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

宝盈优质成长混合A基金净值查询(010751)

今天最新净值 0.6273 0.0164 2.68% 2025-12-18
盘中实时估值(仅供参考) 0.6162 -0.0111 -1.7765%
  • 累计净值:0.6273
  • 成立日期:
  • 基金类型:混合型-偏股
  • 成立份额:
  • 最近份额:4.0850亿
  • 最近资产:1.77亿元
  • 基金公司:宝盈基金
  • 基金经理:李健伟 侯嘉敏
近半年宝盈优质成长混合A基金净值查询
基金历史净值按日期查询: -
近半年,宝盈优质成长混合A(010751)基金累计收益率25.33%
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 010751 宝盈优质成长混合A 0.6131 0.6131 0.6273 0.6273 -0.0142 -2.26%
2025-12-17 010751 宝盈优质成长混合A 0.6273 0.6273 0.6109 0.6109 0.0164 2.68%
2025-12-16 010751 宝盈优质成长混合A 0.6109 0.6109 0.6164 0.6164 -0.0055 -0.89%
2025-12-15 010751 宝盈优质成长混合A 0.6164 0.6164 0.6221 0.6221 -0.0057 -0.92%
2025-12-12 010751 宝盈优质成长混合A 0.6221 0.6221 0.6166 0.6166 0.0055 0.89%
2025-12-11 010751 宝盈优质成长混合A 0.6166 0.6166 0.6214 0.6214 -0.0048 -0.77%
2025-12-10 010751 宝盈优质成长混合A 0.6214 0.6214 0.6138 0.6138 0.0076 1.24%
2025-12-09 010751 宝盈优质成长混合A 0.6138 0.6138 0.6164 0.6164 -0.0026 -0.42%
2025-12-08 010751 宝盈优质成长混合A 0.6164 0.6164 0.6159 0.6159 0.0005 0.08%
2025-12-05 010751 宝盈优质成长混合A 0.6159 0.6159 0.6054 0.6054 0.0105 1.73%
2025-12-04 010751 宝盈优质成长混合A 0.6054 0.6054 0.6033 0.6033 0.0021 0.35%
2025-12-03 010751 宝盈优质成长混合A 0.6033 0.6033 0.5887 0.5887 0.0146 2.48%
2025-12-02 010751 宝盈优质成长混合A 0.5887 0.5887 0.5932 0.5932 -0.0045 -0.76%
2025-12-01 010751 宝盈优质成长混合A 0.5932 0.5932 0.5949 0.5949 -0.0017 -0.29%
2025-11-28 010751 宝盈优质成长混合A 0.5949 0.5949 0.5867 0.5867 0.0082 1.40%
2025-11-27 010751 宝盈优质成长混合A 0.5867 0.5867 0.5833 0.5833 0.0034 0.58%
2025-11-26 010751 宝盈优质成长混合A 0.5833 0.5833 0.5750 0.5750 0.0083 1.44%
2025-11-25 010751 宝盈优质成长混合A 0.5750 0.5750 0.5698 0.5698 0.0052 0.91%
2025-11-24 010751 宝盈优质成长混合A 0.5698 0.5698 0.5678 0.5678 0.0020 0.35%
2025-11-21 010751 宝盈优质成长混合A 0.5678 0.5678 0.5836 0.5836 -0.0158 -2.71%
2025-11-20 010751 宝盈优质成长混合A 0.5836 0.5836 0.5826 0.5826 0.0010 0.17%
2025-11-19 010751 宝盈优质成长混合A 0.5826 0.5826 0.5770 0.5770 0.0056 0.97%
2025-11-18 010751 宝盈优质成长混合A 0.5770 0.5770 0.5880 0.5880 -0.0110 -1.87%
2025-11-17 010751 宝盈优质成长混合A 0.5880 0.5880 0.5918 0.5918 -0.0038 -0.64%
2025-11-14 010751 宝盈优质成长混合A 0.5918 0.5918 0.6013 0.6013 -0.0095 -1.58%
2025-11-13 010751 宝盈优质成长混合A 0.6013 0.6013 0.5954 0.5954 0.0059 0.99%
2025-11-12 010751 宝盈优质成长混合A 0.5954 0.5954 0.5940 0.5940 0.0014 0.24%
2025-11-11 010751 宝盈优质成长混合A 0.5940 0.5940 0.5983 0.5983 -0.0043 -0.72%
2025-11-10 010751 宝盈优质成长混合A 0.5983 0.5983 0.6005 0.6005 -0.0022 -0.37%
2025-11-07 010751 宝盈优质成长混合A 0.6005 0.6005 0.6069 0.6069 -0.0064 -1.05%
2025-11-06 010751 宝盈优质成长混合A 0.6069 0.6069 0.5941 0.5941 0.0128 2.15%
2025-11-05 010751 宝盈优质成长混合A 0.5941 0.5941 0.5846 0.5846 0.0095 1.63%
2025-11-04 010751 宝盈优质成长混合A 0.5846 0.5846 0.5909 0.5909 -0.0063 -1.07%
2025-11-03 010751 宝盈优质成长混合A 0.5909 0.5909 0.5877 0.5877 0.0032 0.54%
2025-10-31 010751 宝盈优质成长混合A 0.5877 0.5877 0.5996 0.5996 -0.0119 -1.98%
2025-10-30 010751 宝盈优质成长混合A 0.5996 0.5996 0.6023 0.6023 -0.0027 -0.45%
2025-10-29 010751 宝盈优质成长混合A 0.6023 0.6023 0.5915 0.5915 0.0108 1.83%
2025-10-28 010751 宝盈优质成长混合A 0.5915 0.5915 0.5933 0.5933 -0.0018 -0.30%
2025-10-27 010751 宝盈优质成长混合A 0.5933 0.5933 0.5761 0.5761 0.0172 2.99%
2025-10-24 010751 宝盈优质成长混合A 0.5761 0.5761 0.5677 0.5677 0.0084 1.48%
2025-10-23 010751 宝盈优质成长混合A 0.5677 0.5677 0.5602 0.5602 0.0075 1.34%
2025-10-22 010751 宝盈优质成长混合A 0.5602 0.5602 0.5558 0.5558 0.0044 0.79%
2025-10-21 010751 宝盈优质成长混合A 0.5558 0.5558 0.5466 0.5466 0.0092 1.68%
2025-10-20 010751 宝盈优质成长混合A 0.5466 0.5466 0.5358 0.5358 0.0108 2.02%
2025-10-17 010751 宝盈优质成长混合A 0.5358 0.5358 0.5500 0.5500 -0.0142 -2.58%
2025-10-16 010751 宝盈优质成长混合A 0.5500 0.5500 0.5560 0.5560 -0.0060 -1.08%
2025-10-15 010751 宝盈优质成长混合A 0.5560 0.5560 0.5476 0.5476 0.0084 1.53%
2025-10-14 010751 宝盈优质成长混合A 0.5476 0.5476 0.5602 0.5602 -0.0126 -2.25%
2025-10-13 010751 宝盈优质成长混合A 0.5602 0.5602 0.5648 0.5648 -0.0046 -0.81%
2025-10-10 010751 宝盈优质成长混合A 0.5648 0.5648 0.5698 0.5698 -0.0050 -0.88%
2025-10-09 010751 宝盈优质成长混合A 0.5698 0.5698 0.5669 0.5669 0.0029 0.51%
2025-09-30 010751 宝盈优质成长混合A 0.5669 0.5669 0.5633 0.5633 0.0036 0.64%
2025-09-29 010751 宝盈优质成长混合A 0.5633 0.5633 0.5552 0.5552 0.0081 1.46%
2025-09-26 010751 宝盈优质成长混合A 0.5552 0.5552 0.5617 0.5617 -0.0065 -1.16%
2025-09-25 010751 宝盈优质成长混合A 0.5617 0.5617 0.5607 0.5607 0.0010 0.18%
2025-09-24 010751 宝盈优质成长混合A 0.5607 0.5607 0.5510 0.5510 0.0097 1.76%
2025-09-23 010751 宝盈优质成长混合A 0.5510 0.5510 0.5508 0.5508 0.0002 0.04%
2025-09-22 010751 宝盈优质成长混合A 0.5508 0.5508 0.5584 0.5584 -0.0076 -1.36%
2025-09-19 010751 宝盈优质成长混合A 0.5584 0.5584 0.5467 0.5467 0.0117 2.14%
2025-09-18 010751 宝盈优质成长混合A 0.5467 0.5467 0.5441 0.5441 0.0026 0.48%
2025-09-17 010751 宝盈优质成长混合A 0.5441 0.5441 0.5348 0.5348 0.0093 1.74%
2025-09-16 010751 宝盈优质成长混合A 0.5348 0.5348 0.5275 0.5275 0.0073 1.38%
2025-09-15 010751 宝盈优质成长混合A 0.5275 0.5275 0.5343 0.5343 -0.0068 -1.27%
2025-09-12 010751 宝盈优质成长混合A 0.5343 0.5343 0.5399 0.5399 -0.0056 -1.04%
2025-09-11 010751 宝盈优质成长混合A 0.5399 0.5399 0.5323 0.5323 0.0076 1.43%
2025-09-10 010751 宝盈优质成长混合A 0.5323 0.5323 0.5379 0.5379 -0.0056 -1.04%
2025-09-09 010751 宝盈优质成长混合A 0.5379 0.5379 0.5384 0.5384 -0.0005 -0.09%
2025-09-08 010751 宝盈优质成长混合A 0.5384 0.5384 0.5313 0.5313 0.0071 1.34%
2025-09-05 010751 宝盈优质成长混合A 0.5313 0.5313 0.5108 0.5108 0.0205 4.01%
2025-09-04 010751 宝盈优质成长混合A 0.5108 0.5108 0.5166 0.5166 -0.0058 -1.12%
2025-09-03 010751 宝盈优质成长混合A 0.5166 0.5166 0.5216 0.5216 -0.0050 -0.96%
2025-09-02 010751 宝盈优质成长混合A 0.5216 0.5216 0.5235 0.5235 -0.0019 -0.36%
2025-09-01 010751 宝盈优质成长混合A 0.5235 0.5235 0.5319 0.5319 -0.0084 -1.58%
2025-08-29 010751 宝盈优质成长混合A 0.5319 0.5319 0.5242 0.5242 0.0077 1.47%
2025-08-28 010751 宝盈优质成长混合A 0.5242 0.5242 0.5324 0.5324 -0.0082 -1.54%
2025-08-27 010751 宝盈优质成长混合A 0.5324 0.5324 0.5472 0.5472 -0.0148 -2.70%
2025-08-26 010751 宝盈优质成长混合A 0.5472 0.5472 0.5385 0.5385 0.0087 1.62%
2025-08-25 010751 宝盈优质成长混合A 0.5385 0.5385 0.5389 0.5389 -0.0004 -0.07%
2025-08-22 010751 宝盈优质成长混合A 0.5389 0.5389 0.5365 0.5365 0.0024 0.45%
2025-08-21 010751 宝盈优质成长混合A 0.5365 0.5365 0.5393 0.5393 -0.0028 -0.52%
2025-08-20 010751 宝盈优质成长混合A 0.5393 0.5393 0.5351 0.5351 0.0042 0.78%
2025-08-19 010751 宝盈优质成长混合A 0.5351 0.5351 0.5345 0.5345 0.0006 0.11%
2025-08-18 010751 宝盈优质成长混合A 0.5345 0.5345 0.5292 0.5292 0.0053 1.00%
2025-08-15 010751 宝盈优质成长混合A 0.5292 0.5292 0.5162 0.5162 0.0130 2.52%
2025-08-14 010751 宝盈优质成长混合A 0.5162 0.5162 0.5230 0.5230 -0.0068 -1.30%
2025-08-13 010751 宝盈优质成长混合A 0.5230 0.5230 0.5176 0.5176 0.0054 1.04%
2025-08-12 010751 宝盈优质成长混合A 0.5176 0.5176 0.5179 0.5179 -0.0003 -0.06%
2025-08-11 010751 宝盈优质成长混合A 0.5179 0.5179 0.5152 0.5152 0.0027 0.52%
2025-08-08 010751 宝盈优质成长混合A 0.5152 0.5152 0.5158 0.5158 -0.0006 -0.12%
2025-08-07 010751 宝盈优质成长混合A 0.5158 0.5158 0.5148 0.5148 0.0010 0.19%
2025-08-06 010751 宝盈优质成长混合A 0.5148 0.5148 0.5090 0.5090 0.0058 1.14%
2025-08-05 010751 宝盈优质成长混合A 0.5090 0.5090 0.4992 0.4992 0.0098 1.96%
2025-08-04 010751 宝盈优质成长混合A 0.4992 0.4992 0.4910 0.4910 0.0082 1.67%
2025-08-01 010751 宝盈优质成长混合A 0.4910 0.4910 0.4892 0.4892 0.0018 0.37%
2025-07-31 010751 宝盈优质成长混合A 0.4892 0.4892 0.4928 0.4928 -0.0036 -0.73%
2025-07-30 010751 宝盈优质成长混合A 0.4928 0.4928 0.4932 0.4932 -0.0004 -0.08%
2025-07-29 010751 宝盈优质成长混合A 0.4932 0.4932 0.4934 0.4934 -0.0002 -0.04%
2025-07-28 010751 宝盈优质成长混合A 0.4934 0.4934 0.4973 0.4973 -0.0039 -0.78%
2025-07-25 010751 宝盈优质成长混合A 0.4973 0.4973 0.4955 0.4955 0.0018 0.36%
2025-07-24 010751 宝盈优质成长混合A 0.4955 0.4955 0.4977 0.4977 -0.0022 -0.44%
2025-07-23 010751 宝盈优质成长混合A 0.4977 0.4977 0.4986 0.4986 -0.0009 -0.18%
2025-07-22 010751 宝盈优质成长混合A 0.4986 0.4986 0.4912 0.4912 0.0074 1.51%
2025-07-21 010751 宝盈优质成长混合A 0.4912 0.4912 0.4909 0.4909 0.0003 0.06%
2025-07-18 010751 宝盈优质成长混合A 0.4909 0.4909 0.4947 0.4947 -0.0038 -0.77%
2025-07-17 010751 宝盈优质成长混合A 0.4947 0.4947 0.4927 0.4927 0.0020 0.41%
2025-07-16 010751 宝盈优质成长混合A 0.4927 0.4927 0.4939 0.4939 -0.0012 -0.24%
2025-07-15 010751 宝盈优质成长混合A 0.4939 0.4939 0.4927 0.4927 0.0012 0.24%
2025-07-14 010751 宝盈优质成长混合A 0.4927 0.4927 0.4893 0.4893 0.0034 0.69%
2025-07-11 010751 宝盈优质成长混合A 0.4893 0.4893 0.4903 0.4903 -0.0010 -0.20%
2025-07-10 010751 宝盈优质成长混合A 0.4903 0.4903 0.4946 0.4946 -0.0043 -0.87%
2025-07-09 010751 宝盈优质成长混合A 0.4946 0.4946 0.4970 0.4970 -0.0024 -0.48%
2025-07-08 010751 宝盈优质成长混合A 0.4970 0.4970 0.4942 0.4942 0.0028 0.57%
2025-07-07 010751 宝盈优质成长混合A 0.4942 0.4942 0.4948 0.4948 -0.0006 -0.12%
2025-07-04 010751 宝盈优质成长混合A 0.4948 0.4948 0.4971 0.4971 -0.0023 -0.46%
2025-07-03 010751 宝盈优质成长混合A 0.4971 0.4971 0.4882 0.4882 0.0089 1.82%
2025-07-02 010751 宝盈优质成长混合A 0.4882 0.4882 0.4924 0.4924 -0.0042 -0.85%
2025-07-01 010751 宝盈优质成长混合A 0.4924 0.4924 0.4896 0.4896 0.0028 0.57%
2025-06-30 010751 宝盈优质成长混合A 0.4896 0.4896 0.4802 0.4802 0.0094 1.96%
2025-06-27 010751 宝盈优质成长混合A 0.4802 0.4802 0.4785 0.4785 0.0017 0.36%
2025-06-26 010751 宝盈优质成长混合A 0.4785 0.4785 0.4803 0.4803 -0.0018 -0.37%
2025-06-25 010751 宝盈优质成长混合A 0.4803 0.4803 0.4767 0.4767 0.0036 0.76%
2025-06-24 010751 宝盈优质成长混合A 0.4767 0.4767 0.4688 0.4688 0.0079 1.69%
2025-06-23 010751 宝盈优质成长混合A 0.4688 0.4688 0.4760 0.4760 -0.0072 -1.51%
2025-06-20 010751 宝盈优质成长混合A 0.4760 0.4760 0.4802 0.4802 -0.0042 -0.87%
2025-06-19 010751 宝盈优质成长混合A 0.4802 0.4802 0.4892 0.4892 -0.0090 -1.84%
宝盈基金旗下基金涨幅榜
基金名称 单位净值 日增长率
宝盈新锐混合A 3.0160 0.67%
宝盈核心C 0.7472 0.30%
宝盈核心A 0.8007 0.29%
宝盈品质甄选混合A 1.3459 0.21%
宝盈品质甄选混合C 1.3036 0.21%
宝盈祥明一年定开混合A 1.0634 0.08%
宝盈祥明一年定开混合C 1.0401 0.08%
宝盈祥和定开混合C 1.0806 0.06%
宝盈祥和定开混合A 1.0967 0.05%
宝盈盈泰纯债债券A 1.1668 0.03%
混合型-偏股基金涨幅榜
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%
长城消费增值混合C 1.1103 3.95%
长城消费增值混合A 1.1254 3.94%
永赢高端装备智选混合发起C 1.1707 3.44%
永赢高端装备智选混合发起A 1.1868 3.43%
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%
平安高端装备混合发起式A 1.1209 2.83%
平安高端装备混合发起式C 1.1201 2.82%
万家健康产业混合A 0.6942 2.66%