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

华夏回报混合A(华夏回报)基金净值查询(002001)

今天最新净值 1.3410 -0.0060 -0.45% 2025-12-16
盘中实时估值(仅供参考) 1.3313 -0.0017 -0.1302%
近半年华夏回报混合A|华夏回报基金净值查询
基金历史净值按日期查询: -
近半年,华夏回报混合A(002001)基金累计收益率9.47%
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
2025-12-16 002001 华夏回报混合A 1.3330 4.9320 1.3410 4.9400 -0.0080 -0.60%
2025-12-15 002001 华夏回报混合A 1.3410 4.9400 1.3470 4.9460 -0.0060 -0.45%
2025-12-12 002001 华夏回报混合A 1.3470 4.9460 1.3410 4.9400 0.0060 0.45%
2025-12-11 002001 华夏回报混合A 1.3410 4.9400 1.3430 4.9420 -0.0020 -0.15%
2025-12-10 002001 华夏回报混合A 1.3430 4.9420 1.3420 4.9410 0.0010 0.07%
2025-12-09 002001 华夏回报混合A 1.3420 4.9410 1.3470 4.9460 -0.0050 -0.37%
2025-12-08 002001 华夏回报混合A 1.3470 4.9460 1.3450 4.9440 0.0020 0.15%
2025-12-05 002001 华夏回报混合A 1.3450 4.9440 1.3420 4.9410 0.0030 0.22%
2025-12-04 002001 华夏回报混合A 1.3420 4.9410 1.3410 4.9400 0.0010 0.07%
2025-12-03 002001 华夏回报混合A 1.3410 4.9400 1.3450 4.9440 -0.0040 -0.30%
2025-12-02 002001 华夏回报混合A 1.3450 4.9440 1.3500 4.9490 -0.0050 -0.37%
2025-12-01 002001 华夏回报混合A 1.3500 4.9490 1.3430 4.9420 0.0070 0.52%
2025-11-28 002001 华夏回报混合A 1.3430 4.9420 1.3400 4.9390 0.0030 0.22%
2025-11-27 002001 华夏回报混合A 1.3400 4.9390 1.3420 4.9410 -0.0020 -0.15%
2025-11-26 002001 华夏回报混合A 1.3420 4.9410 1.3420 4.9410 0.0000 0.00%
2025-11-25 002001 华夏回报混合A 1.3420 4.9410 1.3370 4.9360 0.0050 0.37%
2025-11-24 002001 华夏回报混合A 1.3370 4.9360 1.3320 4.9310 0.0050 0.38%
2025-11-21 002001 华夏回报混合A 1.3320 4.9310 1.3460 4.9450 -0.0140 -1.04%
2025-11-20 002001 华夏回报混合A 1.3460 4.9450 1.3500 4.9490 -0.0040 -0.30%
2025-11-19 002001 华夏回报混合A 1.3500 4.9490 1.3490 4.9480 0.0010 0.07%
2025-11-18 002001 华夏回报混合A 1.3490 4.9480 1.3520 4.9510 -0.0030 -0.22%
2025-11-17 002001 华夏回报混合A 1.3520 4.9510 1.3620 4.9610 -0.0100 -0.73%
2025-11-14 002001 华夏回报混合A 1.3620 4.9610 1.3720 4.9710 -0.0100 -0.73%
2025-11-13 002001 华夏回报混合A 1.3720 4.9710 1.3610 4.9600 0.0110 0.81%
2025-11-12 002001 华夏回报混合A 1.3610 4.9600 1.3610 4.9600 0.0000 0.00%
2025-11-11 002001 华夏回报混合A 1.3610 4.9600 1.3660 4.9650 -0.0050 -0.37%
2025-11-10 002001 华夏回报混合A 1.3660 4.9650 1.3620 4.9610 0.0040 0.29%
2025-11-07 002001 华夏回报混合A 1.3620 4.9610 1.3660 4.9650 -0.0040 -0.29%
2025-11-06 002001 华夏回报混合A 1.3660 4.9650 1.3570 4.9560 0.0090 0.66%
2025-11-05 002001 华夏回报混合A 1.3570 4.9560 1.3570 4.9560 0.0000 0.00%
2025-11-04 002001 华夏回报混合A 1.3570 4.9560 1.3640 4.9630 -0.0070 -0.51%
2025-11-03 002001 华夏回报混合A 1.3640 4.9630 1.3650 4.9640 -0.0010 -0.07%
2025-10-31 002001 华夏回报混合A 1.3650 4.9640 1.3690 4.9680 -0.0040 -0.29%
2025-10-30 002001 华夏回报混合A 1.3690 4.9680 1.3750 4.9740 -0.0060 -0.44%
2025-10-29 002001 华夏回报混合A 1.3750 4.9740 1.3720 4.9710 0.0030 0.22%
2025-10-28 002001 华夏回报混合A 1.3720 4.9710 1.3760 4.9750 -0.0040 -0.29%
2025-10-27 002001 华夏回报混合A 1.3760 4.9750 1.3690 4.9680 0.0070 0.51%
2025-10-24 002001 华夏回报混合A 1.3690 4.9680 1.3620 4.9610 0.0070 0.51%
2025-10-23 002001 华夏回报混合A 1.3620 4.9610 1.3610 4.9600 0.0010 0.07%
2025-10-22 002001 华夏回报混合A 1.3610 4.9600 1.3650 4.9640 -0.0040 -0.29%
2025-10-21 002001 华夏回报混合A 1.3650 4.9640 1.3560 4.9550 0.0090 0.66%
2025-10-20 002001 华夏回报混合A 1.3560 4.9550 1.3540 4.9530 0.0020 0.15%
2025-10-17 002001 华夏回报混合A 1.3540 4.9530 1.3710 4.9700 -0.0170 -1.24%
2025-10-16 002001 华夏回报混合A 1.3710 4.9700 1.3730 4.9720 -0.0020 -0.15%
2025-10-15 002001 华夏回报混合A 1.3730 4.9720 1.3600 4.9590 0.0130 0.96%
2025-10-14 002001 华夏回报混合A 1.3600 4.9590 1.3710 4.9700 -0.0110 -0.80%
2025-10-13 002001 华夏回报混合A 1.3710 4.9700 1.3740 4.9730 -0.0030 -0.22%
2025-10-10 002001 华夏回报混合A 1.3740 4.9730 1.3910 4.9900 -0.0170 -1.22%
2025-10-09 002001 华夏回报混合A 1.3910 4.9900 1.3800 4.9790 0.0110 0.80%
2025-09-30 002001 华夏回报混合A 1.3800 4.9790 1.3740 4.9730 0.0060 0.44%
2025-09-29 002001 华夏回报混合A 1.3740 4.9730 1.3620 4.9610 0.0120 0.88%
2025-09-26 002001 华夏回报混合A 1.3620 4.9610 1.3710 4.9700 -0.0090 -0.66%
2025-09-25 002001 华夏回报混合A 1.3710 4.9700 1.3680 4.9670 0.0030 0.22%
2025-09-24 002001 华夏回报混合A 1.3680 4.9670 1.3520 4.9510 0.0160 1.18%
2025-09-23 002001 华夏回报混合A 1.3520 4.9510 1.3530 4.9520 -0.0010 -0.07%
2025-09-22 002001 华夏回报混合A 1.3530 4.9520 1.3520 4.9510 0.0010 0.07%
2025-09-19 002001 华夏回报混合A 1.3520 4.9510 1.3480 4.9470 0.0040 0.30%
2025-09-18 002001 华夏回报混合A 1.3480 4.9470 1.3580 4.9570 -0.0100 -0.74%
2025-09-17 002001 华夏回报混合A 1.3580 4.9570 1.3480 4.9470 0.0100 0.74%
2025-09-16 002001 华夏回报混合A 1.3480 4.9470 1.3500 4.9490 -0.0020 -0.15%
2025-09-15 002001 华夏回报混合A 1.3500 4.9490 1.3420 4.9410 0.0080 0.60%
2025-09-12 002001 华夏回报混合A 1.3420 4.9410 1.3450 4.9440 -0.0030 -0.22%
2025-09-11 002001 华夏回报混合A 1.3450 4.9440 1.3360 4.9350 0.0090 0.67%
2025-09-10 002001 华夏回报混合A 1.3360 4.9350 1.3370 4.9360 -0.0010 -0.07%
2025-09-09 002001 华夏回报混合A 1.3370 4.9360 1.3410 4.9400 -0.0040 -0.30%
2025-09-08 002001 华夏回报混合A 1.3410 4.9400 1.3300 4.9290 0.0110 0.83%
2025-09-05 002001 华夏回报混合A 1.3300 4.9290 1.3120 4.9110 0.0180 1.37%
2025-09-04 002001 华夏回报混合A 1.3120 4.9110 1.3270 4.9260 -0.0150 -1.13%
2025-09-03 002001 华夏回报混合A 1.3270 4.9260 1.3330 4.9320 -0.0060 -0.45%
2025-09-02 002001 华夏回报混合A 1.3330 4.9320 1.3390 4.9380 -0.0060 -0.45%
2025-09-01 002001 华夏回报混合A 1.3390 4.9380 1.3320 4.9310 0.0070 0.53%
2025-08-29 002001 华夏回报混合A 1.3320 4.9310 1.3190 4.9180 0.0130 0.99%
2025-08-28 002001 华夏回报混合A 1.3190 4.9180 1.3110 4.9100 0.0080 0.61%
2025-08-27 002001 华夏回报混合A 1.3110 4.9100 1.3240 4.9230 -0.0130 -0.98%
2025-08-26 002001 华夏回报混合A 1.3240 4.9230 1.3260 4.9250 -0.0020 -0.15%
2025-08-25 002001 华夏回报混合A 1.3260 4.9250 1.3140 4.9130 0.0120 0.91%
2025-08-22 002001 华夏回报混合A 1.3140 4.9130 1.3020 4.9010 0.0120 0.92%
2025-08-21 002001 华夏回报混合A 1.3020 4.9010 1.2980 4.8970 0.0040 0.31%
2025-08-20 002001 华夏回报混合A 1.2980 4.8970 1.2850 4.8840 0.0130 1.01%
2025-08-19 002001 华夏回报混合A 1.2850 4.8840 1.2910 4.8900 -0.0060 -0.46%
2025-08-18 002001 华夏回报混合A 1.2910 4.8900 1.2860 4.8850 0.0050 0.39%
2025-08-15 002001 华夏回报混合A 1.2860 4.8850 1.2790 4.8780 0.0070 0.55%
2025-08-14 002001 华夏回报混合A 1.2790 4.8780 1.2820 4.8810 -0.0030 -0.23%
2025-08-13 002001 华夏回报混合A 1.2820 4.8810 1.2760 4.8750 0.0060 0.47%
2025-08-12 002001 华夏回报混合A 1.2760 4.8750 1.2730 4.8720 0.0030 0.24%
2025-08-11 002001 华夏回报混合A 1.2730 4.8720 1.2710 4.8700 0.0020 0.16%
2025-08-08 002001 华夏回报混合A 1.2710 4.8700 1.2710 4.8700 0.0000 0.00%
2025-08-07 002001 华夏回报混合A 1.2710 4.8700 1.2710 4.8700 0.0000 0.00%
2025-08-06 002001 华夏回报混合A 1.2710 4.8700 1.2700 4.8690 0.0010 0.08%
2025-08-05 002001 华夏回报混合A 1.2700 4.8690 1.2660 4.8650 0.0040 0.32%
2025-08-04 002001 华夏回报混合A 1.2660 4.8650 1.2600 4.8590 0.0060 0.48%
2025-08-01 002001 华夏回报混合A 1.2600 4.8590 1.2620 4.8610 -0.0020 -0.16%
2025-07-31 002001 华夏回报混合A 1.2620 4.8610 1.2790 4.8780 -0.0170 -1.33%
2025-07-30 002001 华夏回报混合A 1.2790 4.8780 1.2830 4.8820 -0.0040 -0.31%
2025-07-29 002001 华夏回报混合A 1.2830 4.8820 1.2800 4.8790 0.0030 0.23%
2025-07-28 002001 华夏回报混合A 1.2800 4.8790 1.2760 4.8750 0.0040 0.31%
2025-07-25 002001 华夏回报混合A 1.2760 4.8750 1.2770 4.8760 -0.0010 -0.08%
2025-07-24 002001 华夏回报混合A 1.2770 4.8760 1.2740 4.8730 0.0030 0.24%
2025-07-23 002001 华夏回报混合A 1.2740 4.8730 1.2740 4.8730 0.0000 0.00%
2025-07-22 002001 华夏回报混合A 1.2740 4.8730 1.2670 4.8660 0.0070 0.55%
2025-07-21 002001 华夏回报混合A 1.2670 4.8660 1.2620 4.8610 0.0050 0.40%
2025-07-18 002001 华夏回报混合A 1.2620 4.8610 1.2560 4.8550 0.0060 0.48%
2025-07-17 002001 华夏回报混合A 1.2560 4.8550 1.2520 4.8510 0.0040 0.32%
2025-07-16 002001 华夏回报混合A 1.2520 4.8510 1.2530 4.8520 -0.0010 -0.08%
2025-07-15 002001 华夏回报混合A 1.2530 4.8520 1.2560 4.8550 -0.0030 -0.24%
2025-07-14 002001 华夏回报混合A 1.2560 4.8550 1.2570 4.8560 -0.0010 -0.08%
2025-07-11 002001 华夏回报混合A 1.2570 4.8560 1.2570 4.8560 0.0000 0.00%
2025-07-10 002001 华夏回报混合A 1.2570 4.8560 1.2550 4.8540 0.0020 0.16%
2025-07-09 002001 华夏回报混合A 1.2550 4.8540 1.2510 4.8500 0.0040 0.32%
2025-07-08 002001 华夏回报混合A 1.2510 4.8500 1.2460 4.8450 0.0050 0.40%
2025-07-07 002001 华夏回报混合A 1.2460 4.8450 1.2500 4.8490 -0.0040 -0.32%
2025-07-04 002001 华夏回报混合A 1.2500 4.8490 1.2470 4.8460 0.0030 0.24%
2025-07-03 002001 华夏回报混合A 1.2470 4.8460 1.2400 4.8390 0.0070 0.56%
2025-07-02 002001 华夏回报混合A 1.2400 4.8390 1.2430 4.8420 -0.0030 -0.24%
2025-07-01 002001 华夏回报混合A 1.2430 4.8420 1.2400 4.8390 0.0030 0.24%
2025-06-30 002001 华夏回报混合A 1.2400 4.8390 1.2340 4.8330 0.0060 0.49%
2025-06-27 002001 华夏回报混合A 1.2340 4.8330 1.2400 4.8390 -0.0060 -0.48%
2025-06-26 002001 华夏回报混合A 1.2400 4.8390 1.2420 4.8410 -0.0020 -0.16%
2025-06-25 002001 华夏回报混合A 1.2420 4.8410 1.2310 4.8300 0.0110 0.89%
2025-06-24 002001 华夏回报混合A 1.2310 4.8300 1.2210 4.8200 0.0100 0.82%
2025-06-23 002001 华夏回报混合A 1.2210 4.8200 1.2200 4.8190 0.0010 0.08%
2025-06-20 002001 华夏回报混合A 1.2200 4.8190 1.2180 4.8170 0.0020 0.16%
2025-06-19 002001 华夏回报混合A 1.2180 4.8170 1.2250 4.8240 -0.0070 -0.57%
2025-06-18 002001 华夏回报混合A 1.2250 4.8240 1.2230 4.8220 0.0020 0.16%
2025-06-17 002001 华夏回报混合A 1.2230 4.8220 1.2260 4.8250 -0.0030 -0.24%
混合型-灵活基金涨幅榜
基金名称 单位净值 日增长率
同泰远见混合A 0.7652 1.24%
同泰远见混合C 0.7492 1.24%
前海开源高端装备制造混合A 2.0170 0.79%
金信稳健策略混合C 2.2619 0.61%
华润安鑫A 1.8870 0.45%
兴银消费新趋势灵活配置C 2.2557 0.44%
南方金融主题灵活配置混合C 1.2698 0.32%
中信新蓝筹混合 1.5536 0.28%
国联安鑫安 0.9338 0.26%
汇安丰融混合A 1.1925 0.05%