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华夏聚利债券C基金净值查询(017771)

今天最新净值 2.1908 -0.0038 -0.17% 2026-09-16
盘中实时估值(仅供参考) 2.1189 0.0010 0.0486% 2026-03-24 15:39:58
  • 累计净值:2.1908
  • 成立日期:
  • 基金类型:债券型-混合一级
  • 成立份额:
  • 最近份额:3.3872亿
  • 最近资产:5.58亿
  • 基金公司:
  • 基金经理:武文琦 陆晓天
近半年华夏聚利债券C基金净值查询
基金历史净值按日期查询: -
近半年,华夏聚利债券C(017771)基金累计收益率2.82%
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 017771 华夏聚利债券C 2.1954 2.1954 2.1908 2.1908 0.0046 0.21%
2026-09-15 017771 华夏聚利债券C 2.1908 2.1908 2.1946 2.1946 -0.0038 -0.17%
2026-09-14 017771 华夏聚利债券C 2.1946 2.1946 2.1914 2.1914 0.0032 0.15%
2026-09-11 017771 华夏聚利债券C 2.1914 2.1914 2.2010 2.2010 -0.0096 -0.44%
2026-09-10 017771 华夏聚利债券C 2.2010 2.2010 2.2026 2.2026 -0.0016 -0.07%
2026-09-09 017771 华夏聚利债券C 2.2026 2.2026 2.2041 2.2041 -0.0015 -0.07%
2026-09-08 017771 华夏聚利债券C 2.2041 2.2041 2.2014 2.2014 0.0027 0.12%
2026-09-07 017771 华夏聚利债券C 2.2014 2.2014 2.1984 2.1984 0.0030 0.14%
2026-09-04 017771 华夏聚利债券C 2.1984 2.1984 2.2043 2.2043 -0.0059 -0.27%
2026-09-03 017771 华夏聚利债券C 2.2043 2.2043 2.2024 2.2024 0.0019 0.09%
2026-09-02 017771 华夏聚利债券C 2.2024 2.2024 2.2095 2.2095 -0.0071 -0.32%
2026-09-01 017771 华夏聚利债券C 2.2095 2.2095 2.2110 2.2110 -0.0015 -0.07%
2026-08-31 017771 华夏聚利债券C 2.2110 2.2110 2.2116 2.2116 -0.0006 -0.03%
2026-08-28 017771 华夏聚利债券C 2.2116 2.2116 2.2131 2.2131 -0.0015 -0.07%
2026-08-27 017771 华夏聚利债券C 2.2131 2.2131 2.2115 2.2115 0.0016 0.07%
2026-08-26 017771 华夏聚利债券C 2.2115 2.2115 2.2081 2.2081 0.0034 0.15%
2026-08-25 017771 华夏聚利债券C 2.2081 2.2081 2.2048 2.2048 0.0033 0.15%
2026-08-24 017771 华夏聚利债券C 2.2048 2.2048 2.2113 2.2113 -0.0065 -0.29%
2026-08-21 017771 华夏聚利债券C 2.2113 2.2113 2.2146 2.2146 -0.0033 -0.15%
2026-08-20 017771 华夏聚利债券C 2.2146 2.2146 2.2092 2.2092 0.0054 0.24%
2026-08-19 017771 华夏聚利债券C 2.2092 2.2092 2.2163 2.2163 -0.0071 -0.32%
2026-08-18 017771 华夏聚利债券C 2.2163 2.2163 2.2172 2.2172 -0.0009 -0.04%
2026-08-17 017771 华夏聚利债券C 2.2172 2.2172 2.2112 2.2112 0.0060 0.27%
2026-08-14 017771 华夏聚利债券C 2.2112 2.2112 2.2094 2.2094 0.0018 0.08%
2026-08-13 017771 华夏聚利债券C 2.2094 2.2094 2.2140 2.2140 -0.0046 -0.21%
2026-08-12 017771 华夏聚利债券C 2.2140 2.2140 2.2185 2.2185 -0.0045 -0.20%
2026-08-11 017771 华夏聚利债券C 2.2185 2.2185 2.2292 2.2292 -0.0107 -0.48%
2026-08-10 017771 华夏聚利债券C 2.2292 2.2292 2.2282 2.2282 0.0010 0.04%
2026-08-07 017771 华夏聚利债券C 2.2282 2.2282 2.2194 2.2194 0.0088 0.40%
2026-08-06 017771 华夏聚利债券C 2.2194 2.2194 2.2209 2.2209 -0.0015 -0.07%
2026-08-05 017771 华夏聚利债券C 2.2209 2.2209 2.2115 2.2115 0.0094 0.43%
2026-08-04 017771 华夏聚利债券C 2.2115 2.2115 2.2024 2.2024 0.0091 0.41%
2026-08-03 017771 华夏聚利债券C 2.2024 2.2024 2.2083 2.2083 -0.0059 -0.27%
2026-07-31 017771 华夏聚利债券C 2.2083 2.2083 2.2031 2.2031 0.0052 0.24%
2026-07-30 017771 华夏聚利债券C 2.2031 2.2031 2.2047 2.2047 -0.0016 -0.07%
2026-07-29 017771 华夏聚利债券C 2.2047 2.2047 2.1939 2.1939 0.0108 0.49%
2026-07-28 017771 华夏聚利债券C 2.1939 2.1939 2.2020 2.2020 -0.0081 -0.37%
2026-07-27 017771 华夏聚利债券C 2.2020 2.2020 2.1916 2.1916 0.0104 0.47%
2026-07-24 017771 华夏聚利债券C 2.1916 2.1916 2.1982 2.1982 -0.0066 -0.30%
2026-07-23 017771 华夏聚利债券C 2.1982 2.1982 2.1945 2.1945 0.0037 0.17%
2026-07-22 017771 华夏聚利债券C 2.1945 2.1945 2.1940 2.1940 0.0005 0.02%
2026-07-21 017771 华夏聚利债券C 2.1940 2.1940 2.1846 2.1846 0.0094 0.43%
2026-07-20 017771 华夏聚利债券C 2.1846 2.1846 2.1814 2.1814 0.0032 0.15%
2026-07-17 017771 华夏聚利债券C 2.1814 2.1814 2.1918 2.1918 -0.0104 -0.47%
2026-07-16 017771 华夏聚利债券C 2.1918 2.1918 2.1953 2.1953 -0.0035 -0.16%
2026-07-15 017771 华夏聚利债券C 2.1953 2.1953 2.1959 2.1959 -0.0006 -0.03%
2026-07-14 017771 华夏聚利债券C 2.1959 2.1959 2.1851 2.1851 0.0108 0.49%
2026-07-13 017771 华夏聚利债券C 2.1851 2.1851 2.1915 2.1915 -0.0064 -0.29%
2026-07-10 017771 华夏聚利债券C 2.1915 2.1915 2.1927 2.1927 -0.0012 -0.05%
2026-07-09 017771 华夏聚利债券C 2.1927 2.1927 2.1888 2.1888 0.0039 0.18%
2026-07-08 017771 华夏聚利债券C 2.1888 2.1888 2.1924 2.1924 -0.0036 -0.16%
2026-07-07 017771 华夏聚利债券C 2.1924 2.1924 2.1989 2.1989 -0.0065 -0.30%
2026-07-06 017771 华夏聚利债券C 2.1989 2.1989 2.1991 2.1991 -0.0002 -0.01%
2026-07-03 017771 华夏聚利债券C 2.1991 2.1991 2.1931 2.1931 0.0060 0.27%
2026-07-02 017771 华夏聚利债券C 2.1931 2.1931 2.1957 2.1957 -0.0026 -0.12%
2026-07-01 017771 华夏聚利债券C 2.1957 2.1957 2.1922 2.1922 0.0035 0.16%
2026-06-30 017771 华夏聚利债券C 2.1922 2.1922 2.1865 2.1865 0.0057 0.26%
2026-06-29 017771 华夏聚利债券C 2.1865 2.1865 2.1816 2.1816 0.0049 0.22%
2026-06-26 017771 华夏聚利债券C 2.1816 2.1816 2.1876 2.1876 -0.0060 -0.27%
2026-06-25 017771 华夏聚利债券C 2.1876 2.1876 2.1966 2.1966 -0.0090 -0.41%
2026-06-24 017771 华夏聚利债券C 2.1966 2.1966 2.1904 2.1904 0.0062 0.28%
2026-06-23 017771 华夏聚利债券C 2.1904 2.1904 2.1987 2.1987 -0.0083 -0.38%
2026-06-22 017771 华夏聚利债券C 2.1987 2.1987 2.1955 2.1955 0.0032 0.15%
2026-06-18 017771 华夏聚利债券C 2.1955 2.1955 2.1975 2.1975 -0.0020 -0.09%
2026-06-17 017771 华夏聚利债券C 2.1975 2.1975 2.1949 2.1949 0.0026 0.12%
2026-06-16 017771 华夏聚利债券C 2.1949 2.1949 2.1965 2.1965 -0.0016 -0.07%
2026-06-15 017771 华夏聚利债券C 2.1965 2.1965 2.1878 2.1878 0.0087 0.40%
2026-06-12 017771 华夏聚利债券C 2.1878 2.1878 2.1825 2.1825 0.0053 0.24%
2026-06-11 017771 华夏聚利债券C 2.1825 2.1825 2.1764 2.1764 0.0061 0.28%
2026-06-10 017771 华夏聚利债券C 2.1764 2.1764 2.1830 2.1830 -0.0066 -0.30%
2026-06-09 017771 华夏聚利债券C 2.1830 2.1830 2.1762 2.1762 0.0068 0.31%
2026-06-08 017771 华夏聚利债券C 2.1762 2.1762 2.1844 2.1844 -0.0082 -0.38%
2026-06-05 017771 华夏聚利债券C 2.1844 2.1844 2.1885 2.1885 -0.0041 -0.19%
2026-06-04 017771 华夏聚利债券C 2.1885 2.1885 2.1939 2.1939 -0.0054 -0.25%
2026-06-03 017771 华夏聚利债券C 2.1939 2.1939 2.1976 2.1976 -0.0037 -0.17%
2026-06-02 017771 华夏聚利债券C 2.1976 2.1976 2.1899 2.1899 0.0077 0.35%
2026-06-01 017771 华夏聚利债券C 2.1899 2.1899 2.1863 2.1863 0.0036 0.16%
2026-05-29 017771 华夏聚利债券C 2.1863 2.1863 2.2006 2.2006 -0.0143 -0.65%
2026-05-28 017771 华夏聚利债券C 2.2006 2.2006 2.1959 2.1959 0.0047 0.21%
2026-05-27 017771 华夏聚利债券C 2.1959 2.1959 2.2049 2.2049 -0.0090 -0.41%
2026-05-26 017771 华夏聚利债券C 2.2049 2.2049 2.2031 2.2031 0.0018 0.08%
2026-05-25 017771 华夏聚利债券C 2.2031 2.2031 2.2006 2.2006 0.0025 0.11%
2026-05-22 017771 华夏聚利债券C 2.2006 2.2006 2.1953 2.1953 0.0053 0.24%
2026-05-21 017771 华夏聚利债券C 2.1953 2.1953 2.2051 2.2051 -0.0098 -0.44%
2026-05-20 017771 华夏聚利债券C 2.2051 2.2051 2.2048 2.2048 0.0003 0.01%
2026-05-19 017771 华夏聚利债券C 2.2048 2.2048 2.1903 2.1903 0.0145 0.66%
2026-05-18 017771 华夏聚利债券C 2.1903 2.1903 2.1890 2.1890 0.0013 0.06%
2026-05-15 017771 华夏聚利债券C 2.1890 2.1890 2.1995 2.1995 -0.0105 -0.48%
2026-05-14 017771 华夏聚利债券C 2.1995 2.1995 2.2206 2.2206 -0.0211 -0.95%
2026-05-13 017771 华夏聚利债券C 2.2206 2.2206 2.2143 2.2143 0.0063 0.28%
2026-05-12 017771 华夏聚利债券C 2.2143 2.2143 2.2225 2.2225 -0.0082 -0.37%
2026-05-11 017771 华夏聚利债券C 2.2225 2.2225 2.2158 2.2158 0.0067 0.30%
2026-05-08 017771 华夏聚利债券C 2.2158 2.2158 2.2227 2.2227 -0.0069 -0.31%
2026-04-30 017771 华夏聚利债券C 2.2019 2.2019 2.2013 2.2013 0.0006 0.03%
2026-04-29 017771 华夏聚利债券C 2.2013 2.2013 2.1877 2.1877 0.0136 0.62%
2026-04-28 017771 华夏聚利债券C 2.1877 2.1877 2.1947 2.1947 -0.0070 -0.32%
2026-04-27 017771 华夏聚利债券C 2.1947 2.1947 2.1925 2.1925 0.0022 0.10%
2026-04-24 017771 华夏聚利债券C 2.1925 2.1925 2.1959 2.1959 -0.0034 -0.15%
2026-04-23 017771 华夏聚利债券C 2.1959 2.1959 2.2075 2.2075 -0.0116 -0.53%
2026-04-22 017771 华夏聚利债券C 2.2075 2.2075 2.2009 2.2009 0.0066 0.30%
2026-04-21 017771 华夏聚利债券C 2.2009 2.2009 2.2011 2.2011 -0.0002 -0.01%
2026-04-20 017771 华夏聚利债券C 2.2011 2.2011 2.2005 2.2005 0.0006 0.03%
2026-04-17 017771 华夏聚利债券C 2.2005 2.2005 2.2002 2.2002 0.0003 0.01%
2026-04-16 017771 华夏聚利债券C 2.2002 2.2002 2.1762 2.1762 0.0240 1.10%
2026-04-15 017771 华夏聚利债券C 2.1762 2.1762 2.1745 2.1745 0.0017 0.08%
2026-04-14 017771 华夏聚利债券C 2.1745 2.1745 2.1619 2.1619 0.0126 0.58%
2026-04-13 017771 华夏聚利债券C 2.1619 2.1619 2.1672 2.1672 -0.0053 -0.24%
2026-04-10 017771 华夏聚利债券C 2.1672 2.1672 2.1629 2.1629 0.0043 0.20%
2026-04-09 017771 华夏聚利债券C 2.1629 2.1629 2.1566 2.1566 0.0063 0.29%
2026-04-08 017771 华夏聚利债券C 2.1566 2.1566 2.1209 2.1209 0.0357 1.68%
2026-04-07 017771 华夏聚利债券C 2.1209 2.1209 2.1177 2.1177 0.0032 0.15%
2026-04-03 017771 华夏聚利债券C 2.1177 2.1177 2.1114 2.1114 0.0063 0.30%
2026-04-02 017771 华夏聚利债券C 2.1114 2.1114 2.1221 2.1221 -0.0107 -0.50%
2026-04-01 017771 华夏聚利债券C 2.1221 2.1221 2.1050 2.1050 0.0171 0.81%
2026-03-31 017771 华夏聚利债券C 2.1050 2.1050 2.1176 2.1176 -0.0126 -0.60%
2026-03-30 017771 华夏聚利债券C 2.1176 2.1176 2.1204 2.1204 -0.0028 -0.13%
2026-03-27 017771 华夏聚利债券C 2.1204 2.1204 2.1133 2.1133 0.0071 0.34%
2026-03-26 017771 华夏聚利债券C 2.1133 2.1133 2.1235 2.1235 -0.0102 -0.48%
2026-03-25 017771 华夏聚利债券C 2.1235 2.1235 2.1162 2.1162 0.0073 0.34%
2026-03-24 017771 华夏聚利债券C 2.1162 2.1162 2.0984 2.0984 0.0178 0.85%
2026-03-23 017771 华夏聚利债券C 2.0984 2.0984 2.1069 2.1069 -0.0085 -0.40%
2026-03-20 017771 华夏聚利债券C 2.1069 2.1069 2.1113 2.1113 -0.0044 -0.21%
2026-03-19 017771 华夏聚利债券C 2.1113 2.1113 2.1266 2.1266 -0.0153 -0.72%
2026-03-18 017771 华夏聚利债券C 2.1266 2.1266 2.1179 2.1179 0.0087 0.41%
债券型-混合一级基金涨幅榜
基金名称 单位净值 日增长率
民生鑫享债券A 1.2154 0.26%
民生鑫享债券C 1.1760 0.26%
民生加银鑫享债券E 1.2140 0.26%
民生鑫享债券D 1.0276 0.25%
长城积极增利债券D 1.3618 0.12%
长城积极A 1.3617 0.12%
长城积极C 1.5847 0.12%
大成债券A\/B 1.1042 0.09%
大成债券C 1.1207 0.09%
民生鑫元纯债A 1.0357 0.08%