基金速查网 - 开放式基金数据大全,每日基金净值查询

鑫元专精特新混合A基金净值查询(015071)

今天最新净值 0.6206 0.0070 1.14% 2026-09-15
盘中实时估值(仅供参考) 0.7107 0.0070 0.9913% 2026-03-24 15:39:58
  • 累计净值:0.6206
  • 成立日期:2022-06-17
  • 基金类型:混合型-偏股
  • 成立份额:
  • 最近份额:2.0353亿
  • 最近资产:1.06亿
  • 基金公司:鑫元基金
  • 基金经理:罗杰 陆杨
近一季鑫元专精特新混合A基金净值查询
基金历史净值按日期查询: -
近一季,鑫元专精特新混合A(015071)基金累计收益率-5.96%
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
2026-09-15 015071 鑫元专精特新混合A 0.6147 0.6147 0.6206 0.6206 -0.0059 -0.95%
2026-09-14 015071 鑫元专精特新混合A 0.6206 0.6206 0.6136 0.6136 0.0070 1.14%
2026-09-11 015071 鑫元专精特新混合A 0.6136 0.6136 0.6243 0.6243 -0.0107 -1.71%
2026-09-10 015071 鑫元专精特新混合A 0.6243 0.6243 0.6344 0.6344 -0.0101 -1.62%
2026-09-09 015071 鑫元专精特新混合A 0.6344 0.6344 0.6356 0.6356 -0.0012 -0.19%
2026-09-08 015071 鑫元专精特新混合A 0.6356 0.6356 0.6346 0.6346 0.0010 0.16%
2026-09-07 015071 鑫元专精特新混合A 0.6346 0.6346 0.6322 0.6322 0.0024 0.38%
2026-09-04 015071 鑫元专精特新混合A 0.6322 0.6322 0.6339 0.6339 -0.0017 -0.27%
2026-09-03 015071 鑫元专精特新混合A 0.6339 0.6339 0.6364 0.6364 -0.0025 -0.39%
2026-09-02 015071 鑫元专精特新混合A 0.6364 0.6364 0.6398 0.6398 -0.0034 -0.53%
2026-09-01 015071 鑫元专精特新混合A 0.6398 0.6398 0.6369 0.6369 0.0029 0.46%
2026-08-31 015071 鑫元专精特新混合A 0.6369 0.6369 0.6365 0.6365 0.0004 0.06%
2026-08-28 015071 鑫元专精特新混合A 0.6365 0.6365 0.6336 0.6336 0.0029 0.46%
2026-08-27 015071 鑫元专精特新混合A 0.6336 0.6336 0.6280 0.6280 0.0056 0.89%
2026-08-26 015071 鑫元专精特新混合A 0.6280 0.6280 0.6289 0.6289 -0.0009 -0.14%
2026-08-25 015071 鑫元专精特新混合A 0.6289 0.6289 0.6199 0.6199 0.0090 1.45%
2026-08-24 015071 鑫元专精特新混合A 0.6199 0.6199 0.6274 0.6274 -0.0075 -1.20%
2026-08-21 015071 鑫元专精特新混合A 0.6274 0.6274 0.6300 0.6300 -0.0026 -0.41%
2026-08-20 015071 鑫元专精特新混合A 0.6300 0.6300 0.6217 0.6217 0.0083 1.34%
2026-08-19 015071 鑫元专精特新混合A 0.6217 0.6217 0.6430 0.6430 -0.0213 -3.31%
2026-08-18 015071 鑫元专精特新混合A 0.6430 0.6430 0.6428 0.6428 0.0002 0.03%
2026-08-17 015071 鑫元专精特新混合A 0.6428 0.6428 0.6320 0.6320 0.0108 1.71%
2026-08-14 015071 鑫元专精特新混合A 0.6320 0.6320 0.6326 0.6326 -0.0006 -0.09%
2026-08-13 015071 鑫元专精特新混合A 0.6326 0.6326 0.6394 0.6394 -0.0068 -1.06%
2026-08-12 015071 鑫元专精特新混合A 0.6394 0.6394 0.6388 0.6388 0.0006 0.09%
2026-08-11 015071 鑫元专精特新混合A 0.6388 0.6388 0.6438 0.6438 -0.0050 -0.78%
2026-08-10 015071 鑫元专精特新混合A 0.6438 0.6438 0.6317 0.6317 0.0121 1.92%
2026-08-07 015071 鑫元专精特新混合A 0.6317 0.6317 0.6298 0.6298 0.0019 0.30%
2026-08-06 015071 鑫元专精特新混合A 0.6298 0.6298 0.6284 0.6284 0.0014 0.22%
2026-08-05 015071 鑫元专精特新混合A 0.6284 0.6284 0.6182 0.6182 0.0102 1.65%
2026-08-04 015071 鑫元专精特新混合A 0.6182 0.6182 0.6183 0.6183 -0.0001 -0.02%
2026-08-03 015071 鑫元专精特新混合A 0.6183 0.6183 0.6115 0.6115 0.0068 1.11%
2026-07-31 015071 鑫元专精特新混合A 0.6115 0.6115 0.6043 0.6043 0.0072 1.19%
2026-07-30 015071 鑫元专精特新混合A 0.6043 0.6043 0.6087 0.6087 -0.0044 -0.72%
2026-07-29 015071 鑫元专精特新混合A 0.6087 0.6087 0.5949 0.5949 0.0138 2.32%
2026-07-28 015071 鑫元专精特新混合A 0.5949 0.5949 0.5953 0.5953 -0.0004 -0.07%
2026-07-27 015071 鑫元专精特新混合A 0.5953 0.5953 0.5846 0.5846 0.0107 1.83%
2026-07-24 015071 鑫元专精特新混合A 0.5846 0.5846 0.5951 0.5951 -0.0105 -1.76%
2026-07-23 015071 鑫元专精特新混合A 0.5951 0.5951 0.5870 0.5870 0.0081 1.38%
2026-07-22 015071 鑫元专精特新混合A 0.5870 0.5870 0.5985 0.5985 -0.0115 -1.92%
2026-07-21 015071 鑫元专精特新混合A 0.5985 0.5985 0.5948 0.5948 0.0037 0.62%
2026-07-20 015071 鑫元专精特新混合A 0.5948 0.5948 0.6052 0.6052 -0.0104 -1.72%
2026-07-17 015071 鑫元专精特新混合A 0.6052 0.6052 0.6297 0.6297 -0.0245 -3.89%
2026-07-16 015071 鑫元专精特新混合A 0.6297 0.6297 0.6326 0.6326 -0.0029 -0.46%
2026-07-15 015071 鑫元专精特新混合A 0.6326 0.6326 0.6288 0.6288 0.0038 0.60%
2026-07-14 015071 鑫元专精特新混合A 0.6288 0.6288 0.6233 0.6233 0.0055 0.88%
2026-07-13 015071 鑫元专精特新混合A 0.6233 0.6233 0.6448 0.6448 -0.0215 -3.33%
2026-07-10 015071 鑫元专精特新混合A 0.6448 0.6448 0.6411 0.6411 0.0037 0.58%
2026-07-09 015071 鑫元专精特新混合A 0.6411 0.6411 0.6420 0.6420 -0.0009 -0.14%
2026-07-08 015071 鑫元专精特新混合A 0.6420 0.6420 0.6526 0.6526 -0.0106 -1.62%
2026-07-07 015071 鑫元专精特新混合A 0.6526 0.6526 0.6647 0.6647 -0.0121 -1.82%
2026-07-06 015071 鑫元专精特新混合A 0.6647 0.6647 0.6673 0.6673 -0.0026 -0.39%
2026-07-03 015071 鑫元专精特新混合A 0.6673 0.6673 0.6633 0.6633 0.0040 0.60%
2026-07-02 015071 鑫元专精特新混合A 0.6633 0.6633 0.6622 0.6622 0.0011 0.17%
2026-07-01 015071 鑫元专精特新混合A 0.6622 0.6622 0.6551 0.6551 0.0071 1.08%
2026-06-30 015071 鑫元专精特新混合A 0.6551 0.6551 0.6425 0.6425 0.0126 1.96%
2026-06-29 015071 鑫元专精特新混合A 0.6425 0.6425 0.6457 0.6457 -0.0032 -0.50%
2026-06-26 015071 鑫元专精特新混合A 0.6457 0.6457 0.6610 0.6610 -0.0153 -2.31%
2026-06-25 015071 鑫元专精特新混合A 0.6610 0.6610 0.6699 0.6699 -0.0089 -1.35%
2026-06-24 015071 鑫元专精特新混合A 0.6699 0.6699 0.6764 0.6764 -0.0065 -0.97%
2026-06-23 015071 鑫元专精特新混合A 0.6764 0.6764 0.6729 0.6729 0.0035 0.52%
2026-06-22 015071 鑫元专精特新混合A 0.6729 0.6729 0.6671 0.6671 0.0058 0.87%
2026-06-18 015071 鑫元专精特新混合A 0.6671 0.6671 0.6702 0.6702 -0.0031 -0.46%
2026-06-17 015071 鑫元专精特新混合A 0.6702 0.6702 0.6717 0.6717 -0.0015 -0.22%
2026-06-16 015071 鑫元专精特新混合A 0.6717 0.6717 0.6672 0.6672 0.0045 0.67%
混合型-偏股基金涨幅榜
基金名称 单位净值 日增长率
金信精选成长混合A 2.6528 6.44%
金信精选成长混合C 2.6052 6.44%
银华丰享一年持有期混合 1.8583 6.19%
新华趋势 6.2406 6.19%
鹏华创新驱动混合A 2.5977 6.15%
财通科技创新混合A 2.0379 6.09%
财通科技创新混合C 1.9397 6.08%
中银先锋半导体混合发起A 1.1268 6.07%
中银先锋半导体混合发起C 1.1238 6.06%
国联高质量成长混合C 0.6381 5.93%