兴华安聚纯债C基金净值查询(017215)
今天最新净值
1.0482
0.0001 0.01%
2026-09-17
盘中实时估值(仅供参考)
%
2026-03-24 15:39:58
- 累计净值:1.1617
- 成立日期:2023-04-26
- 基金类型:债券型-长债
- 成立份额:
- 最近份额:3.0081亿
- 最近资产:0.04亿元
- 基金公司:兴华基金
- 基金经理:吕智卓
近一月,兴华安聚纯债C(017215)基金累计收益率0.28%
| 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 |
| 2026-09-17 |
017215 |
兴华安聚纯债C |
1.0481 |
1.1616 |
1.0482 |
1.1617 |
-0.0001 |
-0.01% |
| 2026-09-16 |
017215 |
兴华安聚纯债C |
1.0482 |
1.1617 |
1.0481 |
1.1616 |
0.0001 |
0.01% |
| 2026-09-15 |
017215 |
兴华安聚纯债C |
1.0481 |
1.1616 |
1.0478 |
1.1613 |
0.0003 |
0.03% |
| 2026-09-14 |
017215 |
兴华安聚纯债C |
1.0478 |
1.1613 |
1.0478 |
1.1613 |
0.0000 |
0.00% |
| 2026-09-11 |
017215 |
兴华安聚纯债C |
1.0478 |
1.1613 |
1.0478 |
1.1613 |
0.0000 |
0.00% |
| 2026-09-10 |
017215 |
兴华安聚纯债C |
1.0478 |
1.1613 |
1.0477 |
1.1612 |
0.0001 |
0.01% |
| 2026-09-09 |
017215 |
兴华安聚纯债C |
1.0477 |
1.1612 |
1.0475 |
1.1610 |
0.0002 |
0.02% |
| 2026-09-08 |
017215 |
兴华安聚纯债C |
1.0475 |
1.1610 |
1.0473 |
1.1608 |
0.0002 |
0.02% |
| 2026-09-07 |
017215 |
兴华安聚纯债C |
1.0473 |
1.1608 |
1.0471 |
1.1606 |
0.0002 |
0.02% |
| 2026-09-04 |
017215 |
兴华安聚纯债C |
1.0471 |
1.1606 |
1.0470 |
1.1605 |
0.0001 |
0.01% |
|
|
| 2026-09-03 |
017215 |
兴华安聚纯债C |
1.0470 |
1.1605 |
1.0466 |
1.1601 |
0.0004 |
0.04% |
| 2026-09-02 |
017215 |
兴华安聚纯债C |
1.0466 |
1.1601 |
1.0466 |
1.1601 |
0.0000 |
0.00% |
| 2026-09-01 |
017215 |
兴华安聚纯债C |
1.0466 |
1.1601 |
1.0460 |
1.1595 |
0.0006 |
0.06% |
| 2026-08-31 |
017215 |
兴华安聚纯债C |
1.0460 |
1.1595 |
1.0458 |
1.1593 |
0.0002 |
0.02% |
| 2026-08-28 |
017215 |
兴华安聚纯债C |
1.0458 |
1.1593 |
1.0459 |
1.1594 |
-0.0001 |
-0.01% |
| 2026-08-27 |
017215 |
兴华安聚纯债C |
1.0459 |
1.1594 |
1.0463 |
1.1598 |
-0.0004 |
-0.04% |
| 2026-08-26 |
017215 |
兴华安聚纯债C |
1.0463 |
1.1598 |
1.0465 |
1.1600 |
-0.0002 |
-0.02% |
| 2026-08-25 |
017215 |
兴华安聚纯债C |
1.0465 |
1.1600 |
1.0465 |
1.1600 |
0.0000 |
0.00% |
| 2026-08-24 |
017215 |
兴华安聚纯债C |
1.0465 |
1.1600 |
1.0461 |
1.1596 |
0.0004 |
0.04% |
| 2026-08-21 |
017215 |
兴华安聚纯债C |
1.0461 |
1.1596 |
1.0461 |
1.1596 |
0.0000 |
0.00% |
| 2026-08-20 |
017215 |
兴华安聚纯债C |
1.0461 |
1.1596 |
1.0460 |
1.1595 |
0.0001 |
0.01% |
| 2026-08-19 |
017215 |
兴华安聚纯债C |
1.0460 |
1.1595 |
1.0462 |
1.1597 |
-0.0002 |
-0.02% |