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创金合信聚鑫债券A基金净值查询(012317)

今天最新净值 0.9687 0.0045 0.47% 2026-09-17
盘中实时估值(仅供参考) 0.9478 0.0047 0.4984% 2026-03-24 15:39:58
  • 累计净值:0.9687
  • 成立日期:
  • 基金类型:债券型-混合二级
  • 成立份额:
  • 最近份额:0.1080亿
  • 最近资产:0.10亿
  • 基金公司:
  • 基金经理:王先伟 王妍 张贺章 李添峰
近一季创金合信聚鑫债券A基金净值查询
基金历史净值按日期查询: -
近一季,创金合信聚鑫债券A(012317)基金累计收益率-3.09%
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
2026-09-17 012317 创金合信聚鑫债券A 0.9666 0.9666 0.9687 0.9687 -0.0021 -0.22%
2026-09-16 012317 创金合信聚鑫债券A 0.9687 0.9687 0.9642 0.9642 0.0045 0.47%
2026-09-15 012317 创金合信聚鑫债券A 0.9642 0.9642 0.9674 0.9674 -0.0032 -0.33%
2026-09-14 012317 创金合信聚鑫债券A 0.9674 0.9674 0.9688 0.9688 -0.0014 -0.14%
2026-09-11 012317 创金合信聚鑫债券A 0.9688 0.9688 0.9739 0.9739 -0.0051 -0.52%
2026-09-10 012317 创金合信聚鑫债券A 0.9739 0.9739 0.9764 0.9764 -0.0025 -0.26%
2026-09-09 012317 创金合信聚鑫债券A 0.9764 0.9764 0.9753 0.9753 0.0011 0.11%
2026-09-08 012317 创金合信聚鑫债券A 0.9753 0.9753 0.9751 0.9751 0.0002 0.02%
2026-09-07 012317 创金合信聚鑫债券A 0.9751 0.9751 0.9713 0.9713 0.0038 0.39%
2026-09-04 012317 创金合信聚鑫债券A 0.9713 0.9713 0.9742 0.9742 -0.0029 -0.30%
2026-09-03 012317 创金合信聚鑫债券A 0.9742 0.9742 0.9726 0.9726 0.0016 0.16%
2026-09-02 012317 创金合信聚鑫债券A 0.9726 0.9726 0.9786 0.9786 -0.0060 -0.61%
2026-09-01 012317 创金合信聚鑫债券A 0.9786 0.9786 0.9800 0.9800 -0.0014 -0.14%
2026-08-31 012317 创金合信聚鑫债券A 0.9800 0.9800 0.9770 0.9770 0.0030 0.31%
2026-08-28 012317 创金合信聚鑫债券A 0.9770 0.9770 0.9790 0.9790 -0.0020 -0.20%
2026-08-27 012317 创金合信聚鑫债券A 0.9790 0.9790 0.9737 0.9737 0.0053 0.54%
2026-08-26 012317 创金合信聚鑫债券A 0.9737 0.9737 0.9720 0.9720 0.0017 0.17%
2026-08-25 012317 创金合信聚鑫债券A 0.9720 0.9720 0.9733 0.9733 -0.0013 -0.13%
2026-08-24 012317 创金合信聚鑫债券A 0.9733 0.9733 0.9806 0.9806 -0.0073 -0.74%
2026-08-21 012317 创金合信聚鑫债券A 0.9806 0.9806 0.9768 0.9768 0.0038 0.39%
2026-08-20 012317 创金合信聚鑫债券A 0.9768 0.9768 0.9760 0.9760 0.0008 0.08%
2026-08-19 012317 创金合信聚鑫债券A 0.9760 0.9760 0.9922 0.9922 -0.0162 -1.63%
2026-08-18 012317 创金合信聚鑫债券A 0.9922 0.9922 0.9933 0.9933 -0.0011 -0.11%
2026-08-17 012317 创金合信聚鑫债券A 0.9933 0.9933 0.9848 0.9848 0.0085 0.86%
2026-08-14 012317 创金合信聚鑫债券A 0.9848 0.9848 0.9836 0.9836 0.0012 0.12%
2026-08-13 012317 创金合信聚鑫债券A 0.9836 0.9836 0.9863 0.9863 -0.0027 -0.27%
2026-08-12 012317 创金合信聚鑫债券A 0.9863 0.9863 0.9834 0.9834 0.0029 0.29%
2026-08-11 012317 创金合信聚鑫债券A 0.9834 0.9834 0.9860 0.9860 -0.0026 -0.26%
2026-08-10 012317 创金合信聚鑫债券A 0.9860 0.9860 0.9839 0.9839 0.0021 0.21%
2026-08-07 012317 创金合信聚鑫债券A 0.9839 0.9839 0.9765 0.9765 0.0074 0.76%
2026-08-06 012317 创金合信聚鑫债券A 0.9765 0.9765 0.9761 0.9761 0.0004 0.04%
2026-08-05 012317 创金合信聚鑫债券A 0.9761 0.9761 0.9685 0.9685 0.0076 0.78%
2026-08-04 012317 创金合信聚鑫债券A 0.9685 0.9685 0.9603 0.9603 0.0082 0.85%
2026-08-03 012317 创金合信聚鑫债券A 0.9603 0.9603 0.9648 0.9648 -0.0045 -0.47%
2026-07-31 012317 创金合信聚鑫债券A 0.9648 0.9648 0.9590 0.9590 0.0058 0.60%
2026-07-30 012317 创金合信聚鑫债券A 0.9590 0.9590 0.9647 0.9647 -0.0057 -0.59%
2026-07-29 012317 创金合信聚鑫债券A 0.9647 0.9647 0.9604 0.9604 0.0043 0.45%
2026-07-28 012317 创金合信聚鑫债券A 0.9604 0.9604 0.9749 0.9749 -0.0145 -1.49%
2026-07-27 012317 创金合信聚鑫债券A 0.9749 0.9749 0.9687 0.9687 0.0062 0.64%
2026-07-24 012317 创金合信聚鑫债券A 0.9687 0.9687 0.9754 0.9754 -0.0067 -0.69%
2026-07-23 012317 创金合信聚鑫债券A 0.9754 0.9754 0.9747 0.9747 0.0007 0.07%
2026-07-22 012317 创金合信聚鑫债券A 0.9747 0.9747 0.9794 0.9794 -0.0047 -0.48%
2026-07-21 012317 创金合信聚鑫债券A 0.9794 0.9794 0.9630 0.9630 0.0164 1.70%
2026-07-20 012317 创金合信聚鑫债券A 0.9630 0.9630 0.9611 0.9611 0.0019 0.20%
2026-07-17 012317 创金合信聚鑫债券A 0.9611 0.9611 0.9809 0.9809 -0.0198 -2.02%
2026-07-16 012317 创金合信聚鑫债券A 0.9809 0.9809 0.9907 0.9907 -0.0098 -0.99%
2026-07-15 012317 创金合信聚鑫债券A 0.9907 0.9907 0.9931 0.9931 -0.0024 -0.24%
2026-07-14 012317 创金合信聚鑫债券A 0.9931 0.9931 0.9818 0.9818 0.0113 1.15%
2026-07-13 012317 创金合信聚鑫债券A 0.9818 0.9818 0.9938 0.9938 -0.0120 -1.21%
2026-07-10 012317 创金合信聚鑫债券A 0.9938 0.9938 1.0031 1.0031 -0.0093 -0.93%
2026-07-09 012317 创金合信聚鑫债券A 1.0031 1.0031 0.9914 0.9914 0.0117 1.18%
2026-07-08 012317 创金合信聚鑫债券A 0.9914 0.9914 0.9968 0.9968 -0.0054 -0.54%
2026-07-07 012317 创金合信聚鑫债券A 0.9968 0.9968 1.0034 1.0034 -0.0066 -0.66%
2026-07-06 012317 创金合信聚鑫债券A 1.0034 1.0034 1.0042 1.0042 -0.0008 -0.08%
2026-07-03 012317 创金合信聚鑫债券A 1.0042 1.0042 1.0012 1.0012 0.0030 0.30%
2026-07-02 012317 创金合信聚鑫债券A 1.0012 1.0012 1.0154 1.0154 -0.0142 -1.40%
2026-07-01 012317 创金合信聚鑫债券A 1.0154 1.0154 1.0190 1.0190 -0.0036 -0.35%
2026-06-30 012317 创金合信聚鑫债券A 1.0190 1.0190 1.0142 1.0142 0.0048 0.47%
2026-06-29 012317 创金合信聚鑫债券A 1.0142 1.0142 1.0070 1.0070 0.0072 0.71%
2026-06-26 012317 创金合信聚鑫债券A 1.0070 1.0070 1.0181 1.0181 -0.0111 -1.09%
2026-06-25 012317 创金合信聚鑫债券A 1.0181 1.0181 1.0102 1.0102 0.0079 0.78%
2026-06-24 012317 创金合信聚鑫债券A 1.0102 1.0102 1.0056 1.0056 0.0046 0.46%
2026-06-23 012317 创金合信聚鑫债券A 1.0056 1.0056 1.0179 1.0179 -0.0123 -1.21%
2026-06-22 012317 创金合信聚鑫债券A 1.0179 1.0179 1.0079 1.0079 0.0100 0.99%
债券型-混合二级基金涨幅榜
基金名称 单位净值 日增长率
华商丰利增强定开A 2.4260 3.22%
华商丰利增强定开C 2.3300 3.22%
国泰可转债债券A 1.9877 2.10%
国泰可转债债券D 1.9877 2.10%
金鹰元丰债券A 1.8665 1.91%
金鹰元丰债券C 1.8232 1.90%
金鹰元丰债券D 1.8677 1.90%
南方昌元转债A 2.1497 1.85%
南方昌元转债C 2.0989 1.85%
南方昌元转债债券B 2.1487 1.84%