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国投瑞银瑞祥C(国投瑞银瑞祥混合C)基金净值查询(011616)

今天最新净值 2.0222 -0.0134 -0.66% 2026-09-16
盘中实时估值(仅供参考) 2.0368 0.0027 0.1351% 2026-03-24 15:39:58
  • 累计净值:2.0222
  • 成立日期:
  • 基金类型:混合型-灵活
  • 成立份额:
  • 最近份额:0.3742亿
  • 最近资产:0.90亿元
  • 基金公司:
  • 基金经理:钱瀚
近一年国投瑞银瑞祥C|国投瑞银瑞祥混合C基金净值查询
基金历史净值按日期查询: -
近一年,国投瑞银瑞祥C(011616)基金累计收益率4.02%
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
2026-09-16 011616 国投瑞银瑞祥C 2.0350 2.0350 2.0222 2.0222 0.0128 0.63%
2026-09-15 011616 国投瑞银瑞祥C 2.0222 2.0222 2.0356 2.0356 -0.0134 -0.66%
2026-09-14 011616 国投瑞银瑞祥C 2.0356 2.0356 2.0485 2.0485 -0.0129 -0.63%
2026-09-11 011616 国投瑞银瑞祥C 2.0485 2.0485 2.0639 2.0639 -0.0154 -0.75%
2026-09-10 011616 国投瑞银瑞祥C 2.0639 2.0639 2.0727 2.0727 -0.0088 -0.42%
2026-09-09 011616 国投瑞银瑞祥C 2.0727 2.0727 2.0671 2.0671 0.0056 0.27%
2026-09-08 011616 国投瑞银瑞祥C 2.0671 2.0671 2.0736 2.0736 -0.0065 -0.31%
2026-09-07 011616 国投瑞银瑞祥C 2.0736 2.0736 2.0623 2.0623 0.0113 0.55%
2026-09-04 011616 国投瑞银瑞祥C 2.0623 2.0623 2.0638 2.0638 -0.0015 -0.07%
2026-09-03 011616 国投瑞银瑞祥C 2.0638 2.0638 2.0611 2.0611 0.0027 0.13%
2026-09-02 011616 国投瑞银瑞祥C 2.0611 2.0611 2.0883 2.0883 -0.0272 -1.30%
2026-09-01 011616 国投瑞银瑞祥C 2.0883 2.0883 2.0935 2.0935 -0.0052 -0.25%
2026-08-31 011616 国投瑞银瑞祥C 2.0935 2.0935 2.0878 2.0878 0.0057 0.27%
2026-08-28 011616 国投瑞银瑞祥C 2.0878 2.0878 2.0963 2.0963 -0.0085 -0.41%
2026-08-27 011616 国投瑞银瑞祥C 2.0963 2.0963 2.0786 2.0786 0.0177 0.85%
2026-08-26 011616 国投瑞银瑞祥C 2.0786 2.0786 2.0624 2.0624 0.0162 0.79%
2026-08-25 011616 国投瑞银瑞祥C 2.0624 2.0624 2.0659 2.0659 -0.0035 -0.17%
2026-08-24 011616 国投瑞银瑞祥C 2.0659 2.0659 2.0898 2.0898 -0.0239 -1.14%
2026-08-21 011616 国投瑞银瑞祥C 2.0898 2.0898 2.0778 2.0778 0.0120 0.58%
2026-08-20 011616 国投瑞银瑞祥C 2.0778 2.0778 2.0749 2.0749 0.0029 0.14%
2026-08-19 011616 国投瑞银瑞祥C 2.0749 2.0749 2.1317 2.1317 -0.0568 -2.66%
2026-08-18 011616 国投瑞银瑞祥C 2.1317 2.1317 2.1394 2.1394 -0.0077 -0.36%
2026-08-17 011616 国投瑞银瑞祥C 2.1394 2.1394 2.1073 2.1073 0.0321 1.52%
2026-08-14 011616 国投瑞银瑞祥C 2.1073 2.1073 2.1060 2.1060 0.0013 0.06%
2026-08-13 011616 国投瑞银瑞祥C 2.1060 2.1060 2.1172 2.1172 -0.0112 -0.53%
2026-08-12 011616 国投瑞银瑞祥C 2.1172 2.1172 2.1052 2.1052 0.0120 0.57%
2026-08-11 011616 国投瑞银瑞祥C 2.1052 2.1052 2.1205 2.1205 -0.0153 -0.72%
2026-08-10 011616 国投瑞银瑞祥C 2.1205 2.1205 2.1175 2.1175 0.0030 0.14%
2026-08-07 011616 国投瑞银瑞祥C 2.1175 2.1175 2.0977 2.0977 0.0198 0.94%
2026-08-06 011616 国投瑞银瑞祥C 2.0977 2.0977 2.1010 2.1010 -0.0033 -0.16%
2026-08-05 011616 国投瑞银瑞祥C 2.1010 2.1010 2.0778 2.0778 0.0232 1.12%
2026-08-04 011616 国投瑞银瑞祥C 2.0778 2.0778 2.0531 2.0531 0.0247 1.20%
2026-08-03 011616 国投瑞银瑞祥C 2.0531 2.0531 2.0703 2.0703 -0.0172 -0.83%
2026-07-31 011616 国投瑞银瑞祥C 2.0703 2.0703 2.0537 2.0537 0.0166 0.81%
2026-07-30 011616 国投瑞银瑞祥C 2.0537 2.0537 2.0734 2.0734 -0.0197 -0.95%
2026-07-29 011616 国投瑞银瑞祥C 2.0734 2.0734 2.0586 2.0586 0.0148 0.72%
2026-07-28 011616 国投瑞银瑞祥C 2.0586 2.0586 2.1142 2.1142 -0.0556 -2.63%
2026-07-27 011616 国投瑞银瑞祥C 2.1142 2.1142 2.0802 2.0802 0.0340 1.63%
2026-07-24 011616 国投瑞银瑞祥C 2.0802 2.0802 2.1141 2.1141 -0.0339 -1.60%
2026-07-23 011616 国投瑞银瑞祥C 2.1141 2.1141 2.1087 2.1087 0.0054 0.26%
2026-07-22 011616 国投瑞银瑞祥C 2.1087 2.1087 2.1181 2.1181 -0.0094 -0.44%
2026-07-21 011616 国投瑞银瑞祥C 2.1181 2.1181 2.0602 2.0602 0.0579 2.81%
2026-07-20 011616 国投瑞银瑞祥C 2.0602 2.0602 2.0307 2.0307 0.0295 1.45%
2026-07-17 011616 国投瑞银瑞祥C 2.0307 2.0307 2.1004 2.1004 -0.0697 -3.32%
2026-07-16 011616 国投瑞银瑞祥C 2.1004 2.1004 2.1345 2.1345 -0.0341 -1.60%
2026-07-15 011616 国投瑞银瑞祥C 2.1345 2.1345 2.1374 2.1374 -0.0029 -0.14%
2026-07-14 011616 国投瑞银瑞祥C 2.1374 2.1374 2.0952 2.0952 0.0422 2.01%
2026-07-13 011616 国投瑞银瑞祥C 2.0952 2.0952 2.1312 2.1312 -0.0360 -1.69%
2026-07-10 011616 国投瑞银瑞祥C 2.1312 2.1312 2.1647 2.1647 -0.0335 -1.55%
2026-07-09 011616 国投瑞银瑞祥C 2.1647 2.1647 2.1134 2.1134 0.0513 2.43%
2026-07-08 011616 国投瑞银瑞祥C 2.1134 2.1134 2.1296 2.1296 -0.0162 -0.76%
2026-07-07 011616 国投瑞银瑞祥C 2.1296 2.1296 2.1508 2.1508 -0.0212 -0.99%
2026-07-06 011616 国投瑞银瑞祥C 2.1508 2.1508 2.1522 2.1522 -0.0014 -0.07%
2026-07-03 011616 国投瑞银瑞祥C 2.1522 2.1522 2.1408 2.1408 0.0114 0.53%
2026-07-02 011616 国投瑞银瑞祥C 2.1408 2.1408 2.2018 2.2018 -0.0610 -2.77%
2026-07-01 011616 国投瑞银瑞祥C 2.2018 2.2018 2.2103 2.2103 -0.0085 -0.38%
2026-06-30 011616 国投瑞银瑞祥C 2.2103 2.2103 2.1872 2.1872 0.0231 1.06%
2026-06-29 011616 国投瑞银瑞祥C 2.1872 2.1872 2.1606 2.1606 0.0266 1.23%
2026-06-26 011616 国投瑞银瑞祥C 2.1606 2.1606 2.2206 2.2206 -0.0600 -2.70%
2026-06-25 011616 国投瑞银瑞祥C 2.2206 2.2206 2.1880 2.1880 0.0326 1.49%
2026-06-24 011616 国投瑞银瑞祥C 2.1880 2.1880 2.1743 2.1743 0.0137 0.63%
2026-06-23 011616 国投瑞银瑞祥C 2.1743 2.1743 2.2340 2.2340 -0.0597 -2.67%
2026-06-22 011616 国投瑞银瑞祥C 2.2340 2.2340 2.1850 2.1850 0.0490 2.24%
2026-06-18 011616 国投瑞银瑞祥C 2.1850 2.1850 2.1798 2.1798 0.0052 0.24%
2026-06-17 011616 国投瑞银瑞祥C 2.1798 2.1798 2.1601 2.1601 0.0197 0.91%
2026-06-16 011616 国投瑞银瑞祥C 2.1601 2.1601 2.1627 2.1627 -0.0026 -0.12%
2026-06-15 011616 国投瑞银瑞祥C 2.1627 2.1627 2.1151 2.1151 0.0476 2.25%
2026-06-12 011616 国投瑞银瑞祥C 2.1151 2.1151 2.0916 2.0916 0.0235 1.12%
2026-06-11 011616 国投瑞银瑞祥C 2.0916 2.0916 2.1020 2.1020 -0.0104 -0.49%
2026-06-10 011616 国投瑞银瑞祥C 2.1020 2.1020 2.1228 2.1228 -0.0208 -0.98%
2026-06-09 011616 国投瑞银瑞祥C 2.1228 2.1228 2.0830 2.0830 0.0398 1.91%
2026-06-08 011616 国投瑞银瑞祥C 2.0830 2.0830 2.1270 2.1270 -0.0440 -2.07%
2026-06-05 011616 国投瑞银瑞祥C 2.1270 2.1270 2.1632 2.1632 -0.0362 -1.67%
2026-06-04 011616 国投瑞银瑞祥C 2.1632 2.1632 2.1770 2.1770 -0.0138 -0.63%
2026-06-03 011616 国投瑞银瑞祥C 2.1770 2.1770 2.1664 2.1664 0.0106 0.49%
2026-06-02 011616 国投瑞银瑞祥C 2.1664 2.1664 2.1372 2.1372 0.0292 1.37%
2026-06-01 011616 国投瑞银瑞祥C 2.1372 2.1372 2.1581 2.1581 -0.0209 -0.97%
2026-05-29 011616 国投瑞银瑞祥C 2.1581 2.1581 2.1679 2.1679 -0.0098 -0.45%
2026-05-28 011616 国投瑞银瑞祥C 2.1679 2.1679 2.1645 2.1645 0.0034 0.16%
2026-05-27 011616 国投瑞银瑞祥C 2.1645 2.1645 2.1756 2.1756 -0.0111 -0.51%
2026-05-26 011616 国投瑞银瑞祥C 2.1756 2.1756 2.1649 2.1649 0.0107 0.49%
2026-05-25 011616 国投瑞银瑞祥C 2.1649 2.1649 2.1332 2.1332 0.0317 1.49%
2026-05-22 011616 国投瑞银瑞祥C 2.1332 2.1332 2.1060 2.1060 0.0272 1.29%
2026-05-21 011616 国投瑞银瑞祥C 2.1060 2.1060 2.1349 2.1349 -0.0289 -1.35%
2026-05-20 011616 国投瑞银瑞祥C 2.1349 2.1349 2.1351 2.1351 -0.0002 -0.01%
2026-05-19 011616 国投瑞银瑞祥C 2.1351 2.1351 2.1268 2.1268 0.0083 0.39%
2026-05-18 011616 国投瑞银瑞祥C 2.1268 2.1268 2.1371 2.1371 -0.0103 -0.48%
2026-05-15 011616 国投瑞银瑞祥C 2.1371 2.1371 2.1595 2.1595 -0.0224 -1.04%
2026-05-14 011616 国投瑞银瑞祥C 2.1595 2.1595 2.1952 2.1952 -0.0357 -1.63%
2026-05-13 011616 国投瑞银瑞祥C 2.1952 2.1952 2.1730 2.1730 0.0222 1.02%
2026-05-12 011616 国投瑞银瑞祥C 2.1730 2.1730 2.1744 2.1744 -0.0014 -0.06%
2026-05-11 011616 国投瑞银瑞祥C 2.1744 2.1744 2.1387 2.1387 0.0357 1.67%
2026-05-08 011616 国投瑞银瑞祥C 2.1387 2.1387 2.1506 2.1506 -0.0119 -0.55%
2026-04-30 011616 国投瑞银瑞祥C 2.1109 2.1109 2.1103 2.1103 0.0006 0.03%
2026-04-29 011616 国投瑞银瑞祥C 2.1103 2.1103 2.0882 2.0882 0.0221 1.06%
2026-04-28 011616 国投瑞银瑞祥C 2.0882 2.0882 2.0938 2.0938 -0.0056 -0.27%
2026-04-27 011616 国投瑞银瑞祥C 2.0938 2.0938 2.0930 2.0930 0.0008 0.04%
2026-04-24 011616 国投瑞银瑞祥C 2.0930 2.0930 2.0998 2.0998 -0.0068 -0.32%
2026-04-23 011616 国投瑞银瑞祥C 2.0998 2.0998 2.1059 2.1059 -0.0061 -0.29%
2026-04-22 011616 国投瑞银瑞祥C 2.1059 2.1059 2.0911 2.0911 0.0148 0.71%
2026-04-21 011616 国投瑞银瑞祥C 2.0911 2.0911 2.0867 2.0867 0.0044 0.21%
2026-04-20 011616 国投瑞银瑞祥C 2.0867 2.0867 2.0752 2.0752 0.0115 0.55%
2026-04-17 011616 国投瑞银瑞祥C 2.0752 2.0752 2.0776 2.0776 -0.0024 -0.12%
2026-04-16 011616 国投瑞银瑞祥C 2.0776 2.0776 2.0560 2.0560 0.0216 1.05%
2026-04-15 011616 国投瑞银瑞祥C 2.0560 2.0560 2.0625 2.0625 -0.0065 -0.32%
2026-04-14 011616 国投瑞银瑞祥C 2.0625 2.0625 2.0397 2.0397 0.0228 1.12%
2026-04-13 011616 国投瑞银瑞祥C 2.0397 2.0397 2.0358 2.0358 0.0039 0.19%
2026-04-10 011616 国投瑞银瑞祥C 2.0358 2.0358 2.0048 2.0048 0.0310 1.55%
2026-04-09 011616 国投瑞银瑞祥C 2.0048 2.0048 2.0174 2.0174 -0.0126 -0.62%
2026-04-08 011616 国投瑞银瑞祥C 2.0174 2.0174 1.9521 1.9521 0.0653 3.35%
2026-04-07 011616 国投瑞银瑞祥C 1.9521 1.9521 1.9522 1.9522 -0.0001 -0.01%
2026-04-03 011616 国投瑞银瑞祥C 1.9522 1.9522 1.9680 1.9680 -0.0158 -0.80%
2026-04-02 011616 国投瑞银瑞祥C 1.9680 1.9680 1.9878 1.9878 -0.0198 -1.00%
2026-04-01 011616 国投瑞银瑞祥C 1.9878 1.9878 1.9561 1.9561 0.0317 1.62%
2026-03-31 011616 国投瑞银瑞祥C 1.9561 1.9561 1.9732 1.9732 -0.0171 -0.87%
2026-03-30 011616 国投瑞银瑞祥C 1.9732 1.9732 1.9782 1.9782 -0.0050 -0.25%
2026-03-27 011616 国投瑞银瑞祥C 1.9782 1.9782 1.9676 1.9676 0.0106 0.54%
2026-03-26 011616 国投瑞银瑞祥C 1.9676 1.9676 1.9930 1.9930 -0.0254 -1.27%
2026-03-25 011616 国投瑞银瑞祥C 1.9930 1.9930 1.9660 1.9660 0.0270 1.37%
2026-03-24 011616 国投瑞银瑞祥C 1.9660 1.9660 1.9425 1.9425 0.0235 1.21%
2026-03-23 011616 国投瑞银瑞祥C 1.9425 1.9425 2.0041 2.0041 -0.0616 -3.07%
2026-03-20 011616 国投瑞银瑞祥C 2.0041 2.0041 2.0110 2.0110 -0.0069 -0.34%
2026-03-19 011616 国投瑞银瑞祥C 2.0110 2.0110 2.0429 2.0429 -0.0319 -1.56%
2026-03-18 011616 国投瑞银瑞祥C 2.0429 2.0429 2.0341 2.0341 0.0088 0.43%
2026-03-17 011616 国投瑞银瑞祥C 2.0341 2.0341 2.0484 2.0484 -0.0143 -0.70%
2026-03-16 011616 国投瑞银瑞祥C 2.0484 2.0484 2.0472 2.0472 0.0012 0.06%
2026-03-13 011616 国投瑞银瑞祥C 2.0472 2.0472 2.0550 2.0550 -0.0078 -0.38%
2026-03-12 011616 国投瑞银瑞祥C 2.0550 2.0550 2.0623 2.0623 -0.0073 -0.35%
2026-03-11 011616 国投瑞银瑞祥C 2.0623 2.0623 2.0499 2.0499 0.0124 0.60%
2026-03-10 011616 国投瑞银瑞祥C 2.0499 2.0499 2.0252 2.0252 0.0247 1.22%
2026-03-09 011616 国投瑞银瑞祥C 2.0252 2.0252 2.0439 2.0439 -0.0187 -0.91%
2026-03-06 011616 国投瑞银瑞祥C 2.0439 2.0439 2.0378 2.0378 0.0061 0.30%
2026-03-05 011616 国投瑞银瑞祥C 2.0378 2.0378 2.0193 2.0193 0.0185 0.92%
2026-03-04 011616 国投瑞银瑞祥C 2.0193 2.0193 2.0412 2.0412 -0.0219 -1.07%
2026-03-03 011616 国投瑞银瑞祥C 2.0412 2.0412 2.0718 2.0718 -0.0306 -1.48%
2026-03-02 011616 国投瑞银瑞祥C 2.0718 2.0718 2.0646 2.0646 0.0072 0.35%
2026-02-27 011616 国投瑞银瑞祥C 2.0646 2.0646 2.0711 2.0711 -0.0065 -0.31%
2026-02-26 011616 国投瑞银瑞祥C 2.0711 2.0711 2.0750 2.0750 -0.0039 -0.19%
2026-02-25 011616 国投瑞银瑞祥C 2.0750 2.0750 2.0631 2.0631 0.0119 0.58%
2026-02-24 011616 国投瑞银瑞祥C 2.0631 2.0631 2.0437 2.0437 0.0194 0.95%
2026-02-13 011616 国投瑞银瑞祥C 2.0437 2.0437 2.0684 2.0684 -0.0247 -1.19%
2026-02-12 011616 国投瑞银瑞祥C 2.0684 2.0684 2.0657 2.0657 0.0027 0.13%
2026-02-11 011616 国投瑞银瑞祥C 2.0657 2.0657 2.0700 2.0700 -0.0043 -0.21%
2026-02-10 011616 国投瑞银瑞祥C 2.0700 2.0700 2.0647 2.0647 0.0053 0.26%
2026-02-09 011616 国投瑞银瑞祥C 2.0647 2.0647 2.0337 2.0337 0.0310 1.52%
2026-02-06 011616 国投瑞银瑞祥C 2.0337 2.0337 2.0438 2.0438 -0.0101 -0.49%
2026-02-05 011616 国投瑞银瑞祥C 2.0438 2.0438 2.0549 2.0549 -0.0111 -0.54%
2026-02-04 011616 国投瑞银瑞祥C 2.0549 2.0549 2.0384 2.0384 0.0165 0.81%
2026-02-03 011616 国投瑞银瑞祥C 2.0384 2.0384 2.0153 2.0153 0.0231 1.15%
2026-02-02 011616 国投瑞银瑞祥C 2.0153 2.0153 2.0574 2.0574 -0.0421 -2.05%
2026-01-30 011616 国投瑞银瑞祥C 2.0574 2.0574 2.0774 2.0774 -0.0200 -0.96%
2026-01-29 011616 国投瑞银瑞祥C 2.0774 2.0774 2.0623 2.0623 0.0151 0.73%
2026-01-28 011616 国投瑞银瑞祥C 2.0623 2.0623 2.0557 2.0557 0.0066 0.32%
2026-01-27 011616 国投瑞银瑞祥C 2.0557 2.0557 2.0564 2.0564 -0.0007 -0.03%
2026-01-26 011616 国投瑞银瑞祥C 2.0564 2.0564 2.0542 2.0542 0.0022 0.11%
2026-01-23 011616 国投瑞银瑞祥C 2.0542 2.0542 2.0622 2.0622 -0.0080 -0.39%
2026-01-22 011616 国投瑞银瑞祥C 2.0622 2.0622 2.0622 2.0622 0.0000 0.00%
2026-01-21 011616 国投瑞银瑞祥C 2.0622 2.0622 2.0608 2.0608 0.0014 0.07%
2026-01-20 011616 国投瑞银瑞祥C 2.0608 2.0608 2.0664 2.0664 -0.0056 -0.27%
2026-01-19 011616 国投瑞银瑞祥C 2.0664 2.0664 2.0653 2.0653 0.0011 0.05%
2026-01-16 011616 国投瑞银瑞祥C 2.0653 2.0653 2.0723 2.0723 -0.0070 -0.34%
2026-01-15 011616 国投瑞银瑞祥C 2.0723 2.0723 2.0681 2.0681 0.0042 0.20%
2026-01-14 011616 国投瑞银瑞祥C 2.0681 2.0681 2.0755 2.0755 -0.0074 -0.36%
2026-01-13 011616 国投瑞银瑞祥C 2.0755 2.0755 2.0872 2.0872 -0.0117 -0.56%
2026-01-12 011616 国投瑞银瑞祥C 2.0872 2.0872 2.0748 2.0748 0.0124 0.60%
2026-01-09 011616 国投瑞银瑞祥C 2.0748 2.0748 2.0662 2.0662 0.0086 0.42%
2026-01-08 011616 国投瑞银瑞祥C 2.0662 2.0662 2.0822 2.0822 -0.0160 -0.77%
2026-01-07 011616 国投瑞银瑞祥C 2.0822 2.0822 2.0878 2.0878 -0.0056 -0.27%
2026-01-06 011616 国投瑞银瑞祥C 2.0878 2.0878 2.0575 2.0575 0.0303 1.47%
2026-01-05 011616 国投瑞银瑞祥C 2.0575 2.0575 2.0211 2.0211 0.0364 1.80%
2025-12-31 011616 国投瑞银瑞祥C 2.0211 2.0211 2.0293 2.0293 -0.0082 -0.40%
2025-12-30 011616 国投瑞银瑞祥C 2.0293 2.0293 2.0233 2.0233 0.0060 0.30%
2025-12-29 011616 国投瑞银瑞祥C 2.0233 2.0233 2.0310 2.0310 -0.0077 -0.38%
2025-12-26 011616 国投瑞银瑞祥C 2.0310 2.0310 2.0247 2.0247 0.0063 0.31%
2025-12-25 011616 国投瑞银瑞祥C 2.0247 2.0247 2.0205 2.0205 0.0042 0.21%
2025-12-24 011616 国投瑞银瑞祥C 2.0205 2.0205 2.0153 2.0153 0.0052 0.26%
2025-12-23 011616 国投瑞银瑞祥C 2.0153 2.0153 2.0103 2.0103 0.0050 0.25%
2025-12-22 011616 国投瑞银瑞祥C 2.0103 2.0103 1.9929 1.9929 0.0174 0.87%
2025-12-19 011616 国投瑞银瑞祥C 1.9929 1.9929 1.9837 1.9837 0.0092 0.46%
2025-12-18 011616 国投瑞银瑞祥C 1.9837 1.9837 1.9947 1.9947 -0.0110 -0.55%
2025-12-17 011616 国投瑞银瑞祥C 1.9947 1.9947 1.9593 1.9593 0.0354 1.81%
2025-12-16 011616 国投瑞银瑞祥C 1.9593 1.9593 1.9817 1.9817 -0.0224 -1.13%
2025-12-15 011616 国投瑞银瑞祥C 1.9817 1.9817 1.9922 1.9922 -0.0105 -0.53%
2025-12-12 011616 国投瑞银瑞祥C 1.9922 1.9922 1.9803 1.9803 0.0119 0.60%
2025-12-11 011616 国投瑞银瑞祥C 1.9803 1.9803 1.9964 1.9964 -0.0161 -0.81%
2025-12-10 011616 国投瑞银瑞祥C 1.9964 1.9964 1.9985 1.9985 -0.0021 -0.11%
2025-12-09 011616 国投瑞银瑞祥C 1.9985 1.9985 2.0084 2.0084 -0.0099 -0.49%
2025-12-08 011616 国投瑞银瑞祥C 2.0084 2.0084 1.9930 1.9930 0.0154 0.77%
2025-12-05 011616 国投瑞银瑞祥C 1.9930 1.9930 1.9758 1.9758 0.0172 0.87%
2025-12-04 011616 国投瑞银瑞祥C 1.9758 1.9758 1.9694 1.9694 0.0064 0.32%
2025-12-03 011616 国投瑞银瑞祥C 1.9694 1.9694 1.9778 1.9778 -0.0084 -0.42%
2025-12-02 011616 国投瑞银瑞祥C 1.9778 1.9778 1.9871 1.9871 -0.0093 -0.47%
2025-12-01 011616 国投瑞银瑞祥C 1.9871 1.9871 1.9666 1.9666 0.0205 1.04%
2025-11-28 011616 国投瑞银瑞祥C 1.9666 1.9666 1.9618 1.9618 0.0048 0.24%
2025-11-27 011616 国投瑞银瑞祥C 1.9618 1.9618 1.9627 1.9627 -0.0009 -0.05%
2025-11-26 011616 国投瑞银瑞祥C 1.9627 1.9627 1.9510 1.9510 0.0117 0.60%
2025-11-25 011616 国投瑞银瑞祥C 1.9510 1.9510 1.9337 1.9337 0.0173 0.89%
2025-11-24 011616 国投瑞银瑞祥C 1.9337 1.9337 1.9359 1.9359 -0.0022 -0.11%
2025-11-21 011616 国投瑞银瑞祥C 1.9359 1.9359 1.9817 1.9817 -0.0458 -2.31%
2025-11-20 011616 国投瑞银瑞祥C 1.9817 1.9817 1.9913 1.9913 -0.0096 -0.48%
2025-11-19 011616 国投瑞银瑞祥C 1.9913 1.9913 1.9832 1.9832 0.0081 0.41%
2025-11-18 011616 国投瑞银瑞祥C 1.9832 1.9832 1.9928 1.9928 -0.0096 -0.48%
2025-11-17 011616 国投瑞银瑞祥C 1.9928 1.9928 2.0052 2.0052 -0.0124 -0.62%
2025-11-14 011616 国投瑞银瑞祥C 2.0052 2.0052 2.0358 2.0358 -0.0306 -1.50%
2025-11-13 011616 国投瑞银瑞祥C 2.0358 2.0358 2.0128 2.0128 0.0230 1.14%
2025-11-12 011616 国投瑞银瑞祥C 2.0128 2.0128 2.0152 2.0152 -0.0024 -0.12%
2025-11-11 011616 国投瑞银瑞祥C 2.0152 2.0152 2.0333 2.0333 -0.0181 -0.89%
2025-11-10 011616 国投瑞银瑞祥C 2.0333 2.0333 2.0268 2.0268 0.0065 0.32%
2025-11-07 011616 国投瑞银瑞祥C 2.0268 2.0268 2.0329 2.0329 -0.0061 -0.30%
2025-11-06 011616 国投瑞银瑞祥C 2.0329 2.0329 2.0047 2.0047 0.0282 1.41%
2025-11-05 011616 国投瑞银瑞祥C 2.0047 2.0047 2.0016 2.0016 0.0031 0.15%
2025-11-04 011616 国投瑞银瑞祥C 2.0016 2.0016 2.0166 2.0166 -0.0150 -0.74%
2025-11-03 011616 国投瑞银瑞祥C 2.0166 2.0166 2.0117 2.0117 0.0049 0.24%
2025-10-31 011616 国投瑞银瑞祥C 2.0117 2.0117 2.0404 2.0404 -0.0287 -1.41%
2025-10-30 011616 国投瑞银瑞祥C 2.0404 2.0404 2.0556 2.0556 -0.0152 -0.74%
2025-10-29 011616 国投瑞银瑞祥C 2.0556 2.0556 2.0319 2.0319 0.0237 1.17%
2025-10-28 011616 国投瑞银瑞祥C 2.0319 2.0319 2.0385 2.0385 -0.0066 -0.32%
2025-10-27 011616 国投瑞银瑞祥C 2.0385 2.0385 2.0161 2.0161 0.0224 1.11%
2025-10-24 011616 国投瑞银瑞祥C 2.0161 2.0161 1.9923 1.9923 0.0238 1.19%
2025-10-23 011616 国投瑞银瑞祥C 1.9923 1.9923 1.9870 1.9870 0.0053 0.27%
2025-10-22 011616 国投瑞银瑞祥C 1.9870 1.9870 1.9934 1.9934 -0.0064 -0.32%
2025-10-21 011616 国投瑞银瑞祥C 1.9934 1.9934 1.9651 1.9651 0.0283 1.44%
2025-10-20 011616 国投瑞银瑞祥C 1.9651 1.9651 1.9555 1.9555 0.0096 0.49%
2025-10-17 011616 国投瑞银瑞祥C 1.9555 1.9555 1.9966 1.9966 -0.0411 -2.06%
2025-10-16 011616 国投瑞银瑞祥C 1.9966 1.9966 1.9917 1.9917 0.0049 0.25%
2025-10-15 011616 国投瑞银瑞祥C 1.9917 1.9917 1.9639 1.9639 0.0278 1.42%
2025-10-14 011616 国投瑞银瑞祥C 1.9639 1.9639 1.9867 1.9867 -0.0228 -1.15%
2025-10-13 011616 国投瑞银瑞祥C 1.9867 1.9867 1.9963 1.9963 -0.0096 -0.48%
2025-10-10 011616 国投瑞银瑞祥C 1.9963 1.9963 2.0335 2.0335 -0.0372 -1.83%
2025-10-09 011616 国投瑞银瑞祥C 2.0335 2.0335 2.0064 2.0064 0.0271 1.35%
2025-09-30 011616 国投瑞银瑞祥C 2.0064 2.0064 1.9999 1.9999 0.0065 0.33%
2025-09-29 011616 国投瑞银瑞祥C 1.9999 1.9999 1.9732 1.9732 0.0267 1.35%
2025-09-26 011616 国投瑞银瑞祥C 1.9732 1.9732 1.9894 1.9894 -0.0162 -0.81%
2025-09-25 011616 国投瑞银瑞祥C 1.9894 1.9894 1.9766 1.9766 0.0128 0.65%
2025-09-24 011616 国投瑞银瑞祥C 1.9766 1.9766 1.9561 1.9561 0.0205 1.05%
2025-09-23 011616 国投瑞银瑞祥C 1.9561 1.9561 1.9569 1.9569 -0.0008 -0.04%
2025-09-22 011616 国投瑞银瑞祥C 1.9569 1.9569 1.9488 1.9488 0.0081 0.42%
2025-09-19 011616 国投瑞银瑞祥C 1.9488 1.9488 1.9469 1.9469 0.0019 0.10%
2025-09-18 011616 国投瑞银瑞祥C 1.9469 1.9469 1.9684 1.9684 -0.0215 -1.09%
2025-09-17 011616 国投瑞银瑞祥C 1.9684 1.9684 1.9564 1.9564 0.0120 0.61%
混合型-灵活基金涨幅榜
基金名称 单位净值 日增长率
新华优选分红混合C 1.6369 6.34%
新华优选分红混合A 1.5481 6.34%
金信行业优选混合A 4.2047 5.91%
金信行业优选混合发起式C 4.2221 5.91%
金信稳健策略混合A 3.5985 5.88%
金信稳健策略混合C 3.5634 5.88%
财通科创LOF 3.3895 5.65%
德邦鑫星价值A 5.4366 5.51%
德邦鑫星价值C 5.2212 5.50%
长城久祥混合A 2.6157 5.27%