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嘉实成长收益混合H(嘉实成长H)基金净值查询(960024)

今天最新净值 1.1832 -0.0066 -0.55% 2025-12-17
盘中实时估值(仅供参考) 1.1873 -0.0081 -0.6778%
  • 累计净值:1.1979
  • 成立日期:
  • 基金类型:混合型-偏股
  • 成立份额:
  • 最近份额:16.0027亿
  • 最近资产:0.00亿元
  • 基金公司:
  • 基金经理:胡涛
今年以来嘉实成长收益混合H|嘉实成长H基金净值查询
基金历史净值按日期查询: -
今年以来,嘉实成长收益混合H(960024)基金累计收益率23.80%
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
2025-12-17 960024 嘉实成长收益混合H 1.1954 1.2101 1.1832 1.1979 0.0122 1.03%
2025-12-16 960024 嘉实成长收益混合H 1.1832 1.1979 1.1898 1.2045 -0.0066 -0.55%
2025-12-15 960024 嘉实成长收益混合H 1.1898 1.2045 1.1969 1.2116 -0.0071 -0.59%
2025-12-12 960024 嘉实成长收益混合H 1.1969 1.2116 1.1948 1.2095 0.0021 0.18%
2025-12-11 960024 嘉实成长收益混合H 1.1948 1.2095 1.1989 1.2136 -0.0041 -0.34%
2025-12-10 960024 嘉实成长收益混合H 1.1989 1.2136 1.1988 1.2135 0.0001 0.01%
2025-12-09 960024 嘉实成长收益混合H 1.1988 1.2135 1.2071 1.2218 -0.0083 -0.69%
2025-12-08 960024 嘉实成长收益混合H 1.2071 1.2218 1.2004 1.2151 0.0067 0.56%
2025-12-05 960024 嘉实成长收益混合H 1.2004 1.2151 1.1963 1.2110 0.0041 0.34%
2025-12-04 960024 嘉实成长收益混合H 1.1963 1.2110 1.1933 1.2080 0.0030 0.25%
2025-12-03 960024 嘉实成长收益混合H 1.1933 1.2080 1.2014 1.2161 -0.0081 -0.67%
2025-12-02 960024 嘉实成长收益混合H 1.2014 1.2161 1.2109 1.2256 -0.0095 -0.78%
2025-12-01 960024 嘉实成长收益混合H 1.2109 1.2256 1.2045 1.2192 0.0064 0.53%
2025-11-28 960024 嘉实成长收益混合H 1.2045 1.2192 1.1986 1.2133 0.0059 0.49%
2025-11-27 960024 嘉实成长收益混合H 1.1986 1.2133 1.1977 1.2124 0.0009 0.08%
2025-11-26 960024 嘉实成长收益混合H 1.1977 1.2124 1.1929 1.2076 0.0048 0.40%
2025-11-25 960024 嘉实成长收益混合H 1.1929 1.2076 1.1887 1.2034 0.0042 0.35%
2025-11-24 960024 嘉实成长收益混合H 1.1887 1.2034 1.1901 1.2048 -0.0014 -0.12%
2025-11-21 960024 嘉实成长收益混合H 1.1901 1.2048 1.2160 1.2307 -0.0259 -2.13%
2025-11-20 960024 嘉实成长收益混合H 1.2160 1.2307 1.2218 1.2365 -0.0058 -0.47%
2025-11-19 960024 嘉实成长收益混合H 1.2218 1.2365 1.2227 1.2374 -0.0009 -0.07%
2025-11-18 960024 嘉实成长收益混合H 1.2227 1.2374 1.2331 1.2478 -0.0104 -0.84%
2025-11-17 960024 嘉实成长收益混合H 1.2331 1.2478 1.2303 1.2450 0.0028 0.23%
2025-11-14 960024 嘉实成长收益混合H 1.2303 1.2450 1.2497 1.2644 -0.0194 -1.55%
2025-11-13 960024 嘉实成长收益混合H 1.2497 1.2644 1.2237 1.2384 0.0260 2.12%
2025-11-12 960024 嘉实成长收益混合H 1.2237 1.2384 1.2261 1.2408 -0.0024 -0.20%
2025-11-11 960024 嘉实成长收益混合H 1.2261 1.2408 1.2320 1.2467 -0.0059 -0.48%
2025-11-10 960024 嘉实成长收益混合H 1.2320 1.2467 1.2297 1.2444 0.0023 0.19%
2025-11-07 960024 嘉实成长收益混合H 1.2297 1.2444 1.2318 1.2465 -0.0021 -0.17%
2025-11-06 960024 嘉实成长收益混合H 1.2318 1.2465 1.2171 1.2318 0.0147 1.21%
2025-11-05 960024 嘉实成长收益混合H 1.2171 1.2318 1.2111 1.2258 0.0060 0.50%
2025-11-04 960024 嘉实成长收益混合H 1.2111 1.2258 1.2259 1.2406 -0.0148 -1.21%
2025-11-03 960024 嘉实成长收益混合H 1.2259 1.2406 1.2286 1.2433 -0.0027 -0.22%
2025-10-31 960024 嘉实成长收益混合H 1.2286 1.2433 1.2255 1.2402 0.0031 0.25%
2025-10-30 960024 嘉实成长收益混合H 1.2255 1.2402 1.2298 1.2445 -0.0043 -0.35%
2025-10-29 960024 嘉实成长收益混合H 1.2298 1.2445 1.2183 1.2330 0.0115 0.94%
2025-10-28 960024 嘉实成长收益混合H 1.2183 1.2330 1.2185 1.2332 -0.0002 -0.02%
2025-10-27 960024 嘉实成长收益混合H 1.2185 1.2332 1.2110 1.2257 0.0075 0.62%
2025-10-24 960024 嘉实成长收益混合H 1.2110 1.2257 1.1932 1.2079 0.0178 1.49%
2025-10-23 960024 嘉实成长收益混合H 1.1932 1.2079 1.1909 1.2056 0.0023 0.19%
2025-10-22 960024 嘉实成长收益混合H 1.1909 1.2056 1.1956 1.2103 -0.0047 -0.39%
2025-10-21 960024 嘉实成长收益混合H 1.1956 1.2103 1.1821 1.1968 0.0135 1.14%
2025-10-20 960024 嘉实成长收益混合H 1.1821 1.1968 1.1794 1.1941 0.0027 0.23%
2025-10-17 960024 嘉实成长收益混合H 1.1794 1.1941 1.1976 1.2123 -0.0182 -1.52%
2025-10-16 960024 嘉实成长收益混合H 1.1976 1.2123 1.1972 1.2119 0.0004 0.03%
2025-10-15 960024 嘉实成长收益混合H 1.1972 1.2119 1.1830 1.1977 0.0142 1.20%
2025-10-14 960024 嘉实成长收益混合H 1.1830 1.1977 1.2104 1.2251 -0.0274 -2.26%
2025-10-13 960024 嘉实成长收益混合H 1.2104 1.2251 1.2077 1.2224 0.0027 0.22%
2025-10-10 960024 嘉实成长收益混合H 1.2077 1.2224 1.2488 1.2635 -0.0411 -3.29%
2025-10-09 960024 嘉实成长收益混合H 1.2488 1.2635 1.2391 1.2538 0.0097 0.78%
2025-09-30 960024 嘉实成长收益混合H 1.2391 1.2538 1.2160 1.2307 0.0231 1.90%
2025-09-29 960024 嘉实成长收益混合H 1.2160 1.2307 1.1906 1.2053 0.0254 2.13%
2025-09-26 960024 嘉实成长收益混合H 1.1906 1.2053 1.2023 1.2170 -0.0117 -0.97%
2025-09-25 960024 嘉实成长收益混合H 1.2023 1.2170 1.1907 1.2054 0.0116 0.97%
2025-09-24 960024 嘉实成长收益混合H 1.1907 1.2054 1.1672 1.1819 0.0235 2.01%
2025-09-23 960024 嘉实成长收益混合H 1.1672 1.1819 1.1787 1.1934 -0.0115 -0.98%
2025-09-22 960024 嘉实成长收益混合H 1.1787 1.1934 1.1676 1.1823 0.0111 0.95%
2025-09-19 960024 嘉实成长收益混合H 1.1676 1.1823 1.1707 1.1854 -0.0031 -0.26%
2025-09-18 960024 嘉实成长收益混合H 1.1707 1.1854 1.1809 1.1956 -0.0102 -0.86%
2025-09-17 960024 嘉实成长收益混合H 1.1809 1.1956 1.1753 1.1900 0.0056 0.48%
2025-09-16 960024 嘉实成长收益混合H 1.1753 1.1900 1.1721 1.1868 0.0032 0.27%
2025-09-15 960024 嘉实成长收益混合H 1.1721 1.1868 1.1550 1.1697 0.0171 1.48%
2025-09-12 960024 嘉实成长收益混合H 1.1550 1.1697 1.1486 1.1633 0.0064 0.56%
2025-09-11 960024 嘉实成长收益混合H 1.1486 1.1633 1.1221 1.1368 0.0265 2.36%
2025-09-10 960024 嘉实成长收益混合H 1.1221 1.1368 1.1234 1.1381 -0.0013 -0.12%
2025-09-09 960024 嘉实成长收益混合H 1.1234 1.1381 1.1342 1.1489 -0.0108 -0.95%
2025-09-08 960024 嘉实成长收益混合H 1.1342 1.1489 1.1279 1.1426 0.0063 0.56%
2025-09-05 960024 嘉实成长收益混合H 1.1279 1.1426 1.0879 1.1026 0.0400 3.68%
2025-09-04 960024 嘉实成长收益混合H 1.0879 1.1026 1.1177 1.1324 -0.0298 -2.67%
2025-09-03 960024 嘉实成长收益混合H 1.1177 1.1324 1.1186 1.1333 -0.0009 -0.08%
2025-09-02 960024 嘉实成长收益混合H 1.1186 1.1333 1.1295 1.1442 -0.0109 -0.97%
2025-09-01 960024 嘉实成长收益混合H 1.1295 1.1442 1.1158 1.1305 0.0137 1.23%
2025-08-29 960024 嘉实成长收益混合H 1.1158 1.1305 1.1052 1.1199 0.0106 0.96%
2025-08-28 960024 嘉实成长收益混合H 1.1052 1.1199 1.0819 1.0966 0.0233 2.15%
2025-08-27 960024 嘉实成长收益混合H 1.0819 1.0966 1.0937 1.1084 -0.0118 -1.08%
2025-08-26 960024 嘉实成长收益混合H 1.0937 1.1084 1.1006 1.1153 -0.0069 -0.63%
2025-08-25 960024 嘉实成长收益混合H 1.1006 1.1153 1.0741 1.0888 0.0265 2.47%
2025-08-22 960024 嘉实成长收益混合H 1.0741 1.0888 1.0362 1.0509 0.0379 3.66%
2025-08-21 960024 嘉实成长收益混合H 1.0362 1.0509 1.0319 1.0466 0.0043 0.42%
2025-08-20 960024 嘉实成长收益混合H 1.0319 1.0466 1.0172 1.0319 0.0147 1.45%
2025-08-19 960024 嘉实成长收益混合H 1.0172 1.0319 1.0225 1.0372 -0.0053 -0.52%
2025-08-18 960024 嘉实成长收益混合H 1.0225 1.0372 1.0184 1.0331 0.0041 0.40%
2025-08-15 960024 嘉实成长收益混合H 1.0184 1.0331 1.0065 1.0212 0.0119 1.18%
2025-08-14 960024 嘉实成长收益混合H 1.0065 1.0212 1.0014 1.0161 0.0051 0.51%
2025-08-13 960024 嘉实成长收益混合H 1.0014 1.0161 0.9916 1.0063 0.0098 0.99%
2025-08-12 960024 嘉实成长收益混合H 0.9916 1.0063 0.9845 0.9992 0.0071 0.72%
2025-08-11 960024 嘉实成长收益混合H 0.9845 0.9992 0.9724 0.9871 0.0121 1.24%
2025-08-08 960024 嘉实成长收益混合H 0.9724 0.9871 0.9783 0.9930 -0.0059 -0.60%
2025-08-07 960024 嘉实成长收益混合H 0.9783 0.9930 0.9841 0.9988 -0.0058 -0.59%
2025-08-06 960024 嘉实成长收益混合H 0.9841 0.9988 0.9821 0.9968 0.0020 0.20%
2025-08-05 960024 嘉实成长收益混合H 0.9821 0.9968 0.9803 0.9950 0.0018 0.18%
2025-08-04 960024 嘉实成长收益混合H 0.9803 0.9950 0.9738 0.9885 0.0065 0.67%
2025-08-01 960024 嘉实成长收益混合H 0.9738 0.9885 0.9773 0.9920 -0.0035 -0.36%
2025-07-31 960024 嘉实成长收益混合H 0.9773 0.9920 0.9894 1.0041 -0.0121 -1.22%
2025-07-30 960024 嘉实成长收益混合H 0.9894 1.0041 1.0022 1.0169 -0.0128 -1.28%
2025-07-29 960024 嘉实成长收益混合H 1.0022 1.0169 0.9946 1.0093 0.0076 0.76%
2025-07-28 960024 嘉实成长收益混合H 0.9946 1.0093 0.9950 1.0097 -0.0004 -0.04%
2025-07-25 960024 嘉实成长收益混合H 0.9950 1.0097 0.9873 1.0020 0.0077 0.78%
2025-07-24 960024 嘉实成长收益混合H 0.9873 1.0020 0.9799 0.9946 0.0074 0.76%
2025-07-23 960024 嘉实成长收益混合H 0.9799 0.9946 0.9806 0.9953 -0.0007 -0.07%
2025-07-22 960024 嘉实成长收益混合H 0.9806 0.9953 0.9774 0.9921 0.0032 0.33%
2025-07-21 960024 嘉实成长收益混合H 0.9774 0.9921 0.9741 0.9888 0.0033 0.34%
2025-07-18 960024 嘉实成长收益混合H 0.9741 0.9888 0.9678 0.9825 0.0063 0.65%
2025-07-17 960024 嘉实成长收益混合H 0.9678 0.9825 0.9592 0.9739 0.0086 0.90%
2025-07-16 960024 嘉实成长收益混合H 0.9592 0.9739 0.9614 0.9761 -0.0022 -0.23%
2025-07-15 960024 嘉实成长收益混合H 0.9614 0.9761 0.9619 0.9766 -0.0005 -0.05%
2025-07-14 960024 嘉实成长收益混合H 0.9619 0.9766 0.9637 0.9784 -0.0018 -0.19%
2025-07-11 960024 嘉实成长收益混合H 0.9637 0.9784 0.9557 0.9704 0.0080 0.84%
2025-07-10 960024 嘉实成长收益混合H 0.9557 0.9704 0.9584 0.9731 -0.0027 -0.28%
2025-07-09 960024 嘉实成长收益混合H 0.9584 0.9731 0.9577 0.9724 0.0007 0.07%
2025-07-08 960024 嘉实成长收益混合H 0.9577 0.9724 0.9537 0.9684 0.0040 0.42%
2025-07-07 960024 嘉实成长收益混合H 0.9537 0.9684 0.9573 0.9720 -0.0036 -0.38%
2025-07-04 960024 嘉实成长收益混合H 0.9573 0.9720 0.9595 0.9742 -0.0022 -0.23%
2025-07-03 960024 嘉实成长收益混合H 0.9595 0.9742 0.9511 0.9658 0.0084 0.88%
2025-07-02 960024 嘉实成长收益混合H 0.9511 0.9658 0.9600 0.9747 -0.0089 -0.93%
2025-07-01 960024 嘉实成长收益混合H 0.9600 0.9747 0.9608 0.9755 -0.0008 -0.08%
2025-06-30 960024 嘉实成长收益混合H 0.9608 0.9755 0.9548 0.9695 0.0060 0.63%
2025-06-27 960024 嘉实成长收益混合H 0.9548 0.9695 0.9556 0.9703 -0.0008 -0.08%
2025-06-26 960024 嘉实成长收益混合H 0.9556 0.9703 0.9614 0.9761 -0.0058 -0.60%
2025-06-25 960024 嘉实成长收益混合H 0.9614 0.9761 0.9510 0.9657 0.0104 1.09%
2025-06-24 960024 嘉实成长收益混合H 0.9510 0.9657 0.9368 0.9515 0.0142 1.52%
2025-06-23 960024 嘉实成长收益混合H 0.9368 0.9515 0.9303 0.9450 0.0065 0.70%
2025-06-20 960024 嘉实成长收益混合H 0.9303 0.9450 0.9341 0.9488 -0.0038 -0.41%
2025-06-19 960024 嘉实成长收益混合H 0.9341 0.9488 0.9389 0.9536 -0.0048 -0.51%
2025-06-18 960024 嘉实成长收益混合H 0.9389 0.9536 0.9390 0.9537 -0.0001 -0.01%
2025-06-17 960024 嘉实成长收益混合H 0.9390 0.9537 0.9432 0.9579 -0.0042 -0.45%
2025-06-16 960024 嘉实成长收益混合H 0.9432 0.9579 0.9470 0.9617 -0.0038 -0.40%
2025-06-13 960024 嘉实成长收益混合H 0.9470 0.9617 0.9548 0.9695 -0.0078 -0.82%
2025-06-12 960024 嘉实成长收益混合H 0.9548 0.9695 0.9543 0.9690 0.0005 0.05%
2025-06-11 960024 嘉实成长收益混合H 0.9543 0.9690 0.9527 0.9674 0.0016 0.17%
2025-06-10 960024 嘉实成长收益混合H 0.9527 0.9674 0.9558 0.9705 -0.0031 -0.32%
2025-06-09 960024 嘉实成长收益混合H 0.9558 0.9705 0.9539 0.9686 0.0019 0.20%
2025-06-06 960024 嘉实成长收益混合H 0.9539 0.9686 0.9559 0.9706 -0.0020 -0.21%
2025-06-05 960024 嘉实成长收益混合H 0.9559 0.9706 0.9574 0.9721 -0.0015 -0.16%
2025-06-04 960024 嘉实成长收益混合H 0.9574 0.9721 0.9529 0.9676 0.0045 0.47%
2025-06-03 960024 嘉实成长收益混合H 0.9529 0.9676 0.9486 0.9633 0.0043 0.45%
2025-05-30 960024 嘉实成长收益混合H 0.9486 0.9633 0.9504 0.9651 -0.0018 -0.19%
2025-05-29 960024 嘉实成长收益混合H 0.9504 0.9651 0.9439 0.9586 0.0065 0.69%
2025-05-28 960024 嘉实成长收益混合H 0.9439 0.9586 0.9438 0.9585 0.0001 0.01%
2025-05-27 960024 嘉实成长收益混合H 0.9438 0.9585 0.9457 0.9604 -0.0019 -0.20%
2025-05-26 960024 嘉实成长收益混合H 0.9457 0.9604 0.9519 0.9666 -0.0062 -0.65%
2025-05-23 960024 嘉实成长收益混合H 0.9519 0.9666 0.9584 0.9731 -0.0065 -0.68%
2025-05-22 960024 嘉实成长收益混合H 0.9584 0.9731 0.9651 0.9798 -0.0067 -0.69%
2025-05-21 960024 嘉实成长收益混合H 0.9651 0.9798 0.9625 0.9772 0.0026 0.27%
2025-05-20 960024 嘉实成长收益混合H 0.9625 0.9772 0.9585 0.9732 0.0040 0.42%
2025-05-19 960024 嘉实成长收益混合H 0.9585 0.9732 0.9561 0.9708 0.0024 0.25%
2025-05-16 960024 嘉实成长收益混合H 0.9561 0.9708 0.9533 0.9680 0.0028 0.29%
2025-05-15 960024 嘉实成长收益混合H 0.9533 0.9680 0.9619 0.9766 -0.0086 -0.89%
2025-05-14 960024 嘉实成长收益混合H 0.9619 0.9766 0.9587 0.9734 0.0032 0.33%
2025-05-13 960024 嘉实成长收益混合H 0.9587 0.9734 0.9612 0.9759 -0.0025 -0.26%
2025-05-12 960024 嘉实成长收益混合H 0.9612 0.9759 0.9561 0.9708 0.0051 0.53%
2025-05-09 960024 嘉实成长收益混合H 0.9561 0.9708 0.9587 0.9734 -0.0026 -0.27%
2025-05-08 960024 嘉实成长收益混合H 0.9587 0.9734 0.9560 0.9707 0.0027 0.28%
2025-05-07 960024 嘉实成长收益混合H 0.9560 0.9707 0.9547 0.9694 0.0013 0.14%
2025-05-06 960024 嘉实成长收益混合H 0.9547 0.9694 0.9478 0.9625 0.0069 0.73%
2025-04-30 960024 嘉实成长收益混合H 0.9478 0.9625 0.9422 0.9569 0.0056 0.59%
2025-04-29 960024 嘉实成长收益混合H 0.9422 0.9569 0.9450 0.9597 -0.0028 -0.30%
2025-04-28 960024 嘉实成长收益混合H 0.9450 0.9597 0.9501 0.9648 -0.0051 -0.54%
2025-04-25 960024 嘉实成长收益混合H 0.9501 0.9648 0.9504 0.9651 -0.0003 -0.03%
2025-04-24 960024 嘉实成长收益混合H 0.9504 0.9651 0.9474 0.9621 0.0030 0.32%
2025-04-23 960024 嘉实成长收益混合H 0.9474 0.9621 0.9463 0.9610 0.0011 0.12%
2025-04-22 960024 嘉实成长收益混合H 0.9463 0.9610 0.9489 0.9636 -0.0026 -0.27%
2025-04-21 960024 嘉实成长收益混合H 0.9489 0.9636 0.9332 0.9479 0.0157 1.68%
2025-04-18 960024 嘉实成长收益混合H 0.9332 0.9479 0.9349 0.9496 -0.0017 -0.18%
2025-04-17 960024 嘉实成长收益混合H 0.9349 0.9496 0.9339 0.9486 0.0010 0.11%
2025-04-16 960024 嘉实成长收益混合H 0.9339 0.9486 0.9392 0.9539 -0.0053 -0.56%
2025-04-15 960024 嘉实成长收益混合H 0.9392 0.9539 0.9404 0.9551 -0.0012 -0.13%
2025-04-14 960024 嘉实成长收益混合H 0.9404 0.9551 0.9357 0.9504 0.0047 0.50%
2025-04-11 960024 嘉实成长收益混合H 0.9357 0.9504 0.9311 0.9458 0.0046 0.49%
2025-04-10 960024 嘉实成长收益混合H 0.9311 0.9458 0.9169 0.9316 0.0142 1.55%
2025-04-09 960024 嘉实成长收益混合H 0.9169 0.9316 0.9081 0.9228 0.0088 0.97%
2025-04-08 960024 嘉实成长收益混合H 0.9081 0.9228 0.8944 0.9091 0.0137 1.53%
2025-04-07 960024 嘉实成长收益混合H 0.8944 0.9091 0.9571 0.9718 -0.0627 -6.55%
2025-04-03 960024 嘉实成长收益混合H 0.9571 0.9718 0.9662 0.9809 -0.0091 -0.94%
2025-04-02 960024 嘉实成长收益混合H 0.9662 0.9809 0.9626 0.9773 0.0036 0.37%
2025-04-01 960024 嘉实成长收益混合H 0.9626 0.9773 0.9596 0.9743 0.0030 0.31%
2025-03-31 960024 嘉实成长收益混合H 0.9596 0.9743 0.9654 0.9801 -0.0058 -0.60%
2025-03-28 960024 嘉实成长收益混合H 0.9654 0.9801 0.9717 0.9864 -0.0063 -0.65%
2025-03-27 960024 嘉实成长收益混合H 0.9717 0.9864 0.9651 0.9798 0.0066 0.68%
2025-03-26 960024 嘉实成长收益混合H 0.9651 0.9798 0.9685 0.9832 -0.0034 -0.35%
2025-03-25 960024 嘉实成长收益混合H 0.9685 0.9832 0.9708 0.9855 -0.0023 -0.24%
2025-03-24 960024 嘉实成长收益混合H 0.9708 0.9855 0.9628 0.9775 0.0080 0.83%
2025-03-21 960024 嘉实成长收益混合H 0.9628 0.9775 0.9778 0.9925 -0.0150 -1.53%
2025-03-20 960024 嘉实成长收益混合H 0.9778 0.9925 0.9770 0.9917 0.0008 0.08%
2025-03-19 960024 嘉实成长收益混合H 0.9770 0.9917 0.9788 0.9935 -0.0018 -0.18%
2025-03-18 960024 嘉实成长收益混合H 0.9788 0.9935 0.9741 0.9888 0.0047 0.48%
2025-03-17 960024 嘉实成长收益混合H 0.9741 0.9888 0.9784 0.9931 -0.0043 -0.44%
2025-03-14 960024 嘉实成长收益混合H 0.9784 0.9931 0.9651 0.9798 0.0133 1.38%
2025-03-13 960024 嘉实成长收益混合H 0.9651 0.9798 0.9706 0.9853 -0.0055 -0.57%
2025-03-12 960024 嘉实成长收益混合H 0.9706 0.9853 0.9765 0.9912 -0.0059 -0.60%
2025-03-11 960024 嘉实成长收益混合H 0.9765 0.9912 0.9752 0.9899 0.0013 0.13%
2025-03-10 960024 嘉实成长收益混合H 0.9752 0.9899 0.9784 0.9931 -0.0032 -0.33%
2025-03-07 960024 嘉实成长收益混合H 0.9784 0.9931 0.9796 0.9943 -0.0012 -0.12%
2025-03-06 960024 嘉实成长收益混合H 0.9796 0.9943 0.9732 0.9879 0.0064 0.66%
2025-03-05 960024 嘉实成长收益混合H 0.9732 0.9879 0.9779 0.9926 -0.0047 -0.48%
2025-03-04 960024 嘉实成长收益混合H 0.9779 0.9926 0.9811 0.9958 -0.0032 -0.33%
2025-03-03 960024 嘉实成长收益混合H 0.9811 0.9958 0.9734 0.9881 0.0077 0.79%
2025-02-28 960024 嘉实成长收益混合H 0.9734 0.9881 0.9830 0.9977 -0.0096 -0.98%
2025-02-27 960024 嘉实成长收益混合H 0.9830 0.9977 0.9789 0.9936 0.0041 0.42%
2025-02-26 960024 嘉实成长收益混合H 0.9789 0.9936 0.9739 0.9886 0.0050 0.51%
2025-02-25 960024 嘉实成长收益混合H 0.9739 0.9886 0.9794 0.9941 -0.0055 -0.56%
2025-02-24 960024 嘉实成长收益混合H 0.9794 0.9941 0.9809 0.9956 -0.0015 -0.15%
2025-02-21 960024 嘉实成长收益混合H 0.9809 0.9956 0.9744 0.9891 0.0065 0.67%
2025-02-20 960024 嘉实成长收益混合H 0.9744 0.9891 0.9735 0.9882 0.0009 0.09%
2025-02-19 960024 嘉实成长收益混合H 0.9735 0.9882 0.9676 0.9823 0.0059 0.61%
2025-02-18 960024 嘉实成长收益混合H 0.9676 0.9823 0.9732 0.9879 -0.0056 -0.58%
2025-02-17 960024 嘉实成长收益混合H 0.9732 0.9879 0.9737 0.9884 -0.0005 -0.05%
2025-02-14 960024 嘉实成长收益混合H 0.9737 0.9884 0.9692 0.9839 0.0045 0.46%
2025-02-13 960024 嘉实成长收益混合H 0.9692 0.9839 0.9715 0.9862 -0.0023 -0.24%
2025-02-12 960024 嘉实成长收益混合H 0.9715 0.9862 0.9672 0.9819 0.0043 0.44%
2025-02-11 960024 嘉实成长收益混合H 0.9672 0.9819 0.9706 0.9853 -0.0034 -0.35%
2025-02-10 960024 嘉实成长收益混合H 0.9706 0.9853 0.9681 0.9828 0.0025 0.26%
2025-02-07 960024 嘉实成长收益混合H 0.9681 0.9828 0.9597 0.9744 0.0084 0.88%
2025-02-06 960024 嘉实成长收益混合H 0.9597 0.9744 0.9480 0.9627 0.0117 1.23%
2025-02-05 960024 嘉实成长收益混合H 0.9480 0.9627 0.9541 0.9688 -0.0061 -0.64%
2025-01-27 960024 嘉实成长收益混合H 0.9541 0.9688 0.9560 0.9707 -0.0019 -0.20%
2025-01-24 960024 嘉实成长收益混合H 0.9560 0.9707 0.9516 0.9663 0.0044 0.46%
2025-01-23 960024 嘉实成长收益混合H 0.9516 0.9663 0.9537 0.9684 -0.0021 -0.22%
2025-01-22 960024 嘉实成长收益混合H 0.9537 0.9684 0.9600 0.9747 -0.0063 -0.66%
2025-01-21 960024 嘉实成长收益混合H 0.9600 0.9747 0.9611 0.9758 -0.0011 -0.11%
2025-01-20 960024 嘉实成长收益混合H 0.9611 0.9758 0.9597 0.9744 0.0014 0.15%
2025-01-17 960024 嘉实成长收益混合H 0.9597 0.9744 0.9486 0.9633 0.0111 1.17%
2025-01-16 960024 嘉实成长收益混合H 0.9486 0.9633 0.9507 0.9654 -0.0021 -0.22%
2025-01-15 960024 嘉实成长收益混合H 0.9507 0.9654 0.9547 0.9694 -0.0040 -0.42%
2025-01-14 960024 嘉实成长收益混合H 0.9547 0.9694 0.9364 0.9511 0.0183 1.95%
2025-01-13 960024 嘉实成长收益混合H 0.9364 0.9511 0.9370 0.9517 -0.0006 -0.06%
2025-01-10 960024 嘉实成长收益混合H 0.9370 0.9517 0.9421 0.9568 -0.0051 -0.54%
2025-01-09 960024 嘉实成长收益混合H 0.9421 0.9568 0.9425 0.9572 -0.0004 -0.04%
2025-01-08 960024 嘉实成长收益混合H 0.9425 0.9572 0.9413 0.9560 0.0012 0.13%
2025-01-07 960024 嘉实成长收益混合H 0.9413 0.9560 0.9385 0.9532 0.0028 0.30%
2025-01-06 960024 嘉实成长收益混合H 0.9385 0.9532 0.9408 0.9555 -0.0023 -0.24%
2025-01-03 960024 嘉实成长收益混合H 0.9408 0.9555 0.9477 0.9624 -0.0069 -0.73%
2025-01-02 960024 嘉实成长收益混合H 0.9477 0.9624 0.9656 0.9803 -0.0179 -1.85%
混合型-偏股基金涨幅榜
基金名称 单位净值 日增长率
国寿精选 2.0359 7.67%
国寿安保策略精选混合C 1.4616 7.66%
泰信发展 1.8890 7.33%
华商龙头优势混合 1.5711 7.02%
东方阿尔法瑞享混合发起A 1.1459 6.95%
国投瑞银先进制造混合 2.7811 6.92%
华泰柏瑞质量成长A 1.7812 6.90%
华泰柏瑞质量成长C 1.7498 6.90%
国投瑞银产业趋势混合A 0.9341 6.83%
国投瑞银产业趋势混合C 0.9174 6.82%