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

鑫元合丰纯债D基金净值查询(023091)

今天最新净值 1.0573 0.0002 0.02% 2025-12-17
盘中实时估值(仅供参考) %
  • 累计净值:1.0703
  • 成立日期:
  • 基金类型:债券型-长债
  • 成立份额:
  • 最近份额:57.1979亿
  • 最近资产:8.96亿元
  • 基金公司:
  • 基金经理:刘丽娟
近一季鑫元合丰纯债D基金净值查询
基金历史净值按日期查询: -
近一季,鑫元合丰纯债D(023091)基金累计收益率0.45%
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 023091 鑫元合丰纯债D 1.0579 1.0709 1.0573 1.0703 0.0006 0.06%
2025-12-16 023091 鑫元合丰纯债D 1.0573 1.0703 1.0571 1.0701 0.0002 0.02%
2025-12-15 023091 鑫元合丰纯债D 1.0571 1.0701 1.0576 1.0706 -0.0005 -0.05%
2025-12-12 023091 鑫元合丰纯债D 1.0576 1.0706 1.0579 1.0709 -0.0003 -0.03%
2025-12-11 023091 鑫元合丰纯债D 1.0579 1.0709 1.0574 1.0704 0.0005 0.05%
2025-12-10 023091 鑫元合丰纯债D 1.0574 1.0704 1.0569 1.0699 0.0005 0.05%
2025-12-09 023091 鑫元合丰纯债D 1.0569 1.0699 1.0564 1.0694 0.0005 0.05%
2025-12-08 023091 鑫元合丰纯债D 1.0564 1.0694 1.0563 1.0693 0.0001 0.01%
2025-12-05 023091 鑫元合丰纯债D 1.0563 1.0693 1.0558 1.0688 0.0005 0.05%
2025-12-04 023091 鑫元合丰纯债D 1.0558 1.0688 1.0569 1.0699 -0.0011 -0.10%
2025-12-03 023091 鑫元合丰纯债D 1.0569 1.0699 1.0572 1.0702 -0.0003 -0.03%
2025-12-02 023091 鑫元合丰纯债D 1.0572 1.0702 1.0574 1.0704 -0.0002 -0.02%
2025-12-01 023091 鑫元合丰纯债D 1.0574 1.0704 1.0572 1.0702 0.0002 0.02%
2025-11-28 023091 鑫元合丰纯债D 1.0572 1.0702 1.0568 1.0698 0.0004 0.04%
2025-11-27 023091 鑫元合丰纯债D 1.0568 1.0698 1.0571 1.0701 -0.0003 -0.03%
2025-11-26 023091 鑫元合丰纯债D 1.0571 1.0701 1.0577 1.0707 -0.0006 -0.06%
2025-11-25 023091 鑫元合丰纯债D 1.0577 1.0707 1.0580 1.0710 -0.0003 -0.03%
2025-11-24 023091 鑫元合丰纯债D 1.0580 1.0710 1.0579 1.0709 0.0001 0.01%
2025-11-21 023091 鑫元合丰纯债D 1.0579 1.0709 1.0579 1.0709 0.0000 0.00%
2025-11-20 023091 鑫元合丰纯债D 1.0579 1.0709 1.0577 1.0707 0.0002 0.02%
2025-11-19 023091 鑫元合丰纯债D 1.0577 1.0707 1.0578 1.0708 -0.0001 -0.01%
2025-11-18 023091 鑫元合丰纯债D 1.0578 1.0708 1.0578 1.0708 0.0000 0.00%
2025-11-17 023091 鑫元合丰纯债D 1.0578 1.0708 1.0575 1.0705 0.0003 0.03%
2025-11-14 023091 鑫元合丰纯债D 1.0575 1.0705 1.0572 1.0702 0.0003 0.03%
2025-11-13 023091 鑫元合丰纯债D 1.0572 1.0702 1.0571 1.0701 0.0001 0.01%
2025-11-12 023091 鑫元合丰纯债D 1.0571 1.0701 1.0567 1.0697 0.0004 0.04%
2025-11-11 023091 鑫元合丰纯债D 1.0567 1.0697 1.0564 1.0694 0.0003 0.03%
2025-11-10 023091 鑫元合丰纯债D 1.0564 1.0694 1.0563 1.0693 0.0001 0.01%
2025-11-07 023091 鑫元合丰纯债D 1.0563 1.0693 1.0566 1.0696 -0.0003 -0.03%
2025-11-06 023091 鑫元合丰纯债D 1.0566 1.0696 1.0571 1.0701 -0.0005 -0.05%
2025-11-05 023091 鑫元合丰纯债D 1.0571 1.0701 1.0570 1.0700 0.0001 0.01%
2025-11-04 023091 鑫元合丰纯债D 1.0570 1.0700 1.0572 1.0702 -0.0002 -0.02%
2025-11-03 023091 鑫元合丰纯债D 1.0572 1.0702 1.0571 1.0701 0.0001 0.01%
2025-10-31 023091 鑫元合丰纯债D 1.0571 1.0701 1.0563 1.0693 0.0008 0.08%
2025-10-30 023091 鑫元合丰纯债D 1.0563 1.0693 1.0555 1.0685 0.0008 0.08%
2025-10-29 023091 鑫元合丰纯债D 1.0555 1.0685 1.0549 1.0679 0.0006 0.06%
2025-10-28 023091 鑫元合丰纯债D 1.0549 1.0679 1.0538 1.0668 0.0011 0.10%
2025-10-27 023091 鑫元合丰纯债D 1.0538 1.0668 1.0534 1.0664 0.0004 0.04%
2025-10-24 023091 鑫元合丰纯债D 1.0534 1.0664 1.0536 1.0666 -0.0002 -0.02%
2025-10-23 023091 鑫元合丰纯债D 1.0536 1.0666 1.0535 1.0665 0.0001 0.01%
2025-10-22 023091 鑫元合丰纯债D 1.0535 1.0665 1.0534 1.0664 0.0001 0.01%
2025-10-21 023091 鑫元合丰纯债D 1.0534 1.0664 1.0532 1.0662 0.0002 0.02%
2025-10-20 023091 鑫元合丰纯债D 1.0532 1.0662 1.0536 1.0666 -0.0004 -0.04%
2025-10-17 023091 鑫元合丰纯债D 1.0536 1.0666 1.0530 1.0660 0.0006 0.06%
2025-10-16 023091 鑫元合丰纯债D 1.0530 1.0660 1.0528 1.0658 0.0002 0.02%
2025-10-15 023091 鑫元合丰纯债D 1.0528 1.0658 1.0530 1.0660 -0.0002 -0.02%
2025-10-14 023091 鑫元合丰纯债D 1.0530 1.0660 1.0529 1.0659 0.0001 0.01%
2025-10-13 023091 鑫元合丰纯债D 1.0529 1.0659 1.0526 1.0656 0.0003 0.03%
2025-10-10 023091 鑫元合丰纯债D 1.0526 1.0656 1.0526 1.0656 0.0000 0.00%
2025-10-09 023091 鑫元合丰纯债D 1.0526 1.0656 1.0520 1.0650 0.0006 0.06%
2025-09-30 023091 鑫元合丰纯债D 1.0520 1.0650 1.0510 1.0640 0.0010 0.10%
2025-09-29 023091 鑫元合丰纯债D 1.0510 1.0640 1.0512 1.0642 -0.0002 -0.02%
2025-09-26 023091 鑫元合丰纯债D 1.0512 1.0642 1.0510 1.0640 0.0002 0.02%
2025-09-25 023091 鑫元合丰纯债D 1.0510 1.0640 1.0512 1.0642 -0.0002 -0.02%
2025-09-24 023091 鑫元合丰纯债D 1.0512 1.0642 1.0622 1.0652 -0.0010 -0.09%
2025-09-23 023091 鑫元合丰纯债D 1.0622 1.0652 1.0631 1.0661 -0.0009 -0.08%
2025-09-22 023091 鑫元合丰纯债D 1.0631 1.0661 1.0626 1.0656 0.0005 0.05%
2025-09-19 023091 鑫元合丰纯债D 1.0626 1.0656 1.0631 1.0661 -0.0005 -0.05%
2025-09-18 023091 鑫元合丰纯债D 1.0631 1.0661 1.0635 1.0665 -0.0004 -0.04%
债券型-长债基金涨幅榜
基金名称 单位净值 日增长率
长盛恒盛利率债A 1.0787 0.96%
长盛恒盛利率债C 1.0688 0.96%
金元顺安泓泽债券 0.9685 0.84%
汇添富丰和纯债A 0.9847 0.78%
汇添富丰和纯债C 0.9761 0.77%
中信保诚稳悦债券D 1.0704 0.66%
中信保诚稳悦债券A 1.0697 0.66%
中信保诚稳悦债券C 1.0684 0.66%
国泰添瑞一年定期开放债券 0.9843 0.65%
建信利率债债券C 1.1221 0.64%