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兴业聚申一年持有期混合C基金净值查询(010782)

今天最新净值 1.1590 0.0006 0.05% 2026-09-16
盘中实时估值(仅供参考) 1.0968 0.0006 0.0505% 2026-03-24 15:39:58
  • 累计净值:1.1590
  • 成立日期:2020-12-23
  • 基金类型:混合型-偏债
  • 成立份额:
  • 最近份额:1.2329亿
  • 最近资产:1.27亿
  • 基金公司:兴业基金
  • 基金经理:腊博
近一年兴业聚申一年持有期混合C基金净值查询
基金历史净值按日期查询: -
近一年,兴业聚申一年持有期混合C(010782)基金累计收益率8.77%
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 010782 兴业聚申一年持有期混合C 1.1632 1.1632 1.1590 1.1590 0.0042 0.36%
2026-09-15 010782 兴业聚申一年持有期混合C 1.1590 1.1590 1.1584 1.1584 0.0006 0.05%
2026-09-14 010782 兴业聚申一年持有期混合C 1.1584 1.1584 1.1614 1.1614 -0.0030 -0.26%
2026-09-11 010782 兴业聚申一年持有期混合C 1.1614 1.1614 1.1658 1.1658 -0.0044 -0.38%
2026-09-10 010782 兴业聚申一年持有期混合C 1.1658 1.1658 1.1674 1.1674 -0.0016 -0.14%
2026-09-09 010782 兴业聚申一年持有期混合C 1.1674 1.1674 1.1686 1.1686 -0.0012 -0.10%
2026-09-08 010782 兴业聚申一年持有期混合C 1.1686 1.1686 1.1683 1.1683 0.0003 0.03%
2026-09-07 010782 兴业聚申一年持有期混合C 1.1683 1.1683 1.1635 1.1635 0.0048 0.41%
2026-09-04 010782 兴业聚申一年持有期混合C 1.1635 1.1635 1.1661 1.1661 -0.0026 -0.22%
2026-09-03 010782 兴业聚申一年持有期混合C 1.1661 1.1661 1.1658 1.1658 0.0003 0.03%
2026-09-02 010782 兴业聚申一年持有期混合C 1.1658 1.1658 1.1690 1.1690 -0.0032 -0.27%
2026-09-01 010782 兴业聚申一年持有期混合C 1.1690 1.1690 1.1703 1.1703 -0.0013 -0.11%
2026-08-31 010782 兴业聚申一年持有期混合C 1.1703 1.1703 1.1675 1.1675 0.0028 0.24%
2026-08-28 010782 兴业聚申一年持有期混合C 1.1675 1.1675 1.1717 1.1717 -0.0042 -0.36%
2026-08-27 010782 兴业聚申一年持有期混合C 1.1717 1.1717 1.1681 1.1681 0.0036 0.31%
2026-08-26 010782 兴业聚申一年持有期混合C 1.1681 1.1681 1.1663 1.1663 0.0018 0.15%
2026-08-25 010782 兴业聚申一年持有期混合C 1.1663 1.1663 1.1677 1.1677 -0.0014 -0.12%
2026-08-24 010782 兴业聚申一年持有期混合C 1.1677 1.1677 1.1710 1.1710 -0.0033 -0.28%
2026-08-21 010782 兴业聚申一年持有期混合C 1.1710 1.1710 1.1714 1.1714 -0.0004 -0.03%
2026-08-20 010782 兴业聚申一年持有期混合C 1.1714 1.1714 1.1720 1.1720 -0.0006 -0.05%
2026-08-19 010782 兴业聚申一年持有期混合C 1.1720 1.1720 1.1855 1.1855 -0.0135 -1.14%
2026-08-18 010782 兴业聚申一年持有期混合C 1.1855 1.1855 1.1864 1.1864 -0.0009 -0.08%
2026-08-17 010782 兴业聚申一年持有期混合C 1.1864 1.1864 1.1799 1.1799 0.0065 0.55%
2026-08-14 010782 兴业聚申一年持有期混合C 1.1799 1.1799 1.1812 1.1812 -0.0013 -0.11%
2026-08-13 010782 兴业聚申一年持有期混合C 1.1812 1.1812 1.1814 1.1814 -0.0002 -0.02%
2026-08-12 010782 兴业聚申一年持有期混合C 1.1814 1.1814 1.1808 1.1808 0.0006 0.05%
2026-08-11 010782 兴业聚申一年持有期混合C 1.1808 1.1808 1.1815 1.1815 -0.0007 -0.06%
2026-08-10 010782 兴业聚申一年持有期混合C 1.1815 1.1815 1.1786 1.1786 0.0029 0.25%
2026-08-07 010782 兴业聚申一年持有期混合C 1.1786 1.1786 1.1709 1.1709 0.0077 0.66%
2026-08-06 010782 兴业聚申一年持有期混合C 1.1709 1.1709 1.1712 1.1712 -0.0003 -0.03%
2026-08-05 010782 兴业聚申一年持有期混合C 1.1712 1.1712 1.1639 1.1639 0.0073 0.63%
2026-08-04 010782 兴业聚申一年持有期混合C 1.1639 1.1639 1.1558 1.1558 0.0081 0.70%
2026-08-03 010782 兴业聚申一年持有期混合C 1.1558 1.1558 1.1616 1.1616 -0.0058 -0.50%
2026-07-31 010782 兴业聚申一年持有期混合C 1.1616 1.1616 1.1553 1.1553 0.0063 0.55%
2026-07-30 010782 兴业聚申一年持有期混合C 1.1553 1.1553 1.1638 1.1638 -0.0085 -0.73%
2026-07-29 010782 兴业聚申一年持有期混合C 1.1638 1.1638 1.1618 1.1618 0.0020 0.17%
2026-07-28 010782 兴业聚申一年持有期混合C 1.1618 1.1618 1.1733 1.1733 -0.0115 -0.98%
2026-07-27 010782 兴业聚申一年持有期混合C 1.1733 1.1733 1.1700 1.1700 0.0033 0.28%
2026-07-24 010782 兴业聚申一年持有期混合C 1.1700 1.1700 1.1705 1.1705 -0.0005 -0.04%
2026-07-23 010782 兴业聚申一年持有期混合C 1.1705 1.1705 1.1764 1.1764 -0.0059 -0.50%
2026-07-22 010782 兴业聚申一年持有期混合C 1.1764 1.1764 1.1730 1.1730 0.0034 0.29%
2026-07-21 010782 兴业聚申一年持有期混合C 1.1730 1.1730 1.1607 1.1607 0.0123 1.06%
2026-07-20 010782 兴业聚申一年持有期混合C 1.1607 1.1607 1.1595 1.1595 0.0012 0.10%
2026-07-17 010782 兴业聚申一年持有期混合C 1.1595 1.1595 1.1725 1.1725 -0.0130 -1.11%
2026-07-16 010782 兴业聚申一年持有期混合C 1.1725 1.1725 1.1764 1.1764 -0.0039 -0.33%
2026-07-15 010782 兴业聚申一年持有期混合C 1.1764 1.1764 1.1801 1.1801 -0.0037 -0.31%
2026-07-14 010782 兴业聚申一年持有期混合C 1.1801 1.1801 1.1773 1.1773 0.0028 0.24%
2026-07-13 010782 兴业聚申一年持有期混合C 1.1773 1.1773 1.1834 1.1834 -0.0061 -0.52%
2026-07-10 010782 兴业聚申一年持有期混合C 1.1834 1.1834 1.1863 1.1863 -0.0029 -0.24%
2026-07-09 010782 兴业聚申一年持有期混合C 1.1863 1.1863 1.1763 1.1763 0.0100 0.85%
2026-07-08 010782 兴业聚申一年持有期混合C 1.1763 1.1763 1.1786 1.1786 -0.0023 -0.20%
2026-07-07 010782 兴业聚申一年持有期混合C 1.1786 1.1786 1.1821 1.1821 -0.0035 -0.30%
2026-07-06 010782 兴业聚申一年持有期混合C 1.1821 1.1821 1.1819 1.1819 0.0002 0.02%
2026-07-03 010782 兴业聚申一年持有期混合C 1.1819 1.1819 1.1805 1.1805 0.0014 0.12%
2026-07-02 010782 兴业聚申一年持有期混合C 1.1805 1.1805 1.1920 1.1920 -0.0115 -0.96%
2026-07-01 010782 兴业聚申一年持有期混合C 1.1920 1.1920 1.1925 1.1925 -0.0005 -0.04%
2026-06-30 010782 兴业聚申一年持有期混合C 1.1925 1.1925 1.1897 1.1897 0.0028 0.24%
2026-06-29 010782 兴业聚申一年持有期混合C 1.1897 1.1897 1.1834 1.1834 0.0063 0.53%
2026-06-26 010782 兴业聚申一年持有期混合C 1.1834 1.1834 1.1904 1.1904 -0.0070 -0.59%
2026-06-25 010782 兴业聚申一年持有期混合C 1.1904 1.1904 1.1844 1.1844 0.0060 0.51%
2026-06-24 010782 兴业聚申一年持有期混合C 1.1844 1.1844 1.1794 1.1794 0.0050 0.42%
2026-06-23 010782 兴业聚申一年持有期混合C 1.1794 1.1794 1.1821 1.1821 -0.0027 -0.23%
2026-06-22 010782 兴业聚申一年持有期混合C 1.1821 1.1821 1.1742 1.1742 0.0079 0.67%
2026-06-18 010782 兴业聚申一年持有期混合C 1.1742 1.1742 1.1715 1.1715 0.0027 0.23%
2026-06-17 010782 兴业聚申一年持有期混合C 1.1715 1.1715 1.1652 1.1652 0.0063 0.54%
2026-06-16 010782 兴业聚申一年持有期混合C 1.1652 1.1652 1.1628 1.1628 0.0024 0.21%
2026-06-15 010782 兴业聚申一年持有期混合C 1.1628 1.1628 1.1538 1.1538 0.0090 0.78%
2026-06-12 010782 兴业聚申一年持有期混合C 1.1538 1.1538 1.1514 1.1514 0.0024 0.21%
2026-06-11 010782 兴业聚申一年持有期混合C 1.1514 1.1514 1.1511 1.1511 0.0003 0.03%
2026-06-10 010782 兴业聚申一年持有期混合C 1.1511 1.1511 1.1550 1.1550 -0.0039 -0.34%
2026-06-09 010782 兴业聚申一年持有期混合C 1.1550 1.1550 1.1466 1.1466 0.0084 0.73%
2026-06-08 010782 兴业聚申一年持有期混合C 1.1466 1.1466 1.1513 1.1513 -0.0047 -0.41%
2026-06-05 010782 兴业聚申一年持有期混合C 1.1513 1.1513 1.1600 1.1600 -0.0087 -0.75%
2026-06-04 010782 兴业聚申一年持有期混合C 1.1600 1.1600 1.1582 1.1582 0.0018 0.16%
2026-06-03 010782 兴业聚申一年持有期混合C 1.1582 1.1582 1.1543 1.1543 0.0039 0.34%
2026-06-02 010782 兴业聚申一年持有期混合C 1.1543 1.1543 1.1461 1.1461 0.0082 0.72%
2026-06-01 010782 兴业聚申一年持有期混合C 1.1461 1.1461 1.1533 1.1533 -0.0072 -0.62%
2026-05-29 010782 兴业聚申一年持有期混合C 1.1533 1.1533 1.1545 1.1545 -0.0012 -0.10%
2026-05-28 010782 兴业聚申一年持有期混合C 1.1545 1.1545 1.1510 1.1510 0.0035 0.30%
2026-05-27 010782 兴业聚申一年持有期混合C 1.1510 1.1510 1.1565 1.1565 -0.0055 -0.48%
2026-05-26 010782 兴业聚申一年持有期混合C 1.1565 1.1565 1.1570 1.1570 -0.0005 -0.04%
2026-05-25 010782 兴业聚申一年持有期混合C 1.1570 1.1570 1.1481 1.1481 0.0089 0.78%
2026-05-22 010782 兴业聚申一年持有期混合C 1.1481 1.1481 1.1400 1.1400 0.0081 0.71%
2026-05-21 010782 兴业聚申一年持有期混合C 1.1400 1.1400 1.1470 1.1470 -0.0070 -0.61%
2026-05-20 010782 兴业聚申一年持有期混合C 1.1470 1.1470 1.1426 1.1426 0.0044 0.39%
2026-05-19 010782 兴业聚申一年持有期混合C 1.1426 1.1426 1.1379 1.1379 0.0047 0.41%
2026-05-18 010782 兴业聚申一年持有期混合C 1.1379 1.1379 1.1359 1.1359 0.0020 0.18%
2026-05-15 010782 兴业聚申一年持有期混合C 1.1359 1.1359 1.1392 1.1392 -0.0033 -0.29%
2026-05-14 010782 兴业聚申一年持有期混合C 1.1392 1.1392 1.1466 1.1466 -0.0074 -0.65%
2026-05-13 010782 兴业聚申一年持有期混合C 1.1466 1.1466 1.1419 1.1419 0.0047 0.41%
2026-05-12 010782 兴业聚申一年持有期混合C 1.1419 1.1419 1.1405 1.1405 0.0014 0.12%
2026-05-11 010782 兴业聚申一年持有期混合C 1.1405 1.1405 1.1302 1.1302 0.0103 0.91%
2026-05-08 010782 兴业聚申一年持有期混合C 1.1302 1.1302 1.1330 1.1330 -0.0028 -0.25%
2026-04-30 010782 兴业聚申一年持有期混合C 1.1227 1.1227 1.1226 1.1226 0.0001 0.01%
2026-04-29 010782 兴业聚申一年持有期混合C 1.1226 1.1226 1.1207 1.1207 0.0019 0.17%
2026-04-28 010782 兴业聚申一年持有期混合C 1.1207 1.1207 1.1209 1.1209 -0.0002 -0.02%
2026-04-27 010782 兴业聚申一年持有期混合C 1.1209 1.1209 1.1152 1.1152 0.0057 0.51%
2026-04-24 010782 兴业聚申一年持有期混合C 1.1152 1.1152 1.1166 1.1166 -0.0014 -0.13%
2026-04-23 010782 兴业聚申一年持有期混合C 1.1166 1.1166 1.1177 1.1177 -0.0011 -0.10%
2026-04-22 010782 兴业聚申一年持有期混合C 1.1177 1.1177 1.1124 1.1124 0.0053 0.48%
2026-04-21 010782 兴业聚申一年持有期混合C 1.1124 1.1124 1.1107 1.1107 0.0017 0.15%
2026-04-20 010782 兴业聚申一年持有期混合C 1.1107 1.1107 1.1063 1.1063 0.0044 0.40%
2026-04-17 010782 兴业聚申一年持有期混合C 1.1063 1.1063 1.1063 1.1063 0.0000 0.00%
2026-04-16 010782 兴业聚申一年持有期混合C 1.1063 1.1063 1.1033 1.1033 0.0030 0.27%
2026-04-15 010782 兴业聚申一年持有期混合C 1.1033 1.1033 1.1047 1.1047 -0.0014 -0.13%
2026-04-14 010782 兴业聚申一年持有期混合C 1.1047 1.1047 1.1004 1.1004 0.0043 0.39%
2026-04-13 010782 兴业聚申一年持有期混合C 1.1004 1.1004 1.1012 1.1012 -0.0008 -0.07%
2026-04-10 010782 兴业聚申一年持有期混合C 1.1012 1.1012 1.0997 1.0997 0.0015 0.14%
2026-04-09 010782 兴业聚申一年持有期混合C 1.0997 1.0997 1.0990 1.0990 0.0007 0.06%
2026-04-08 010782 兴业聚申一年持有期混合C 1.0990 1.0990 1.0887 1.0887 0.0103 0.95%
2026-04-07 010782 兴业聚申一年持有期混合C 1.0887 1.0887 1.0876 1.0876 0.0011 0.10%
2026-04-03 010782 兴业聚申一年持有期混合C 1.0876 1.0876 1.0892 1.0892 -0.0016 -0.15%
2026-04-02 010782 兴业聚申一年持有期混合C 1.0892 1.0892 1.0913 1.0913 -0.0021 -0.19%
2026-04-01 010782 兴业聚申一年持有期混合C 1.0913 1.0913 1.0906 1.0906 0.0007 0.06%
2026-03-31 010782 兴业聚申一年持有期混合C 1.0906 1.0906 1.0939 1.0939 -0.0033 -0.30%
2026-03-30 010782 兴业聚申一年持有期混合C 1.0939 1.0939 1.0932 1.0932 0.0007 0.06%
2026-03-27 010782 兴业聚申一年持有期混合C 1.0932 1.0932 1.0931 1.0931 0.0001 0.01%
2026-03-26 010782 兴业聚申一年持有期混合C 1.0931 1.0931 1.0955 1.0955 -0.0024 -0.22%
2026-03-25 010782 兴业聚申一年持有期混合C 1.0955 1.0955 1.0906 1.0906 0.0049 0.45%
2026-03-24 010782 兴业聚申一年持有期混合C 1.0906 1.0906 1.0863 1.0863 0.0043 0.40%
2026-03-23 010782 兴业聚申一年持有期混合C 1.0863 1.0863 1.0921 1.0921 -0.0058 -0.53%
2026-03-20 010782 兴业聚申一年持有期混合C 1.0921 1.0921 1.0933 1.0933 -0.0012 -0.11%
2026-03-19 010782 兴业聚申一年持有期混合C 1.0933 1.0933 1.0974 1.0974 -0.0041 -0.37%
2026-03-18 010782 兴业聚申一年持有期混合C 1.0974 1.0974 1.0962 1.0962 0.0012 0.11%
2026-03-17 010782 兴业聚申一年持有期混合C 1.0962 1.0962 1.0992 1.0992 -0.0030 -0.27%
2026-03-16 010782 兴业聚申一年持有期混合C 1.0992 1.0992 1.1026 1.1026 -0.0034 -0.31%
2026-03-13 010782 兴业聚申一年持有期混合C 1.1026 1.1026 1.1062 1.1062 -0.0036 -0.33%
2026-03-12 010782 兴业聚申一年持有期混合C 1.1062 1.1062 1.1058 1.1058 0.0004 0.04%
2026-03-11 010782 兴业聚申一年持有期混合C 1.1058 1.1058 1.1022 1.1022 0.0036 0.33%
2026-03-10 010782 兴业聚申一年持有期混合C 1.1022 1.1022 1.1001 1.1001 0.0021 0.19%
2026-03-09 010782 兴业聚申一年持有期混合C 1.1001 1.1001 1.1029 1.1029 -0.0028 -0.25%
2026-03-06 010782 兴业聚申一年持有期混合C 1.1029 1.1029 1.1023 1.1023 0.0006 0.05%
2026-03-05 010782 兴业聚申一年持有期混合C 1.1023 1.1023 1.0992 1.0992 0.0031 0.28%
2026-03-04 010782 兴业聚申一年持有期混合C 1.0992 1.0992 1.1008 1.1008 -0.0016 -0.15%
2026-03-03 010782 兴业聚申一年持有期混合C 1.1008 1.1008 1.1060 1.1060 -0.0052 -0.47%
2026-03-02 010782 兴业聚申一年持有期混合C 1.1060 1.1060 1.1043 1.1043 0.0017 0.15%
2026-02-27 010782 兴业聚申一年持有期混合C 1.1043 1.1043 1.1029 1.1029 0.0014 0.13%
2026-02-26 010782 兴业聚申一年持有期混合C 1.1029 1.1029 1.1020 1.1020 0.0009 0.08%
2026-02-25 010782 兴业聚申一年持有期混合C 1.1020 1.1020 1.1036 1.1036 -0.0016 -0.14%
2026-02-24 010782 兴业聚申一年持有期混合C 1.1036 1.1036 1.1019 1.1019 0.0017 0.15%
2026-02-13 010782 兴业聚申一年持有期混合C 1.1019 1.1019 1.1045 1.1045 -0.0026 -0.24%
2026-02-12 010782 兴业聚申一年持有期混合C 1.1045 1.1045 1.1023 1.1023 0.0022 0.20%
2026-02-11 010782 兴业聚申一年持有期混合C 1.1023 1.1023 1.1011 1.1011 0.0012 0.11%
2026-02-10 010782 兴业聚申一年持有期混合C 1.1011 1.1011 1.0984 1.0984 0.0027 0.25%
2026-02-09 010782 兴业聚申一年持有期混合C 1.0984 1.0984 1.0946 1.0946 0.0038 0.35%
2026-02-06 010782 兴业聚申一年持有期混合C 1.0946 1.0946 1.0931 1.0931 0.0015 0.14%
2026-02-05 010782 兴业聚申一年持有期混合C 1.0931 1.0931 1.0927 1.0927 0.0004 0.04%
2026-02-04 010782 兴业聚申一年持有期混合C 1.0927 1.0927 1.0916 1.0916 0.0011 0.10%
2026-02-03 010782 兴业聚申一年持有期混合C 1.0916 1.0916 1.0883 1.0883 0.0033 0.30%
2026-02-02 010782 兴业聚申一年持有期混合C 1.0883 1.0883 1.0972 1.0972 -0.0089 -0.81%
2026-01-30 010782 兴业聚申一年持有期混合C 1.0972 1.0972 1.0989 1.0989 -0.0017 -0.15%
2026-01-29 010782 兴业聚申一年持有期混合C 1.0989 1.0989 1.1012 1.1012 -0.0023 -0.21%
2026-01-28 010782 兴业聚申一年持有期混合C 1.1012 1.1012 1.1002 1.1002 0.0010 0.09%
2026-01-27 010782 兴业聚申一年持有期混合C 1.1002 1.1002 1.1002 1.1002 0.0000 0.00%
2026-01-26 010782 兴业聚申一年持有期混合C 1.1002 1.1002 1.1025 1.1025 -0.0023 -0.21%
2026-01-23 010782 兴业聚申一年持有期混合C 1.1025 1.1025 1.0997 1.0997 0.0028 0.25%
2026-01-22 010782 兴业聚申一年持有期混合C 1.0997 1.0997 1.1001 1.1001 -0.0004 -0.04%
2026-01-21 010782 兴业聚申一年持有期混合C 1.1001 1.1001 1.0977 1.0977 0.0024 0.22%
2026-01-20 010782 兴业聚申一年持有期混合C 1.0977 1.0977 1.0965 1.0965 0.0012 0.11%
2026-01-19 010782 兴业聚申一年持有期混合C 1.0965 1.0965 1.0961 1.0961 0.0004 0.04%
2026-01-16 010782 兴业聚申一年持有期混合C 1.0961 1.0961 1.0959 1.0959 0.0002 0.02%
2026-01-15 010782 兴业聚申一年持有期混合C 1.0959 1.0959 1.0948 1.0948 0.0011 0.10%
2026-01-14 010782 兴业聚申一年持有期混合C 1.0948 1.0948 1.0954 1.0954 -0.0006 -0.05%
2026-01-13 010782 兴业聚申一年持有期混合C 1.0954 1.0954 1.0982 1.0982 -0.0028 -0.25%
2026-01-12 010782 兴业聚申一年持有期混合C 1.0982 1.0982 1.0899 1.0899 0.0083 0.76%
2026-01-09 010782 兴业聚申一年持有期混合C 1.0899 1.0899 1.0861 1.0861 0.0038 0.35%
2026-01-08 010782 兴业聚申一年持有期混合C 1.0861 1.0861 1.0856 1.0856 0.0005 0.05%
2026-01-07 010782 兴业聚申一年持有期混合C 1.0856 1.0856 1.0882 1.0882 -0.0026 -0.24%
2026-01-06 010782 兴业聚申一年持有期混合C 1.0882 1.0882 1.0849 1.0849 0.0033 0.30%
2026-01-05 010782 兴业聚申一年持有期混合C 1.0849 1.0849 1.0779 1.0779 0.0070 0.65%
2025-12-31 010782 兴业聚申一年持有期混合C 1.0779 1.0779 1.0782 1.0782 -0.0003 -0.03%
2025-12-30 010782 兴业聚申一年持有期混合C 1.0782 1.0782 1.0755 1.0755 0.0027 0.25%
2025-12-29 010782 兴业聚申一年持有期混合C 1.0755 1.0755 1.0785 1.0785 -0.0030 -0.28%
2025-12-26 010782 兴业聚申一年持有期混合C 1.0785 1.0785 1.0797 1.0797 -0.0012 -0.11%
2025-12-25 010782 兴业聚申一年持有期混合C 1.0797 1.0797 1.0791 1.0791 0.0006 0.06%
2025-12-24 010782 兴业聚申一年持有期混合C 1.0791 1.0791 1.0777 1.0777 0.0014 0.13%
2025-12-23 010782 兴业聚申一年持有期混合C 1.0777 1.0777 1.0774 1.0774 0.0003 0.03%
2025-12-22 010782 兴业聚申一年持有期混合C 1.0774 1.0774 1.0775 1.0775 -0.0001 -0.01%
2025-12-19 010782 兴业聚申一年持有期混合C 1.0775 1.0775 1.0763 1.0763 0.0012 0.11%
2025-12-18 010782 兴业聚申一年持有期混合C 1.0763 1.0763 1.0771 1.0771 -0.0008 -0.07%
2025-12-17 010782 兴业聚申一年持有期混合C 1.0771 1.0771 1.0726 1.0726 0.0045 0.42%
2025-12-16 010782 兴业聚申一年持有期混合C 1.0726 1.0726 1.0751 1.0751 -0.0025 -0.23%
2025-12-15 010782 兴业聚申一年持有期混合C 1.0751 1.0751 1.0775 1.0775 -0.0024 -0.22%
2025-12-12 010782 兴业聚申一年持有期混合C 1.0775 1.0775 1.0748 1.0748 0.0027 0.25%
2025-12-11 010782 兴业聚申一年持有期混合C 1.0748 1.0748 1.0778 1.0778 -0.0030 -0.28%
2025-12-10 010782 兴业聚申一年持有期混合C 1.0778 1.0778 1.0771 1.0771 0.0007 0.06%
2025-12-09 010782 兴业聚申一年持有期混合C 1.0771 1.0771 1.0789 1.0789 -0.0018 -0.17%
2025-12-08 010782 兴业聚申一年持有期混合C 1.0789 1.0789 1.0777 1.0777 0.0012 0.11%
2025-12-05 010782 兴业聚申一年持有期混合C 1.0777 1.0777 1.0756 1.0756 0.0021 0.20%
2025-12-04 010782 兴业聚申一年持有期混合C 1.0756 1.0756 1.0760 1.0760 -0.0004 -0.04%
2025-12-03 010782 兴业聚申一年持有期混合C 1.0760 1.0760 1.0782 1.0782 -0.0022 -0.20%
2025-12-02 010782 兴业聚申一年持有期混合C 1.0782 1.0782 1.0809 1.0809 -0.0027 -0.25%
2025-12-01 010782 兴业聚申一年持有期混合C 1.0809 1.0809 1.0781 1.0781 0.0028 0.26%
2025-11-28 010782 兴业聚申一年持有期混合C 1.0781 1.0781 1.0745 1.0745 0.0036 0.34%
2025-11-27 010782 兴业聚申一年持有期混合C 1.0745 1.0745 1.0760 1.0760 -0.0015 -0.14%
2025-11-26 010782 兴业聚申一年持有期混合C 1.0760 1.0760 1.0762 1.0762 -0.0002 -0.02%
2025-11-25 010782 兴业聚申一年持有期混合C 1.0762 1.0762 1.0747 1.0747 0.0015 0.14%
2025-11-24 010782 兴业聚申一年持有期混合C 1.0747 1.0747 1.0726 1.0726 0.0021 0.20%
2025-11-21 010782 兴业聚申一年持有期混合C 1.0726 1.0726 1.0762 1.0762 -0.0036 -0.33%
2025-11-20 010782 兴业聚申一年持有期混合C 1.0762 1.0762 1.0781 1.0781 -0.0019 -0.18%
2025-11-19 010782 兴业聚申一年持有期混合C 1.0781 1.0781 1.0791 1.0791 -0.0010 -0.09%
2025-11-18 010782 兴业聚申一年持有期混合C 1.0791 1.0791 1.0779 1.0779 0.0012 0.11%
2025-11-17 010782 兴业聚申一年持有期混合C 1.0779 1.0779 1.0798 1.0798 -0.0019 -0.18%
2025-11-14 010782 兴业聚申一年持有期混合C 1.0798 1.0798 1.0846 1.0846 -0.0048 -0.44%
2025-11-13 010782 兴业聚申一年持有期混合C 1.0846 1.0846 1.0824 1.0824 0.0022 0.20%
2025-11-12 010782 兴业聚申一年持有期混合C 1.0824 1.0824 1.0823 1.0823 0.0001 0.01%
2025-11-11 010782 兴业聚申一年持有期混合C 1.0823 1.0823 1.0846 1.0846 -0.0023 -0.21%
2025-11-10 010782 兴业聚申一年持有期混合C 1.0846 1.0846 1.0822 1.0822 0.0024 0.22%
2025-11-07 010782 兴业聚申一年持有期混合C 1.0822 1.0822 1.0845 1.0845 -0.0023 -0.21%
2025-11-06 010782 兴业聚申一年持有期混合C 1.0845 1.0845 1.0826 1.0826 0.0019 0.18%
2025-11-05 010782 兴业聚申一年持有期混合C 1.0826 1.0826 1.0824 1.0824 0.0002 0.02%
2025-11-04 010782 兴业聚申一年持有期混合C 1.0824 1.0824 1.0848 1.0848 -0.0024 -0.22%
2025-11-03 010782 兴业聚申一年持有期混合C 1.0848 1.0848 1.0847 1.0847 0.0001 0.01%
2025-10-31 010782 兴业聚申一年持有期混合C 1.0847 1.0847 1.0836 1.0836 0.0011 0.10%
2025-10-30 010782 兴业聚申一年持有期混合C 1.0836 1.0836 1.0874 1.0874 -0.0038 -0.35%
2025-10-29 010782 兴业聚申一年持有期混合C 1.0874 1.0874 1.0858 1.0858 0.0016 0.15%
2025-10-28 010782 兴业聚申一年持有期混合C 1.0858 1.0858 1.0850 1.0850 0.0008 0.07%
2025-10-27 010782 兴业聚申一年持有期混合C 1.0850 1.0850 1.0804 1.0804 0.0046 0.43%
2025-10-24 010782 兴业聚申一年持有期混合C 1.0804 1.0804 1.0766 1.0766 0.0038 0.35%
2025-10-23 010782 兴业聚申一年持有期混合C 1.0766 1.0766 1.0748 1.0748 0.0018 0.17%
2025-10-22 010782 兴业聚申一年持有期混合C 1.0748 1.0748 1.0768 1.0768 -0.0020 -0.19%
2025-10-21 010782 兴业聚申一年持有期混合C 1.0768 1.0768 1.0725 1.0725 0.0043 0.40%
2025-10-20 010782 兴业聚申一年持有期混合C 1.0725 1.0725 1.0712 1.0712 0.0013 0.12%
2025-10-17 010782 兴业聚申一年持有期混合C 1.0712 1.0712 1.0780 1.0780 -0.0068 -0.63%
2025-10-16 010782 兴业聚申一年持有期混合C 1.0780 1.0780 1.0780 1.0780 0.0000 0.00%
2025-10-15 010782 兴业聚申一年持有期混合C 1.0780 1.0780 1.0745 1.0745 0.0035 0.33%
2025-10-14 010782 兴业聚申一年持有期混合C 1.0745 1.0745 1.0796 1.0796 -0.0051 -0.47%
2025-10-13 010782 兴业聚申一年持有期混合C 1.0796 1.0796 1.0794 1.0794 0.0002 0.02%
2025-10-10 010782 兴业聚申一年持有期混合C 1.0794 1.0794 1.0860 1.0860 -0.0066 -0.61%
2025-10-09 010782 兴业聚申一年持有期混合C 1.0860 1.0860 1.0826 1.0826 0.0034 0.31%
2025-09-30 010782 兴业聚申一年持有期混合C 1.0826 1.0826 1.0808 1.0808 0.0018 0.17%
2025-09-29 010782 兴业聚申一年持有期混合C 1.0808 1.0808 1.0787 1.0787 0.0021 0.19%
2025-09-26 010782 兴业聚申一年持有期混合C 1.0787 1.0787 1.0813 1.0813 -0.0026 -0.24%
2025-09-25 010782 兴业聚申一年持有期混合C 1.0813 1.0813 1.0808 1.0808 0.0005 0.05%
2025-09-24 010782 兴业聚申一年持有期混合C 1.0808 1.0808 1.0740 1.0740 0.0068 0.63%
2025-09-23 010782 兴业聚申一年持有期混合C 1.0740 1.0740 1.0706 1.0706 0.0034 0.32%
2025-09-22 010782 兴业聚申一年持有期混合C 1.0706 1.0706 1.0683 1.0683 0.0023 0.22%
2025-09-19 010782 兴业聚申一年持有期混合C 1.0683 1.0683 1.0701 1.0701 -0.0018 -0.17%
2025-09-18 010782 兴业聚申一年持有期混合C 1.0701 1.0701 1.0699 1.0699 0.0002 0.02%
2025-09-17 010782 兴业聚申一年持有期混合C 1.0699 1.0699 1.0669 1.0669 0.0030 0.28%
混合型-偏债基金涨幅榜
基金名称 单位净值 日增长率
金鹰民富收益混合A 1.0994 2.59%
金鹰民富收益混合C 1.0758 2.59%
金鹰年年邮益一年持有混合A 1.4494 2.39%
金鹰年年邮益一年持有混合C 1.4041 2.39%
财通安盈混合C 1.4515 2.28%
财通安盈混合A 1.4776 2.27%
金鹰民丰回报混合 1.2249 2.26%
博时浦惠一年持有期混合A 1.2957 2.06%
博时浦惠一年持有期混合C 1.2721 2.06%
嘉合磐石A 0.8390 1.99%