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

鹏华汇智优选混合A基金净值查询(010894)

今天最新净值 0.7338 -0.0066 -0.89% 2025-12-16
盘中实时估值(仅供参考) 0.7308 0.0100 1.3909%
  • 累计净值:0.7338
  • 成立日期:2021-01-08
  • 基金类型:
  • 成立份额:
  • 最近份额:58.7568亿
  • 最近资产:
  • 基金公司:鹏华基金
  • 基金经理:梁浩 聂毅翔 朱睿
近一季鹏华汇智优选混合A基金净值查询
基金历史净值按日期查询: -
近一季,鹏华汇智优选混合A(010894)基金累计收益率-0.80%
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 010894 鹏华汇智优选混合A 0.7208 0.7208 0.7338 0.7338 -0.0130 -1.77%
2025-12-15 010894 鹏华汇智优选混合A 0.7338 0.7338 0.7404 0.7404 -0.0066 -0.89%
2025-12-12 010894 鹏华汇智优选混合A 0.7404 0.7404 0.7315 0.7315 0.0089 1.22%
2025-12-11 010894 鹏华汇智优选混合A 0.7315 0.7315 0.7371 0.7371 -0.0056 -0.76%
2025-12-10 010894 鹏华汇智优选混合A 0.7371 0.7371 0.7354 0.7354 0.0017 0.23%
2025-12-09 010894 鹏华汇智优选混合A 0.7354 0.7354 0.7409 0.7409 -0.0055 -0.74%
2025-12-08 010894 鹏华汇智优选混合A 0.7409 0.7409 0.7399 0.7399 0.0010 0.14%
2025-12-05 010894 鹏华汇智优选混合A 0.7399 0.7399 0.7320 0.7320 0.0079 1.08%
2025-12-04 010894 鹏华汇智优选混合A 0.7320 0.7320 0.7289 0.7289 0.0031 0.43%
2025-12-03 010894 鹏华汇智优选混合A 0.7289 0.7289 0.7279 0.7279 0.0010 0.14%
2025-12-02 010894 鹏华汇智优选混合A 0.7279 0.7279 0.7321 0.7321 -0.0042 -0.57%
2025-12-01 010894 鹏华汇智优选混合A 0.7321 0.7321 0.7279 0.7279 0.0042 0.58%
2025-11-28 010894 鹏华汇智优选混合A 0.7279 0.7279 0.7223 0.7223 0.0056 0.78%
2025-11-27 010894 鹏华汇智优选混合A 0.7223 0.7223 0.7235 0.7235 -0.0012 -0.17%
2025-11-26 010894 鹏华汇智优选混合A 0.7235 0.7235 0.7212 0.7212 0.0023 0.32%
2025-11-25 010894 鹏华汇智优选混合A 0.7212 0.7212 0.7142 0.7142 0.0070 0.98%
2025-11-24 010894 鹏华汇智优选混合A 0.7142 0.7142 0.7075 0.7075 0.0067 0.95%
2025-11-21 010894 鹏华汇智优选混合A 0.7075 0.7075 0.7274 0.7274 -0.0199 -2.74%
2025-11-20 010894 鹏华汇智优选混合A 0.7274 0.7274 0.7318 0.7318 -0.0044 -0.60%
2025-11-19 010894 鹏华汇智优选混合A 0.7318 0.7318 0.7313 0.7313 0.0005 0.07%
2025-11-18 010894 鹏华汇智优选混合A 0.7313 0.7313 0.7392 0.7392 -0.0079 -1.07%
2025-11-17 010894 鹏华汇智优选混合A 0.7392 0.7392 0.7452 0.7452 -0.0060 -0.81%
2025-11-14 010894 鹏华汇智优选混合A 0.7452 0.7452 0.7546 0.7546 -0.0094 -1.25%
2025-11-13 010894 鹏华汇智优选混合A 0.7546 0.7546 0.7421 0.7421 0.0125 1.68%
2025-11-12 010894 鹏华汇智优选混合A 0.7421 0.7421 0.7445 0.7445 -0.0024 -0.32%
2025-11-11 010894 鹏华汇智优选混合A 0.7445 0.7445 0.7475 0.7475 -0.0030 -0.40%
2025-11-10 010894 鹏华汇智优选混合A 0.7475 0.7475 0.7490 0.7490 -0.0015 -0.20%
2025-11-07 010894 鹏华汇智优选混合A 0.7490 0.7490 0.7545 0.7545 -0.0055 -0.73%
2025-11-06 010894 鹏华汇智优选混合A 0.7545 0.7545 0.7413 0.7413 0.0132 1.78%
2025-11-05 010894 鹏华汇智优选混合A 0.7413 0.7413 0.7382 0.7382 0.0031 0.42%
2025-11-04 010894 鹏华汇智优选混合A 0.7382 0.7382 0.7479 0.7479 -0.0097 -1.30%
2025-11-03 010894 鹏华汇智优选混合A 0.7479 0.7479 0.7482 0.7482 -0.0003 -0.04%
2025-10-31 010894 鹏华汇智优选混合A 0.7482 0.7482 0.7545 0.7545 -0.0063 -0.83%
2025-10-30 010894 鹏华汇智优选混合A 0.7545 0.7545 0.7645 0.7645 -0.0100 -1.31%
2025-10-29 010894 鹏华汇智优选混合A 0.7645 0.7645 0.7529 0.7529 0.0116 1.54%
2025-10-28 010894 鹏华汇智优选混合A 0.7529 0.7529 0.7586 0.7586 -0.0057 -0.75%
2025-10-27 010894 鹏华汇智优选混合A 0.7586 0.7586 0.7539 0.7539 0.0047 0.62%
2025-10-24 010894 鹏华汇智优选混合A 0.7539 0.7539 0.7415 0.7415 0.0124 1.67%
2025-10-23 010894 鹏华汇智优选混合A 0.7415 0.7415 0.7442 0.7442 -0.0027 -0.36%
2025-10-22 010894 鹏华汇智优选混合A 0.7442 0.7442 0.7521 0.7521 -0.0079 -1.05%
2025-10-21 010894 鹏华汇智优选混合A 0.7521 0.7521 0.7395 0.7395 0.0126 1.70%
2025-10-20 010894 鹏华汇智优选混合A 0.7395 0.7395 0.7319 0.7319 0.0076 1.04%
2025-10-17 010894 鹏华汇智优选混合A 0.7319 0.7319 0.7538 0.7538 -0.0219 -2.91%
2025-10-16 010894 鹏华汇智优选混合A 0.7538 0.7538 0.7550 0.7550 -0.0012 -0.16%
2025-10-15 010894 鹏华汇智优选混合A 0.7550 0.7550 0.7397 0.7397 0.0153 2.07%
2025-10-14 010894 鹏华汇智优选混合A 0.7397 0.7397 0.7592 0.7592 -0.0195 -2.57%
2025-10-13 010894 鹏华汇智优选混合A 0.7592 0.7592 0.7653 0.7653 -0.0061 -0.80%
2025-10-10 010894 鹏华汇智优选混合A 0.7653 0.7653 0.7842 0.7842 -0.0189 -2.41%
2025-10-09 010894 鹏华汇智优选混合A 0.7842 0.7842 0.7777 0.7777 0.0065 0.84%
2025-09-30 010894 鹏华汇智优选混合A 0.7777 0.7777 0.7687 0.7687 0.0090 1.17%
2025-09-29 010894 鹏华汇智优选混合A 0.7687 0.7687 0.7549 0.7549 0.0138 1.83%
2025-09-26 010894 鹏华汇智优选混合A 0.7549 0.7549 0.7660 0.7660 -0.0111 -1.45%
2025-09-25 010894 鹏华汇智优选混合A 0.7660 0.7660 0.7642 0.7642 0.0018 0.24%
2025-09-24 010894 鹏华汇智优选混合A 0.7642 0.7642 0.7505 0.7505 0.0137 1.83%
2025-09-23 010894 鹏华汇智优选混合A 0.7505 0.7505 0.7506 0.7506 -0.0001 -0.01%
2025-09-22 010894 鹏华汇智优选混合A 0.7506 0.7506 0.7418 0.7418 0.0088 1.19%
2025-09-19 010894 鹏华汇智优选混合A 0.7418 0.7418 0.7408 0.7408 0.0010 0.13%
2025-09-18 010894 鹏华汇智优选混合A 0.7408 0.7408 0.7483 0.7483 -0.0075 -1.00%
2025-09-17 010894 鹏华汇智优选混合A 0.7483 0.7483 0.7396 0.7396 0.0087 1.18%
基金涨幅榜
基金名称 单位净值 日增长率
宏利成长混合 4.1044 6.80%
信澳业绩驱动混合C 1.7424 6.54%
浦银安盛数字经济混合C 1.2155 6.53%
易方达先锋成长混合C 2.2804 6.17%
易方达瑞享E 5.5825 6.14%
泰信现代 2.1670 5.97%
国联研发创新混合C 1.5372 5.79%
华商优势行业混合A 1.8710 5.71%
汇安量化先锋混合A 1.4016 5.62%
汇安量化先锋混合C 1.3591 5.62%