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诺安优选回报混合A(诺安优选回报)基金净值查询(001743)

今天最新净值 2.7730 0.0000 0.00% 2026-09-18
盘中实时估值(仅供参考) 2.6992 0.0492 1.8561% 2026-03-24 15:39:58
  • 累计净值:3.0230
  • 成立日期:2016-09-22
  • 基金类型:混合型-灵活
  • 成立份额:
  • 最近份额:9.0920亿
  • 最近资产:7.34亿元
  • 基金公司:诺安基金
  • 基金经理:杨谷
近半年诺安优选回报混合A|诺安优选回报基金净值查询
基金历史净值按日期查询: -
近半年,诺安优选回报混合A(001743)基金累计收益率4.64%
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
2026-09-18 001743 诺安优选回报混合A 2.8460 3.0960 2.7730 3.0230 0.0730 2.63%
2026-09-17 001743 诺安优选回报混合A 2.7730 3.0230 2.7730 3.0230 0.0000 0.00%
2026-09-16 001743 诺安优选回报混合A 2.7730 3.0230 2.7150 2.9650 0.0580 2.14%
2026-09-15 001743 诺安优选回报混合A 2.7150 2.9650 2.7180 2.9680 -0.0030 -0.11%
2026-09-14 001743 诺安优选回报混合A 2.7180 2.9680 2.6790 2.9290 0.0390 1.46%
2026-09-11 001743 诺安优选回报混合A 2.6790 2.9290 2.7300 2.9800 -0.0510 -1.87%
2026-09-10 001743 诺安优选回报混合A 2.7300 2.9800 2.7880 3.0380 -0.0580 -2.12%
2026-09-09 001743 诺安优选回报混合A 2.7880 3.0380 2.8090 3.0590 -0.0210 -0.75%
2026-09-08 001743 诺安优选回报混合A 2.8090 3.0590 2.8240 3.0740 -0.0150 -0.53%
2026-09-07 001743 诺安优选回报混合A 2.8240 3.0740 2.8060 3.0560 0.0180 0.64%
2026-09-04 001743 诺安优选回报混合A 2.8060 3.0560 2.8510 3.1010 -0.0450 -1.58%
2026-09-03 001743 诺安优选回报混合A 2.8510 3.1010 2.8480 3.0980 0.0030 0.11%
2026-09-02 001743 诺安优选回报混合A 2.8480 3.0980 2.8940 3.1440 -0.0460 -1.59%
2026-09-01 001743 诺安优选回报混合A 2.8940 3.1440 2.9270 3.1770 -0.0330 -1.13%
2026-08-31 001743 诺安优选回报混合A 2.9270 3.1770 2.8760 3.1260 0.0510 1.77%
2026-08-28 001743 诺安优选回报混合A 2.8760 3.1260 2.9060 3.1560 -0.0300 -1.03%
2026-08-27 001743 诺安优选回报混合A 2.9060 3.1560 2.8380 3.0880 0.0680 2.40%
2026-08-26 001743 诺安优选回报混合A 2.8380 3.0880 2.8670 3.1170 -0.0290 -1.02%
2026-08-25 001743 诺安优选回报混合A 2.8670 3.1170 2.8200 3.0700 0.0470 1.67%
2026-08-24 001743 诺安优选回报混合A 2.8200 3.0700 2.8820 3.1320 -0.0620 -2.15%
2026-08-21 001743 诺安优选回报混合A 2.8820 3.1320 2.9060 3.1560 -0.0240 -0.83%
2026-08-20 001743 诺安优选回报混合A 2.9060 3.1560 2.8560 3.1060 0.0500 1.75%
2026-08-19 001743 诺安优选回报混合A 2.8560 3.1060 3.0080 3.2580 -0.1520 -5.05%
2026-08-18 001743 诺安优选回报混合A 3.0080 3.2580 3.0300 3.2800 -0.0220 -0.73%
2026-08-17 001743 诺安优选回报混合A 3.0300 3.2800 2.9580 3.2080 0.0720 2.43%
2026-08-14 001743 诺安优选回报混合A 2.9580 3.2080 2.9350 3.1850 0.0230 0.78%
2026-08-13 001743 诺安优选回报混合A 2.9350 3.1850 2.9460 3.1960 -0.0110 -0.37%
2026-08-12 001743 诺安优选回报混合A 2.9460 3.1960 2.9310 3.1810 0.0150 0.51%
2026-08-11 001743 诺安优选回报混合A 2.9310 3.1810 2.9250 3.1750 0.0060 0.21%
2026-08-10 001743 诺安优选回报混合A 2.9250 3.1750 2.8950 3.1450 0.0300 1.04%
2026-08-07 001743 诺安优选回报混合A 2.8950 3.1450 2.8150 3.0650 0.0800 2.84%
2026-08-06 001743 诺安优选回报混合A 2.8150 3.0650 2.8110 3.0610 0.0040 0.14%
2026-08-05 001743 诺安优选回报混合A 2.8110 3.0610 2.7320 2.9820 0.0790 2.89%
2026-08-04 001743 诺安优选回报混合A 2.7320 2.9820 2.6230 2.8730 0.1090 4.16%
2026-08-03 001743 诺安优选回报混合A 2.6230 2.8730 2.6450 2.8950 -0.0220 -0.83%
2026-07-31 001743 诺安优选回报混合A 2.6450 2.8950 2.5470 2.7970 0.0980 3.85%
2026-07-30 001743 诺安优选回报混合A 2.5470 2.7970 2.6400 2.8900 -0.0930 -3.52%
2026-07-29 001743 诺安优选回报混合A 2.6400 2.8900 2.6210 2.8710 0.0190 0.72%
2026-07-28 001743 诺安优选回报混合A 2.6210 2.8710 2.7080 2.9580 -0.0870 -3.21%
2026-07-27 001743 诺安优选回报混合A 2.7080 2.9580 2.6450 2.8950 0.0630 2.38%
2026-07-24 001743 诺安优选回报混合A 2.6450 2.8950 2.6960 2.9460 -0.0510 -1.89%
2026-07-23 001743 诺安优选回报混合A 2.6960 2.9460 2.7160 2.9660 -0.0200 -0.74%
2026-07-22 001743 诺安优选回报混合A 2.7160 2.9660 2.7160 2.9660 0.0000 0.00%
2026-07-21 001743 诺安优选回报混合A 2.7160 2.9660 2.6010 2.8510 0.1150 4.42%
2026-07-20 001743 诺安优选回报混合A 2.6010 2.8510 2.6550 2.9050 -0.0540 -2.03%
2026-07-17 001743 诺安优选回报混合A 2.6550 2.9050 2.8290 3.0790 -0.1740 -6.15%
2026-07-16 001743 诺安优选回报混合A 2.8290 3.0790 2.8760 3.1260 -0.0470 -1.63%
2026-07-15 001743 诺安优选回报混合A 2.8760 3.1260 2.8900 3.1400 -0.0140 -0.48%
2026-07-14 001743 诺安优选回报混合A 2.8900 3.1400 2.8420 3.0920 0.0480 1.69%
2026-07-13 001743 诺安优选回报混合A 2.8420 3.0920 2.9740 3.2240 -0.1320 -4.44%
2026-07-10 001743 诺安优选回报混合A 2.9740 3.2240 3.0680 3.3180 -0.0940 -3.06%
2026-07-09 001743 诺安优选回报混合A 3.0680 3.3180 3.0100 3.2600 0.0580 1.93%
2026-07-08 001743 诺安优选回报混合A 3.0100 3.2600 3.0300 3.2800 -0.0200 -0.66%
2026-07-07 001743 诺安优选回报混合A 3.0300 3.2800 3.1060 3.3560 -0.0760 -2.45%
2026-07-06 001743 诺安优选回报混合A 3.1060 3.3560 3.0980 3.3480 0.0080 0.26%
2026-07-03 001743 诺安优选回报混合A 3.0980 3.3480 3.0670 3.3170 0.0310 1.01%
2026-07-02 001743 诺安优选回报混合A 3.0670 3.3170 3.1570 3.4070 -0.0900 -2.85%
2026-07-01 001743 诺安优选回报混合A 3.1570 3.4070 3.1490 3.3990 0.0080 0.25%
2026-06-30 001743 诺安优选回报混合A 3.1490 3.3990 3.0310 3.2810 0.1180 3.89%
2026-06-29 001743 诺安优选回报混合A 3.0310 3.2810 3.0470 3.2970 -0.0160 -0.53%
2026-06-26 001743 诺安优选回报混合A 3.0470 3.2970 3.0890 3.3390 -0.0420 -1.36%
2026-06-25 001743 诺安优选回报混合A 3.0890 3.3390 3.1160 3.3660 -0.0270 -0.87%
2026-06-24 001743 诺安优选回报混合A 3.1160 3.3660 3.0690 3.3190 0.0470 1.53%
2026-06-23 001743 诺安优选回报混合A 3.0690 3.3190 3.0750 3.3250 -0.0060 -0.20%
2026-06-22 001743 诺安优选回报混合A 3.0750 3.3250 3.0560 3.3060 0.0190 0.62%
2026-06-18 001743 诺安优选回报混合A 3.0560 3.3060 2.9980 3.2480 0.0580 1.93%
2026-06-17 001743 诺安优选回报混合A 2.9980 3.2480 2.9940 3.2440 0.0040 0.13%
2026-06-16 001743 诺安优选回报混合A 2.9940 3.2440 2.9490 3.1990 0.0450 1.53%
2026-06-15 001743 诺安优选回报混合A 2.9490 3.1990 2.8400 3.0900 0.1090 3.84%
2026-06-12 001743 诺安优选回报混合A 2.8400 3.0900 2.8160 3.0660 0.0240 0.85%
2026-06-11 001743 诺安优选回报混合A 2.8160 3.0660 2.7840 3.0340 0.0320 1.15%
2026-06-10 001743 诺安优选回报混合A 2.7840 3.0340 2.8060 3.0560 -0.0220 -0.78%
2026-06-09 001743 诺安优选回报混合A 2.8060 3.0560 2.7350 2.9850 0.0710 2.60%
2026-06-08 001743 诺安优选回报混合A 2.7350 2.9850 2.8180 3.0680 -0.0830 -2.95%
2026-06-05 001743 诺安优选回报混合A 2.8180 3.0680 2.8040 3.0540 0.0140 0.50%
2026-06-04 001743 诺安优选回报混合A 2.8040 3.0540 2.8350 3.0850 -0.0310 -1.09%
2026-06-03 001743 诺安优选回报混合A 2.8350 3.0850 2.7940 3.0440 0.0410 1.47%
2026-06-02 001743 诺安优选回报混合A 2.7940 3.0440 2.7500 3.0000 0.0440 1.60%
2026-06-01 001743 诺安优选回报混合A 2.7500 3.0000 2.8080 3.0580 -0.0580 -2.07%
2026-05-29 001743 诺安优选回报混合A 2.8080 3.0580 2.9350 3.1850 -0.1270 -4.52%
2026-05-28 001743 诺安优选回报混合A 2.9350 3.1850 2.9020 3.1520 0.0330 1.14%
2026-05-27 001743 诺安优选回报混合A 2.9020 3.1520 2.9410 3.1910 -0.0390 -1.33%
2026-05-26 001743 诺安优选回报混合A 2.9410 3.1910 2.9860 3.2360 -0.0450 -1.51%
2026-05-25 001743 诺安优选回报混合A 2.9860 3.2360 2.9580 3.2080 0.0280 0.95%
2026-05-22 001743 诺安优选回报混合A 2.9580 3.2080 2.9140 3.1640 0.0440 1.51%
2026-05-21 001743 诺安优选回报混合A 2.9140 3.1640 3.0330 3.2830 -0.1190 -3.92%
2026-05-20 001743 诺安优选回报混合A 3.0330 3.2830 2.9970 3.2470 0.0360 1.20%
2026-05-19 001743 诺安优选回报混合A 2.9970 3.2470 2.9450 3.1950 0.0520 1.77%
2026-05-18 001743 诺安优选回报混合A 2.9450 3.1950 2.9630 3.2130 -0.0180 -0.61%
2026-05-15 001743 诺安优选回报混合A 2.9630 3.2130 2.9700 3.2200 -0.0070 -0.24%
2026-05-14 001743 诺安优选回报混合A 2.9700 3.2200 3.0040 3.2540 -0.0340 -1.13%
2026-05-13 001743 诺安优选回报混合A 3.0040 3.2540 2.9630 3.2130 0.0410 1.38%
2026-05-12 001743 诺安优选回报混合A 2.9630 3.2130 2.9680 3.2180 -0.0050 -0.17%
2026-05-11 001743 诺安优选回报混合A 2.9680 3.2180 2.9090 3.1590 0.0590 2.03%
2026-05-08 001743 诺安优选回报混合A 2.9090 3.1590 2.9230 3.1730 -0.0140 -0.48%
2026-04-30 001743 诺安优选回报混合A 2.8530 3.1030 2.8260 3.0760 0.0270 0.96%
2026-04-29 001743 诺安优选回报混合A 2.8260 3.0760 2.8150 3.0650 0.0110 0.39%
2026-04-28 001743 诺安优选回报混合A 2.8150 3.0650 2.8200 3.0700 -0.0050 -0.18%
2026-04-27 001743 诺安优选回报混合A 2.8200 3.0700 2.7810 3.0310 0.0390 1.40%
2026-04-24 001743 诺安优选回报混合A 2.7810 3.0310 2.7630 3.0130 0.0180 0.65%
2026-04-23 001743 诺安优选回报混合A 2.7630 3.0130 2.7890 3.0390 -0.0260 -0.93%
2026-04-22 001743 诺安优选回报混合A 2.7890 3.0390 2.7500 3.0000 0.0390 1.42%
2026-04-21 001743 诺安优选回报混合A 2.7500 3.0000 2.7430 2.9930 0.0070 0.26%
2026-04-20 001743 诺安优选回报混合A 2.7430 2.9930 2.7270 2.9770 0.0160 0.59%
2026-04-17 001743 诺安优选回报混合A 2.7270 2.9770 2.7220 2.9720 0.0050 0.18%
2026-04-16 001743 诺安优选回报混合A 2.7220 2.9720 2.7030 2.9530 0.0190 0.70%
2026-04-15 001743 诺安优选回报混合A 2.7030 2.9530 2.7220 2.9720 -0.0190 -0.70%
2026-04-14 001743 诺安优选回报混合A 2.7220 2.9720 2.6750 2.9250 0.0470 1.76%
2026-04-13 001743 诺安优选回报混合A 2.6750 2.9250 2.6860 2.9360 -0.0110 -0.41%
2026-04-10 001743 诺安优选回报混合A 2.6860 2.9360 2.6460 2.8960 0.0400 1.51%
2026-04-09 001743 诺安优选回报混合A 2.6460 2.8960 2.6530 2.9030 -0.0070 -0.26%
2026-04-08 001743 诺安优选回报混合A 2.6530 2.9030 2.5470 2.7970 0.1060 4.16%
2026-04-07 001743 诺安优选回报混合A 2.5470 2.7970 2.5300 2.7800 0.0170 0.67%
2026-04-03 001743 诺安优选回报混合A 2.5300 2.7800 2.5360 2.7860 -0.0060 -0.24%
2026-04-02 001743 诺安优选回报混合A 2.5360 2.7860 2.5660 2.8160 -0.0300 -1.17%
2026-04-01 001743 诺安优选回报混合A 2.5660 2.8160 2.5030 2.7530 0.0630 2.52%
2026-03-31 001743 诺安优选回报混合A 2.5030 2.7530 2.5440 2.7940 -0.0410 -1.61%
2026-03-30 001743 诺安优选回报混合A 2.5440 2.7940 2.5600 2.8100 -0.0160 -0.62%
2026-03-27 001743 诺安优选回报混合A 2.5600 2.8100 2.5110 2.7610 0.0490 1.95%
2026-03-26 001743 诺安优选回报混合A 2.5110 2.7610 2.5470 2.7970 -0.0360 -1.41%
2026-03-25 001743 诺安优选回报混合A 2.5470 2.7970 2.4910 2.7410 0.0560 2.25%
2026-03-24 001743 诺安优选回报混合A 2.4910 2.7410 2.4560 2.7060 0.0350 1.43%
2026-03-23 001743 诺安优选回报混合A 2.4560 2.7060 2.5510 2.8010 -0.0950 -3.72%
2026-03-20 001743 诺安优选回报混合A 2.5510 2.8010 2.5870 2.8370 -0.0360 -1.39%
2026-03-19 001743 诺安优选回报混合A 2.5870 2.8370 2.6790 2.9290 -0.0920 -3.56%
诺安基金旗下基金涨幅榜
基金名称 单位净值 日增长率
诺安回报A 2.5390 2.79%
诺安研究优选混合A 1.8496 2.66%
诺安优选回报混合A 2.8460 2.63%
诺安进取回报混合A 2.1210 2.61%
诺安平衡混合A 1.8994 2.51%
诺安先锋混合A 3.8471 2.47%
创业板增强LOF 2.4221 2.46%
诺安精选回报混合A 1.8690 2.30%
诺安研究精选股票A 1.9350 2.27%
诺安创新A 2.8600 2.22%
混合型-灵活基金涨幅榜
基金名称 单位净值 日增长率
银华战略 2.5300 5.93%
泰信鑫选A 1.6820 5.45%
泰信鑫选C 1.6670 5.44%
南方中国梦灵活配置混合A 2.4279 5.13%
国泰新经济灵活配置混合A 5.1640 5.13%
南方中国梦灵活配置混合C 2.4014 5.13%
国泰新经济灵活配置混合C 5.0900 5.12%
新华鑫科技3个月滚动持有C 1.8110 4.96%
新华鑫科技3个月滚动持有A 1.8598 4.95%
融通通鑫灵活配置混合A 3.2170 4.69%