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建信福泽裕泰混合(FOF)A基金净值查询(005925)

今天最新净值 1.4548 0.0006 0.04% 2026-09-16
盘中实时估值(仅供参考) % 2026-03-24 15:39:58
  • 累计净值:1.4548
  • 成立日期:2019-06-05
  • 基金类型:FOF-进取型
  • 成立份额:
  • 最近份额:0.5306亿
  • 最近资产:0.29亿元
  • 基金公司:建信基金
  • 基金经理:孙悦萌
近半年建信福泽裕泰混合(FOF)A基金净值查询
基金历史净值按日期查询: -
近半年,建信福泽裕泰混合(FOF)A(005925)基金累计收益率-4.47%
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 005925 建信福泽裕泰混合(FOF)A 1.4806 1.4806 1.4548 1.4548 0.0258 1.74%
2026-09-15 005925 建信福泽裕泰混合(FOF)A 1.4548 1.4548 1.4542 1.4542 0.0006 0.04%
2026-09-14 005925 建信福泽裕泰混合(FOF)A 1.4542 1.4542 1.4599 1.4599 -0.0057 -0.39%
2026-09-11 005925 建信福泽裕泰混合(FOF)A 1.4599 1.4599 1.4713 1.4713 -0.0114 -0.78%
2026-09-10 005925 建信福泽裕泰混合(FOF)A 1.4713 1.4713 1.4797 1.4797 -0.0084 -0.57%
2026-09-09 005925 建信福泽裕泰混合(FOF)A 1.4797 1.4797 1.4768 1.4768 0.0029 0.20%
2026-09-08 005925 建信福泽裕泰混合(FOF)A 1.4768 1.4768 1.4785 1.4785 -0.0017 -0.11%
2026-09-07 005925 建信福泽裕泰混合(FOF)A 1.4785 1.4785 1.4480 1.4480 0.0305 2.06%
2026-09-04 005925 建信福泽裕泰混合(FOF)A 1.4480 1.4480 1.4616 1.4616 -0.0136 -0.93%
2026-09-03 005925 建信福泽裕泰混合(FOF)A 1.4616 1.4616 1.4599 1.4599 0.0017 0.12%
2026-09-02 005925 建信福泽裕泰混合(FOF)A 1.4599 1.4599 1.4788 1.4788 -0.0189 -1.29%
2026-09-01 005925 建信福泽裕泰混合(FOF)A 1.4788 1.4788 1.4998 1.4998 -0.0210 -1.42%
2026-08-31 005925 建信福泽裕泰混合(FOF)A 1.4998 1.4998 1.4911 1.4911 0.0087 0.58%
2026-08-28 005925 建信福泽裕泰混合(FOF)A 1.4911 1.4911 1.5032 1.5032 -0.0121 -0.81%
2026-08-27 005925 建信福泽裕泰混合(FOF)A 1.5032 1.5032 1.4790 1.4790 0.0242 1.61%
2026-08-26 005925 建信福泽裕泰混合(FOF)A 1.4790 1.4790 1.4719 1.4719 0.0071 0.48%
2026-08-25 005925 建信福泽裕泰混合(FOF)A 1.4719 1.4719 1.4727 1.4727 -0.0008 -0.05%
2026-08-24 005925 建信福泽裕泰混合(FOF)A 1.4727 1.4727 1.4948 1.4948 -0.0221 -1.50%
2026-08-21 005925 建信福泽裕泰混合(FOF)A 1.4948 1.4948 1.4884 1.4884 0.0064 0.43%
2026-08-20 005925 建信福泽裕泰混合(FOF)A 1.4884 1.4884 1.4786 1.4786 0.0098 0.66%
2026-08-19 005925 建信福泽裕泰混合(FOF)A 1.4786 1.4786 1.5275 1.5275 -0.0489 -3.31%
2026-08-18 005925 建信福泽裕泰混合(FOF)A 1.5275 1.5275 1.5303 1.5303 -0.0028 -0.18%
2026-08-17 005925 建信福泽裕泰混合(FOF)A 1.5303 1.5303 1.5050 1.5050 0.0253 1.65%
2026-08-14 005925 建信福泽裕泰混合(FOF)A 1.5050 1.5050 1.4973 1.4973 0.0077 0.51%
2026-08-13 005925 建信福泽裕泰混合(FOF)A 1.4973 1.4973 1.5078 1.5078 -0.0105 -0.70%
2026-08-12 005925 建信福泽裕泰混合(FOF)A 1.5078 1.5078 1.4972 1.4972 0.0106 0.71%
2026-08-11 005925 建信福泽裕泰混合(FOF)A 1.4972 1.4972 1.5035 1.5035 -0.0063 -0.42%
2026-08-10 005925 建信福泽裕泰混合(FOF)A 1.5035 1.5035 1.4949 1.4949 0.0086 0.58%
2026-08-07 005925 建信福泽裕泰混合(FOF)A 1.4949 1.4949 1.4733 1.4733 0.0216 1.44%
2026-08-06 005925 建信福泽裕泰混合(FOF)A 1.4733 1.4733 1.4671 1.4671 0.0062 0.42%
2026-08-05 005925 建信福泽裕泰混合(FOF)A 1.4671 1.4671 1.4466 1.4466 0.0205 1.40%
2026-08-04 005925 建信福泽裕泰混合(FOF)A 1.4466 1.4466 1.4167 1.4167 0.0299 2.07%
2026-08-03 005925 建信福泽裕泰混合(FOF)A 1.4167 1.4167 1.4321 1.4321 -0.0154 -1.08%
2026-07-31 005925 建信福泽裕泰混合(FOF)A 1.4321 1.4321 1.4134 1.4134 0.0187 1.31%
2026-07-30 005925 建信福泽裕泰混合(FOF)A 1.4134 1.4134 1.4429 1.4429 -0.0295 -2.09%
2026-07-29 005925 建信福泽裕泰混合(FOF)A 1.4429 1.4429 1.4286 1.4286 0.0143 1.00%
2026-07-28 005925 建信福泽裕泰混合(FOF)A 1.4286 1.4286 1.4780 1.4780 -0.0494 -3.46%
2026-07-27 005925 建信福泽裕泰混合(FOF)A 1.4780 1.4780 1.4485 1.4485 0.0295 2.00%
2026-07-24 005925 建信福泽裕泰混合(FOF)A 1.4485 1.4485 1.4757 1.4757 -0.0272 -1.88%
2026-07-23 005925 建信福泽裕泰混合(FOF)A 1.4757 1.4757 1.4749 1.4749 0.0008 0.05%
2026-07-22 005925 建信福泽裕泰混合(FOF)A 1.4749 1.4749 1.4891 1.4891 -0.0142 -0.96%
2026-07-21 005925 建信福泽裕泰混合(FOF)A 1.4891 1.4891 1.4466 1.4466 0.0425 2.85%
2026-07-20 005925 建信福泽裕泰混合(FOF)A 1.4466 1.4466 1.4457 1.4457 0.0009 0.06%
2026-07-17 005925 建信福泽裕泰混合(FOF)A 1.4457 1.4457 1.5063 1.5063 -0.0606 -4.19%
2026-07-16 005925 建信福泽裕泰混合(FOF)A 1.5063 1.5063 1.5303 1.5303 -0.0240 -1.59%
2026-07-15 005925 建信福泽裕泰混合(FOF)A 1.5303 1.5303 1.5319 1.5319 -0.0016 -0.10%
2026-07-14 005925 建信福泽裕泰混合(FOF)A 1.5319 1.5319 1.5021 1.5021 0.0298 1.95%
2026-07-13 005925 建信福泽裕泰混合(FOF)A 1.5021 1.5021 1.5361 1.5361 -0.0340 -2.26%
2026-07-10 005925 建信福泽裕泰混合(FOF)A 1.5361 1.5361 1.5565 1.5565 -0.0204 -1.33%
2026-07-09 005925 建信福泽裕泰混合(FOF)A 1.5565 1.5565 1.5319 1.5319 0.0246 1.58%
2026-07-08 005925 建信福泽裕泰混合(FOF)A 1.5319 1.5319 1.5441 1.5441 -0.0122 -0.79%
2026-07-07 005925 建信福泽裕泰混合(FOF)A 1.5441 1.5441 1.5652 1.5652 -0.0211 -1.37%
2026-07-06 005925 建信福泽裕泰混合(FOF)A 1.5652 1.5652 1.5738 1.5738 -0.0086 -0.55%
2026-07-03 005925 建信福泽裕泰混合(FOF)A 1.5738 1.5738 1.5682 1.5682 0.0056 0.36%
2026-07-02 005925 建信福泽裕泰混合(FOF)A 1.5682 1.5682 1.6115 1.6115 -0.0433 -2.76%
2026-07-01 005925 建信福泽裕泰混合(FOF)A 1.6115 1.6115 1.6173 1.6173 -0.0058 -0.36%
2026-06-30 005925 建信福泽裕泰混合(FOF)A 1.6173 1.6173 1.5977 1.5977 0.0196 1.21%
2026-06-29 005925 建信福泽裕泰混合(FOF)A 1.5977 1.5977 1.5852 1.5852 0.0125 0.79%
2026-06-26 005925 建信福泽裕泰混合(FOF)A 1.5852 1.5852 1.6219 1.6219 -0.0367 -2.32%
2026-06-25 005925 建信福泽裕泰混合(FOF)A 1.6219 1.6219 1.5981 1.5981 0.0238 1.47%
2026-06-24 005925 建信福泽裕泰混合(FOF)A 1.5981 1.5981 1.5803 1.5803 0.0178 1.11%
2026-06-23 005925 建信福泽裕泰混合(FOF)A 1.5803 1.5803 1.6170 1.6170 -0.0367 -2.32%
2026-06-22 005925 建信福泽裕泰混合(FOF)A 1.6170 1.6170 1.5901 1.5901 0.0269 1.66%
2026-06-18 005925 建信福泽裕泰混合(FOF)A 1.5901 1.5901 1.5843 1.5843 0.0058 0.37%
2026-06-17 005925 建信福泽裕泰混合(FOF)A 1.5843 1.5843 1.5706 1.5706 0.0137 0.87%
2026-06-16 005925 建信福泽裕泰混合(FOF)A 1.5706 1.5706 1.5643 1.5643 0.0063 0.40%
2026-06-15 005925 建信福泽裕泰混合(FOF)A 1.5643 1.5643 1.5291 1.5291 0.0352 2.25%
2026-06-12 005925 建信福泽裕泰混合(FOF)A 1.5291 1.5291 1.5192 1.5192 0.0099 0.65%
2026-06-11 005925 建信福泽裕泰混合(FOF)A 1.5192 1.5192 1.5209 1.5209 -0.0017 -0.11%
2026-06-10 005925 建信福泽裕泰混合(FOF)A 1.5209 1.5209 1.5412 1.5412 -0.0203 -1.33%
2026-06-09 005925 建信福泽裕泰混合(FOF)A 1.5412 1.5412 1.5109 1.5109 0.0303 1.97%
2026-06-08 005925 建信福泽裕泰混合(FOF)A 1.5109 1.5109 1.5460 1.5460 -0.0351 -2.32%
2026-06-05 005925 建信福泽裕泰混合(FOF)A 1.5460 1.5460 1.5723 1.5723 -0.0263 -1.70%
2026-06-04 005925 建信福泽裕泰混合(FOF)A 1.5723 1.5723 1.5702 1.5702 0.0021 0.13%
2026-06-03 005925 建信福泽裕泰混合(FOF)A 1.5702 1.5702 1.5548 1.5548 0.0154 0.99%
2026-06-02 005925 建信福泽裕泰混合(FOF)A 1.5548 1.5548 1.5339 1.5339 0.0209 1.34%
2026-06-01 005925 建信福泽裕泰混合(FOF)A 1.5339 1.5339 1.5535 1.5535 -0.0196 -1.28%
2026-05-29 005925 建信福泽裕泰混合(FOF)A 1.5535 1.5535 1.5764 1.5764 -0.0229 -1.47%
2026-05-28 005925 建信福泽裕泰混合(FOF)A 1.5764 1.5764 1.5603 1.5603 0.0161 1.03%
2026-05-27 005925 建信福泽裕泰混合(FOF)A 1.5603 1.5603 1.5756 1.5756 -0.0153 -0.98%
2026-05-26 005925 建信福泽裕泰混合(FOF)A 1.5756 1.5756 1.5800 1.5800 -0.0044 -0.28%
2026-05-25 005925 建信福泽裕泰混合(FOF)A 1.5800 1.5800 1.5572 1.5572 0.0228 1.44%
2026-05-22 005925 建信福泽裕泰混合(FOF)A 1.5572 1.5572 1.5287 1.5287 0.0285 1.83%
2026-05-21 005925 建信福泽裕泰混合(FOF)A 1.5287 1.5287 1.5668 1.5668 -0.0381 -2.49%
2026-05-20 005925 建信福泽裕泰混合(FOF)A 1.5668 1.5668 1.5534 1.5534 0.0134 0.86%
2026-05-19 005925 建信福泽裕泰混合(FOF)A 1.5534 1.5534 1.5447 1.5447 0.0087 0.56%
2026-05-18 005925 建信福泽裕泰混合(FOF)A 1.5447 1.5447 1.5441 1.5441 0.0006 0.04%
2026-05-15 005925 建信福泽裕泰混合(FOF)A 1.5441 1.5441 1.5600 1.5600 -0.0159 -1.02%
2026-05-14 005925 建信福泽裕泰混合(FOF)A 1.5600 1.5600 1.5889 1.5889 -0.0289 -1.85%
2026-05-13 005925 建信福泽裕泰混合(FOF)A 1.5889 1.5889 1.5748 1.5748 0.0141 0.89%
2026-05-12 005925 建信福泽裕泰混合(FOF)A 1.5748 1.5748 1.5750 1.5750 -0.0002 -0.01%
2026-05-11 005925 建信福泽裕泰混合(FOF)A 1.5750 1.5750 1.5525 1.5525 0.0225 1.43%
2026-05-08 005925 建信福泽裕泰混合(FOF)A 1.5525 1.5525 1.5611 1.5611 -0.0086 -0.55%
2026-05-07 005925 建信福泽裕泰混合(FOF)A 1.5611 1.5611 1.5516 1.5516 0.0095 0.61%
2026-04-29 005925 建信福泽裕泰混合(FOF)A 1.5204 1.5204 1.4995 1.4995 0.0209 1.37%
2026-04-28 005925 建信福泽裕泰混合(FOF)A 1.4995 1.4995 1.5072 1.5072 -0.0077 -0.51%
2026-04-27 005925 建信福泽裕泰混合(FOF)A 1.5072 1.5072 1.5015 1.5015 0.0057 0.38%
2026-04-24 005925 建信福泽裕泰混合(FOF)A 1.5015 1.5015 1.5029 1.5029 -0.0014 -0.09%
2026-04-23 005925 建信福泽裕泰混合(FOF)A 1.5029 1.5029 1.5166 1.5166 -0.0137 -0.91%
2026-04-22 005925 建信福泽裕泰混合(FOF)A 1.5166 1.5166 1.5022 1.5022 0.0144 0.95%
2026-04-21 005925 建信福泽裕泰混合(FOF)A 1.5022 1.5022 1.5017 1.5017 0.0005 0.03%
2026-04-20 005925 建信福泽裕泰混合(FOF)A 1.5017 1.5017 1.4975 1.4975 0.0042 0.28%
2026-04-17 005925 建信福泽裕泰混合(FOF)A 1.4975 1.4975 1.4962 1.4962 0.0013 0.09%
2026-04-16 005925 建信福泽裕泰混合(FOF)A 1.4962 1.4962 1.4823 1.4823 0.0139 0.93%
2026-04-15 005925 建信福泽裕泰混合(FOF)A 1.4823 1.4823 1.4873 1.4873 -0.0050 -0.34%
2026-04-14 005925 建信福泽裕泰混合(FOF)A 1.4873 1.4873 1.4746 1.4746 0.0127 0.86%
2026-04-13 005925 建信福泽裕泰混合(FOF)A 1.4746 1.4746 1.4749 1.4749 -0.0003 -0.02%
2026-04-10 005925 建信福泽裕泰混合(FOF)A 1.4749 1.4749 1.4663 1.4663 0.0086 0.59%
2026-04-09 005925 建信福泽裕泰混合(FOF)A 1.4663 1.4663 1.4719 1.4719 -0.0056 -0.38%
2026-04-08 005925 建信福泽裕泰混合(FOF)A 1.4719 1.4719 1.4424 1.4424 0.0295 2.00%
2026-04-07 005925 建信福泽裕泰混合(FOF)A 1.4424 1.4424 1.4377 1.4377 0.0047 0.33%
2026-04-03 005925 建信福泽裕泰混合(FOF)A 1.4377 1.4377 1.4467 1.4467 -0.0090 -0.62%
2026-04-02 005925 建信福泽裕泰混合(FOF)A 1.4467 1.4467 1.4554 1.4554 -0.0087 -0.60%
2026-04-01 005925 建信福泽裕泰混合(FOF)A 1.4554 1.4554 1.4360 1.4360 0.0194 1.33%
2026-03-31 005925 建信福泽裕泰混合(FOF)A 1.4360 1.4360 1.4528 1.4528 -0.0168 -1.16%
2026-03-30 005925 建信福泽裕泰混合(FOF)A 1.4528 1.4528 1.4511 1.4511 0.0017 0.12%
2026-03-27 005925 建信福泽裕泰混合(FOF)A 1.4511 1.4511 1.4403 1.4403 0.0108 0.75%
2026-03-26 005925 建信福泽裕泰混合(FOF)A 1.4403 1.4403 1.4557 1.4557 -0.0154 -1.06%
2026-03-25 005925 建信福泽裕泰混合(FOF)A 1.4557 1.4557 1.4401 1.4401 0.0156 1.08%
2026-03-24 005925 建信福泽裕泰混合(FOF)A 1.4401 1.4401 1.4164 1.4164 0.0237 1.65%
2026-03-23 005925 建信福泽裕泰混合(FOF)A 1.4164 1.4164 1.4600 1.4600 -0.0436 -3.08%
2026-03-20 005925 建信福泽裕泰混合(FOF)A 1.4600 1.4600 1.4729 1.4729 -0.0129 -0.88%
2026-03-19 005925 建信福泽裕泰混合(FOF)A 1.4729 1.4729 1.5049 1.5049 -0.0320 -2.17%
FOF-进取型基金涨幅榜
基金名称 单位净值 日增长率
国泰行业轮动股票(FOF-LOF)C 0.9537 1.95%
行业轮动 0.9700 1.94%
工银睿智进取股票(FOF-LOF)C 0.9141 1.72%
睿智FOF 0.9319 1.72%
华夏行业配置股票(FOF)C 1.0205 1.63%
行业FOF 1.0389 1.63%
招商智享优选3个月持有混合发起(ETF-FOF)C 1.0318 1.55%
富国智鑫行业精选股票(FOF-LOF)C 0.8918 1.54%
招商智享优选3个月持有混合发起(ETF-FOF)A 1.0337 1.54%
行业精选 0.9089 1.53%