 2.88%
华泰保兴吉年红混合发起A 1.1145 2.84%
华泰保兴吉年红混合发起C 1.1139 2.83%
债券型-混合二级基金涨幅榜
基金名称 单位净值 日增长率
华泰柏瑞稳本增利债券C 1.0649 0.60%
华泰增利B 1.0537 0.60%
华泰增利A 1.0587 0.60%
广发集祥债券A 1.1026 0.59%
广发集祥债券C 1.0910 0.59%
天治双盈 1.1180 0.54%
招商安瑞进取债券C 2.3183 0.49%
招商安瑞进取债券A 2.3284 0.49%
天弘多元收益债券E 1.3514 0.42%
天弘弘丰债券A 1.3494 0.42%