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鹏华稳健回报混合C基金净值查询(017511)

今天最新净值 2.1211 0.0681 3.32% 2026-09-17
盘中实时估值(仅供参考) 1.9162 0.0400 2.1313% 2026-03-24 15:39:58
  • 累计净值:2.1211
  • 成立日期:
  • 基金类型:混合型-偏股
  • 成立份额:
  • 最近份额:2.5085亿
  • 最近资产:1.74亿元
  • 基金公司:
  • 基金经理:胡颖
今年以来鹏华稳健回报混合C基金净值查询
基金历史净值按日期查询: -
今年以来,鹏华稳健回报混合C(017511)基金累计收益率20.77%
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
2026-09-17 017511 鹏华稳健回报混合C 2.1289 2.1289 2.1211 2.1211 0.0078 0.37%
2026-09-16 017511 鹏华稳健回报混合C 2.1211 2.1211 2.0530 2.0530 0.0681 3.32%
2026-09-15 017511 鹏华稳健回报混合C 2.0530 2.0530 2.0637 2.0637 -0.0107 -0.52%
2026-09-14 017511 鹏华稳健回报混合C 2.0637 2.0637 2.0761 2.0761 -0.0124 -0.60%
2026-09-11 017511 鹏华稳健回报混合C 2.0761 2.0761 2.1097 2.1097 -0.0336 -1.59%
2026-09-10 017511 鹏华稳健回报混合C 2.1097 2.1097 2.1240 2.1240 -0.0143 -0.67%
2026-09-09 017511 鹏华稳健回报混合C 2.1240 2.1240 2.1334 2.1334 -0.0094 -0.44%
2026-09-08 017511 鹏华稳健回报混合C 2.1334 2.1334 2.1653 2.1653 -0.0319 -1.50%
2026-09-07 017511 鹏华稳健回报混合C 2.1653 2.1653 2.0811 2.0811 0.0842 4.05%
2026-09-04 017511 鹏华稳健回报混合C 2.0811 2.0811 2.1542 2.1542 -0.0731 -3.51%
2026-09-03 017511 鹏华稳健回报混合C 2.1542 2.1542 2.1584 2.1584 -0.0042 -0.19%
2026-09-02 017511 鹏华稳健回报混合C 2.1584 2.1584 2.1692 2.1692 -0.0108 -0.50%
2026-09-01 017511 鹏华稳健回报混合C 2.1692 2.1692 2.2258 2.2258 -0.0566 -2.61%
2026-08-31 017511 鹏华稳健回报混合C 2.2258 2.2258 2.1543 2.1543 0.0715 3.32%
2026-08-28 017511 鹏华稳健回报混合C 2.1543 2.1543 2.2012 2.2012 -0.0469 -2.18%
2026-08-27 017511 鹏华稳健回报混合C 2.2012 2.2012 2.0989 2.0989 0.1023 4.87%
2026-08-26 017511 鹏华稳健回报混合C 2.0989 2.0989 2.0942 2.0942 0.0047 0.22%
2026-08-25 017511 鹏华稳健回报混合C 2.0942 2.0942 2.0945 2.0945 -0.0003 -0.01%
2026-08-24 017511 鹏华稳健回报混合C 2.0945 2.0945 2.1613 2.1613 -0.0668 -3.09%
2026-08-21 017511 鹏华稳健回报混合C 2.1613 2.1613 2.1414 2.1414 0.0199 0.93%
2026-08-20 017511 鹏华稳健回报混合C 2.1414 2.1414 2.1086 2.1086 0.0328 1.56%
2026-08-19 017511 鹏华稳健回报混合C 2.1086 2.1086 2.2805 2.2805 -0.1719 -8.15%
2026-08-18 017511 鹏华稳健回报混合C 2.2805 2.2805 2.2860 2.2860 -0.0055 -0.24%
2026-08-17 017511 鹏华稳健回报混合C 2.2860 2.2860 2.2028 2.2028 0.0832 3.78%
2026-08-14 017511 鹏华稳健回报混合C 2.2028 2.2028 2.1474 2.1474 0.0554 2.58%
2026-08-13 017511 鹏华稳健回报混合C 2.1474 2.1474 2.1513 2.1513 -0.0039 -0.18%
2026-08-12 017511 鹏华稳健回报混合C 2.1513 2.1513 2.0819 2.0819 0.0694 3.33%
2026-08-11 017511 鹏华稳健回报混合C 2.0819 2.0819 2.0820 2.0820 -0.0001 0.00%
2026-08-10 017511 鹏华稳健回报混合C 2.0820 2.0820 2.1310 2.1310 -0.0490 -2.35%
2026-08-07 017511 鹏华稳健回报混合C 2.1310 2.1310 2.0762 2.0762 0.0548 2.64%
2026-08-06 017511 鹏华稳健回报混合C 2.0762 2.0762 2.0538 2.0538 0.0224 1.09%
2026-08-05 017511 鹏华稳健回报混合C 2.0538 2.0538 1.9709 1.9709 0.0829 4.21%
2026-08-04 017511 鹏华稳健回报混合C 1.9709 1.9709 1.7978 1.7978 0.1731 9.63%
2026-08-03 017511 鹏华稳健回报混合C 1.7978 1.7978 1.8392 1.8392 -0.0414 -2.25%
2026-07-31 017511 鹏华稳健回报混合C 1.8392 1.8392 1.7263 1.7263 0.1129 6.54%
2026-07-30 017511 鹏华稳健回报混合C 1.7263 1.7263 1.8787 1.8787 -0.1524 -8.83%
2026-07-29 017511 鹏华稳健回报混合C 1.8787 1.8787 1.9059 1.9059 -0.0272 -1.45%
2026-07-28 017511 鹏华稳健回报混合C 1.9059 1.9059 2.0522 2.0522 -0.1463 -7.68%
2026-07-27 017511 鹏华稳健回报混合C 2.0522 2.0522 1.9704 1.9704 0.0818 4.15%
2026-07-24 017511 鹏华稳健回报混合C 1.9704 1.9704 2.0302 2.0302 -0.0598 -3.03%
2026-07-23 017511 鹏华稳健回报混合C 2.0302 2.0302 2.0799 2.0799 -0.0497 -2.45%
2026-07-22 017511 鹏华稳健回报混合C 2.0799 2.0799 2.1196 2.1196 -0.0397 -1.87%
2026-07-21 017511 鹏华稳健回报混合C 2.1196 2.1196 1.9650 1.9650 0.1546 7.87%
2026-07-20 017511 鹏华稳健回报混合C 1.9650 1.9650 2.0638 2.0638 -0.0988 -5.03%
2026-07-17 017511 鹏华稳健回报混合C 2.0638 2.0638 2.2923 2.2923 -0.2285 -11.07%
2026-07-16 017511 鹏华稳健回报混合C 2.2923 2.2923 2.3930 2.3930 -0.1007 -4.39%
2026-07-15 017511 鹏华稳健回报混合C 2.3930 2.3930 2.4668 2.4668 -0.0738 -2.99%
2026-07-14 017511 鹏华稳健回报混合C 2.4668 2.4668 2.3950 2.3950 0.0718 3.00%
2026-07-13 017511 鹏华稳健回报混合C 2.3950 2.3950 2.5540 2.5540 -0.1590 -6.64%
2026-07-10 017511 鹏华稳健回报混合C 2.5540 2.5540 2.6798 2.6798 -0.1258 -4.69%
2026-07-09 017511 鹏华稳健回报混合C 2.6798 2.6798 2.5338 2.5338 0.1460 5.76%
2026-07-08 017511 鹏华稳健回报混合C 2.5338 2.5338 2.6063 2.6063 -0.0725 -2.86%
2026-07-07 017511 鹏华稳健回报混合C 2.6063 2.6063 2.6400 2.6400 -0.0337 -1.28%
2026-07-06 017511 鹏华稳健回报混合C 2.6400 2.6400 2.7176 2.7176 -0.0776 -2.94%
2026-07-03 017511 鹏华稳健回报混合C 2.7176 2.7176 2.6701 2.6701 0.0475 1.78%
2026-07-02 017511 鹏华稳健回报混合C 2.6701 2.6701 2.8687 2.8687 -0.1986 -7.44%
2026-07-01 017511 鹏华稳健回报混合C 2.8687 2.8687 2.8785 2.8785 -0.0098 -0.34%
2026-06-30 017511 鹏华稳健回报混合C 2.8785 2.8785 2.7713 2.7713 0.1072 3.87%
2026-06-29 017511 鹏华稳健回报混合C 2.7713 2.7713 2.8062 2.8062 -0.0349 -1.26%
2026-06-26 017511 鹏华稳健回报混合C 2.8062 2.8062 2.8970 2.8970 -0.0908 -3.13%
2026-06-25 017511 鹏华稳健回报混合C 2.8970 2.8970 2.8079 2.8079 0.0891 3.17%
2026-06-24 017511 鹏华稳健回报混合C 2.8079 2.8079 2.6828 2.6828 0.1251 4.66%
2026-06-23 017511 鹏华稳健回报混合C 2.6828 2.6828 2.7718 2.7718 -0.0890 -3.21%
2026-06-22 017511 鹏华稳健回报混合C 2.7718 2.7718 2.7585 2.7585 0.0133 0.48%
2026-06-18 017511 鹏华稳健回报混合C 2.7585 2.7585 2.6757 2.6757 0.0828 3.09%
2026-06-17 017511 鹏华稳健回报混合C 2.6757 2.6757 2.5876 2.5876 0.0881 3.40%
2026-06-16 017511 鹏华稳健回报混合C 2.5876 2.5876 2.5428 2.5428 0.0448 1.76%
2026-06-15 017511 鹏华稳健回报混合C 2.5428 2.5428 2.3894 2.3894 0.1534 6.42%
2026-06-12 017511 鹏华稳健回报混合C 2.3894 2.3894 2.3795 2.3795 0.0099 0.42%
2026-06-11 017511 鹏华稳健回报混合C 2.3795 2.3795 2.3822 2.3822 -0.0027 -0.11%
2026-06-10 017511 鹏华稳健回报混合C 2.3822 2.3822 2.4457 2.4457 -0.0635 -2.60%
2026-06-09 017511 鹏华稳健回报混合C 2.4457 2.4457 2.3551 2.3551 0.0906 3.85%
2026-06-08 017511 鹏华稳健回报混合C 2.3551 2.3551 2.4909 2.4909 -0.1358 -5.77%
2026-06-05 017511 鹏华稳健回报混合C 2.4909 2.4909 2.5370 2.5370 -0.0461 -1.82%
2026-06-04 017511 鹏华稳健回报混合C 2.5370 2.5370 2.4907 2.4907 0.0463 1.86%
2026-06-03 017511 鹏华稳健回报混合C 2.4907 2.4907 2.4241 2.4241 0.0666 2.75%
2026-06-02 017511 鹏华稳健回报混合C 2.4241 2.4241 2.3785 2.3785 0.0456 1.92%
2026-06-01 017511 鹏华稳健回报混合C 2.3785 2.3785 2.4862 2.4862 -0.1077 -4.53%
2026-05-29 017511 鹏华稳健回报混合C 2.4862 2.4862 2.6217 2.6217 -0.1355 -5.45%
2026-05-28 017511 鹏华稳健回报混合C 2.6217 2.6217 2.5700 2.5700 0.0517 2.01%
2026-05-27 017511 鹏华稳健回报混合C 2.5700 2.5700 2.6150 2.6150 -0.0450 -1.72%
2026-05-26 017511 鹏华稳健回报混合C 2.6150 2.6150 2.6943 2.6943 -0.0793 -3.03%
2026-05-25 017511 鹏华稳健回报混合C 2.6943 2.6943 2.7023 2.7023 -0.0080 -0.30%
2026-05-22 017511 鹏华稳健回报混合C 2.7023 2.7023 2.5982 2.5982 0.1041 4.01%
2026-05-21 017511 鹏华稳健回报混合C 2.5982 2.5982 2.6969 2.6969 -0.0987 -3.66%
2026-05-20 017511 鹏华稳健回报混合C 2.6969 2.6969 2.6570 2.6570 0.0399 1.50%
2026-05-19 017511 鹏华稳健回报混合C 2.6570 2.6570 2.6313 2.6313 0.0257 0.98%
2026-05-18 017511 鹏华稳健回报混合C 2.6313 2.6313 2.6044 2.6044 0.0269 1.03%
2026-05-15 017511 鹏华稳健回报混合C 2.6044 2.6044 2.6615 2.6615 -0.0571 -2.15%
2026-05-14 017511 鹏华稳健回报混合C 2.6615 2.6615 2.6985 2.6985 -0.0370 -1.37%
2026-05-13 017511 鹏华稳健回报混合C 2.6985 2.6985 2.6522 2.6522 0.0463 1.75%
2026-05-12 017511 鹏华稳健回报混合C 2.6522 2.6522 2.6708 2.6708 -0.0186 -0.70%
2026-05-11 017511 鹏华稳健回报混合C 2.6708 2.6708 2.5752 2.5752 0.0956 3.71%
2026-05-08 017511 鹏华稳健回报混合C 2.5752 2.5752 2.5315 2.5315 0.0437 1.73%
2026-04-30 017511 鹏华稳健回报混合C 2.3861 2.3861 2.3534 2.3534 0.0327 1.39%
2026-04-29 017511 鹏华稳健回报混合C 2.3534 2.3534 2.3242 2.3242 0.0292 1.26%
2026-04-28 017511 鹏华稳健回报混合C 2.3242 2.3242 2.3539 2.3539 -0.0297 -1.26%
2026-04-27 017511 鹏华稳健回报混合C 2.3539 2.3539 2.3500 2.3500 0.0039 0.17%
2026-04-24 017511 鹏华稳健回报混合C 2.3500 2.3500 2.3383 2.3383 0.0117 0.50%
2026-04-23 017511 鹏华稳健回报混合C 2.3383 2.3383 2.3585 2.3585 -0.0202 -0.86%
2026-04-22 017511 鹏华稳健回报混合C 2.3585 2.3585 2.2510 2.2510 0.1075 4.78%
2026-04-21 017511 鹏华稳健回报混合C 2.2510 2.2510 2.2245 2.2245 0.0265 1.19%
2026-04-20 017511 鹏华稳健回报混合C 2.2245 2.2245 2.2157 2.2157 0.0088 0.40%
2026-04-17 017511 鹏华稳健回报混合C 2.2157 2.2157 2.1705 2.1705 0.0452 2.08%
2026-04-16 017511 鹏华稳健回报混合C 2.1705 2.1705 2.0752 2.0752 0.0953 4.59%
2026-04-15 017511 鹏华稳健回报混合C 2.0752 2.0752 2.0457 2.0457 0.0295 1.44%
2026-04-14 017511 鹏华稳健回报混合C 2.0457 2.0457 1.9713 1.9713 0.0744 3.77%
2026-04-13 017511 鹏华稳健回报混合C 1.9713 1.9713 1.9599 1.9599 0.0114 0.58%
2026-04-10 017511 鹏华稳健回报混合C 1.9599 1.9599 1.9353 1.9353 0.0246 1.27%
2026-04-09 017511 鹏华稳健回报混合C 1.9353 1.9353 1.9212 1.9212 0.0141 0.73%
2026-04-08 017511 鹏华稳健回报混合C 1.9212 1.9212 1.7937 1.7937 0.1275 7.11%
2026-04-07 017511 鹏华稳健回报混合C 1.7937 1.7937 1.7927 1.7927 0.0010 0.06%
2026-04-03 017511 鹏华稳健回报混合C 1.7927 1.7927 1.8044 1.8044 -0.0117 -0.65%
2026-04-02 017511 鹏华稳健回报混合C 1.8044 1.8044 1.8544 1.8544 -0.0500 -2.77%
2026-04-01 017511 鹏华稳健回报混合C 1.8544 1.8544 1.7897 1.7897 0.0647 3.62%
2026-03-31 017511 鹏华稳健回报混合C 1.7897 1.7897 1.8210 1.8210 -0.0313 -1.72%
2026-03-30 017511 鹏华稳健回报混合C 1.8210 1.8210 1.8454 1.8454 -0.0244 -1.34%
2026-03-27 017511 鹏华稳健回报混合C 1.8454 1.8454 1.8567 1.8567 -0.0113 -0.61%
2026-03-26 017511 鹏华稳健回报混合C 1.8567 1.8567 1.8874 1.8874 -0.0307 -1.63%
2026-03-25 017511 鹏华稳健回报混合C 1.8874 1.8874 1.8363 1.8363 0.0511 2.78%
2026-03-24 017511 鹏华稳健回报混合C 1.8363 1.8363 1.8140 1.8140 0.0223 1.23%
2026-03-23 017511 鹏华稳健回报混合C 1.8140 1.8140 1.8784 1.8784 -0.0644 -3.43%
2026-03-20 017511 鹏华稳健回报混合C 1.8784 1.8784 1.8823 1.8823 -0.0039 -0.21%
2026-03-19 017511 鹏华稳健回报混合C 1.8823 1.8823 1.9194 1.9194 -0.0371 -1.93%
2026-03-18 017511 鹏华稳健回报混合C 1.9194 1.9194 1.8762 1.8762 0.0432 2.30%
2026-03-17 017511 鹏华稳健回报混合C 1.8762 1.8762 1.9335 1.9335 -0.0573 -2.96%
2026-03-16 017511 鹏华稳健回报混合C 1.9335 1.9335 1.9068 1.9068 0.0267 1.40%
2026-03-13 017511 鹏华稳健回报混合C 1.9068 1.9068 1.9288 1.9288 -0.0220 -1.14%
2026-03-12 017511 鹏华稳健回报混合C 1.9288 1.9288 1.9606 1.9606 -0.0318 -1.62%
2026-03-11 017511 鹏华稳健回报混合C 1.9606 1.9606 1.9876 1.9876 -0.0270 -1.38%
2026-03-10 017511 鹏华稳健回报混合C 1.9876 1.9876 1.9169 1.9169 0.0707 3.69%
2026-03-09 017511 鹏华稳健回报混合C 1.9169 1.9169 1.9468 1.9468 -0.0299 -1.54%
2026-03-06 017511 鹏华稳健回报混合C 1.9468 1.9468 1.9459 1.9459 0.0009 0.05%
2026-03-05 017511 鹏华稳健回报混合C 1.9459 1.9459 1.9082 1.9082 0.0377 1.98%
2026-03-04 017511 鹏华稳健回报混合C 1.9082 1.9082 1.8999 1.8999 0.0083 0.44%
2026-03-03 017511 鹏华稳健回报混合C 1.8999 1.8999 1.9847 1.9847 -0.0848 -4.27%
2026-03-02 017511 鹏华稳健回报混合C 1.9847 1.9847 2.0144 2.0144 -0.0297 -1.47%
2026-02-27 017511 鹏华稳健回报混合C 2.0144 2.0144 1.9976 1.9976 0.0168 0.84%
2026-02-26 017511 鹏华稳健回报混合C 1.9976 1.9976 1.9766 1.9766 0.0210 1.06%
2026-02-25 017511 鹏华稳健回报混合C 1.9766 1.9766 1.9762 1.9762 0.0004 0.02%
2026-02-24 017511 鹏华稳健回报混合C 1.9762 1.9762 1.9903 1.9903 -0.0141 -0.71%
2026-02-13 017511 鹏华稳健回报混合C 1.9903 1.9903 2.0169 2.0169 -0.0266 -1.32%
2026-02-12 017511 鹏华稳健回报混合C 2.0169 2.0169 1.9675 1.9675 0.0494 2.51%
2026-02-11 017511 鹏华稳健回报混合C 1.9675 1.9675 1.9958 1.9958 -0.0283 -1.44%
2026-02-10 017511 鹏华稳健回报混合C 1.9958 1.9958 2.0110 2.0110 -0.0152 -0.76%
2026-02-09 017511 鹏华稳健回报混合C 2.0110 2.0110 1.9632 1.9632 0.0478 2.43%
2026-02-06 017511 鹏华稳健回报混合C 1.9632 1.9632 1.9537 1.9537 0.0095 0.49%
2026-02-05 017511 鹏华稳健回报混合C 1.9537 1.9537 1.9964 1.9964 -0.0427 -2.14%
2026-02-04 017511 鹏华稳健回报混合C 1.9964 1.9964 2.0138 2.0138 -0.0174 -0.86%
2026-02-03 017511 鹏华稳健回报混合C 2.0138 2.0138 1.9500 1.9500 0.0638 3.27%
2026-02-02 017511 鹏华稳健回报混合C 1.9500 1.9500 2.0224 2.0224 -0.0724 -3.58%
2026-01-30 017511 鹏华稳健回报混合C 2.0224 2.0224 2.0167 2.0167 0.0057 0.28%
2026-01-29 017511 鹏华稳健回报混合C 2.0167 2.0167 2.0474 2.0474 -0.0307 -1.50%
2026-01-28 017511 鹏华稳健回报混合C 2.0474 2.0474 2.0663 2.0663 -0.0189 -0.91%
2026-01-27 017511 鹏华稳健回报混合C 2.0663 2.0663 2.0077 2.0077 0.0586 2.92%
2026-01-26 017511 鹏华稳健回报混合C 2.0077 2.0077 2.0532 2.0532 -0.0455 -2.22%
2026-01-23 017511 鹏华稳健回报混合C 2.0532 2.0532 2.0119 2.0119 0.0413 2.05%
2026-01-22 017511 鹏华稳健回报混合C 2.0119 2.0119 1.9660 1.9660 0.0459 2.33%
2026-01-21 017511 鹏华稳健回报混合C 1.9660 1.9660 1.9432 1.9432 0.0228 1.17%
2026-01-20 017511 鹏华稳健回报混合C 1.9432 1.9432 1.9725 1.9725 -0.0293 -1.49%
2026-01-19 017511 鹏华稳健回报混合C 1.9725 1.9725 1.9682 1.9682 0.0043 0.22%
2026-01-16 017511 鹏华稳健回报混合C 1.9682 1.9682 1.8932 1.8932 0.0750 3.96%
2026-01-15 017511 鹏华稳健回报混合C 1.8932 1.8932 1.8800 1.8800 0.0132 0.70%
2026-01-14 017511 鹏华稳健回报混合C 1.8800 1.8800 1.8740 1.8740 0.0060 0.32%
2026-01-13 017511 鹏华稳健回报混合C 1.8740 1.8740 1.9260 1.9260 -0.0520 -2.70%
2026-01-12 017511 鹏华稳健回报混合C 1.9260 1.9260 1.8824 1.8824 0.0436 2.32%
2026-01-09 017511 鹏华稳健回报混合C 1.8824 1.8824 1.8744 1.8744 0.0080 0.43%
2026-01-08 017511 鹏华稳健回报混合C 1.8744 1.8744 1.8476 1.8476 0.0268 1.45%
2026-01-07 017511 鹏华稳健回报混合C 1.8476 1.8476 1.8076 1.8076 0.0400 2.21%
2026-01-06 017511 鹏华稳健回报混合C 1.8076 1.8076 1.8114 1.8114 -0.0038 -0.21%
2026-01-05 017511 鹏华稳健回报混合C 1.8114 1.8114 1.7627 1.7627 0.0487 2.76%
混合型-偏股基金涨幅榜
基金名称 单位净值 日增长率
国泰科创板两年定期开放混合 2.1518 10.33%
银华惠享三年定期开放混合 1.2041 8.27%
易米远见价值一年定开混合A 1.6621 6.56%
易米远见价值一年定开混合C 1.6416 6.56%
创业板HA 2.2406 6.55%
科创国联 1.5156 5.37%
西部利得科技创新混合A 1.5861 5.26%
西部利得科技创新混合C 1.5686 5.26%
国泰产业机遇混合发起C 1.1214 5.17%
国泰产业机遇混合发起A 1.1240 5.16%