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国泰金盛回报混合A基金净值查询(019328)

今天最新净值 1.3584 0.0144 1.07% 2026-09-17
盘中实时估值(仅供参考) 1.5162 0.0203 1.3586% 2026-03-24 15:39:58
  • 累计净值:1.3584
  • 成立日期:
  • 基金类型:混合型-偏股
  • 成立份额:
  • 最近份额:0.5711亿
  • 最近资产:0.61亿
  • 基金公司:
  • 基金经理:胡松
今年以来国泰金盛回报混合A基金净值查询
基金历史净值按日期查询: -
今年以来,国泰金盛回报混合A(019328)基金累计收益率-7.17%
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 019328 国泰金盛回报混合A 1.3565 1.3565 1.3584 1.3584 -0.0019 -0.14%
2026-09-16 019328 国泰金盛回报混合A 1.3584 1.3584 1.3440 1.3440 0.0144 1.07%
2026-09-15 019328 国泰金盛回报混合A 1.3440 1.3440 1.3580 1.3580 -0.0140 -1.04%
2026-09-14 019328 国泰金盛回报混合A 1.3580 1.3580 1.3721 1.3721 -0.0141 -1.03%
2026-09-11 019328 国泰金盛回报混合A 1.3721 1.3721 1.3787 1.3787 -0.0066 -0.48%
2026-09-10 019328 国泰金盛回报混合A 1.3787 1.3787 1.4012 1.4012 -0.0225 -1.63%
2026-09-09 019328 国泰金盛回报混合A 1.4012 1.4012 1.4047 1.4047 -0.0035 -0.25%
2026-09-08 019328 国泰金盛回报混合A 1.4047 1.4047 1.4228 1.4228 -0.0181 -1.29%
2026-09-07 019328 国泰金盛回报混合A 1.4228 1.4228 1.4044 1.4044 0.0184 1.31%
2026-09-04 019328 国泰金盛回报混合A 1.4044 1.4044 1.4104 1.4104 -0.0060 -0.43%
2026-09-03 019328 国泰金盛回报混合A 1.4104 1.4104 1.4077 1.4077 0.0027 0.19%
2026-09-02 019328 国泰金盛回报混合A 1.4077 1.4077 1.4400 1.4400 -0.0323 -2.29%
2026-09-01 019328 国泰金盛回报混合A 1.4400 1.4400 1.4537 1.4537 -0.0137 -0.94%
2026-08-31 019328 国泰金盛回报混合A 1.4537 1.4537 1.4378 1.4378 0.0159 1.11%
2026-08-28 019328 国泰金盛回报混合A 1.4378 1.4378 1.4556 1.4556 -0.0178 -1.22%
2026-08-27 019328 国泰金盛回报混合A 1.4556 1.4556 1.4197 1.4197 0.0359 2.53%
2026-08-26 019328 国泰金盛回报混合A 1.4197 1.4197 1.4191 1.4191 0.0006 0.04%
2026-08-25 019328 国泰金盛回报混合A 1.4191 1.4191 1.4204 1.4204 -0.0013 -0.09%
2026-08-24 019328 国泰金盛回报混合A 1.4204 1.4204 1.4726 1.4726 -0.0522 -3.68%
2026-08-21 019328 国泰金盛回报混合A 1.4726 1.4726 1.4432 1.4432 0.0294 2.04%
2026-08-20 019328 国泰金盛回报混合A 1.4432 1.4432 1.4367 1.4367 0.0065 0.45%
2026-08-19 019328 国泰金盛回报混合A 1.4367 1.4367 1.5188 1.5188 -0.0821 -5.41%
2026-08-18 019328 国泰金盛回报混合A 1.5188 1.5188 1.5412 1.5412 -0.0224 -1.47%
2026-08-17 019328 国泰金盛回报混合A 1.5412 1.5412 1.5070 1.5070 0.0342 2.27%
2026-08-14 019328 国泰金盛回报混合A 1.5070 1.5070 1.4981 1.4981 0.0089 0.59%
2026-08-13 019328 国泰金盛回报混合A 1.4981 1.4981 1.4973 1.4973 0.0008 0.05%
2026-08-12 019328 国泰金盛回报混合A 1.4973 1.4973 1.4693 1.4693 0.0280 1.91%
2026-08-11 019328 国泰金盛回报混合A 1.4693 1.4693 1.4718 1.4718 -0.0025 -0.17%
2026-08-10 019328 国泰金盛回报混合A 1.4718 1.4718 1.4793 1.4793 -0.0075 -0.51%
2026-08-07 019328 国泰金盛回报混合A 1.4793 1.4793 1.4373 1.4373 0.0420 2.92%
2026-08-06 019328 国泰金盛回报混合A 1.4373 1.4373 1.4244 1.4244 0.0129 0.91%
2026-08-05 019328 国泰金盛回报混合A 1.4244 1.4244 1.4118 1.4118 0.0126 0.89%
2026-08-04 019328 国泰金盛回报混合A 1.4118 1.4118 1.3491 1.3491 0.0627 4.65%
2026-08-03 019328 国泰金盛回报混合A 1.3491 1.3491 1.3704 1.3704 -0.0213 -1.55%
2026-07-31 019328 国泰金盛回报混合A 1.3704 1.3704 1.3188 1.3188 0.0516 3.91%
2026-07-30 019328 国泰金盛回报混合A 1.3188 1.3188 1.4014 1.4014 -0.0826 -6.26%
2026-07-29 019328 国泰金盛回报混合A 1.4014 1.4014 1.3905 1.3905 0.0109 0.78%
2026-07-28 019328 国泰金盛回报混合A 1.3905 1.3905 1.5073 1.5073 -0.1168 -8.40%
2026-07-27 019328 国泰金盛回报混合A 1.5073 1.5073 1.4617 1.4617 0.0456 3.12%
2026-07-24 019328 国泰金盛回报混合A 1.4617 1.4617 1.4853 1.4853 -0.0236 -1.59%
2026-07-23 019328 国泰金盛回报混合A 1.4853 1.4853 1.4964 1.4964 -0.0111 -0.74%
2026-07-22 019328 国泰金盛回报混合A 1.4964 1.4964 1.5405 1.5405 -0.0441 -2.95%
2026-07-21 019328 国泰金盛回报混合A 1.5405 1.5405 1.4130 1.4130 0.1275 9.02%
2026-07-20 019328 国泰金盛回报混合A 1.4130 1.4130 1.4648 1.4648 -0.0518 -3.67%
2026-07-17 019328 国泰金盛回报混合A 1.4648 1.4648 1.6164 1.6164 -0.1516 -10.35%
2026-07-16 019328 国泰金盛回报混合A 1.6164 1.6164 1.6651 1.6651 -0.0487 -2.92%
2026-07-15 019328 国泰金盛回报混合A 1.6651 1.6651 1.6797 1.6797 -0.0146 -0.87%
2026-07-14 019328 国泰金盛回报混合A 1.6797 1.6797 1.6219 1.6219 0.0578 3.56%
2026-07-13 019328 国泰金盛回报混合A 1.6219 1.6219 1.6735 1.6735 -0.0516 -3.08%
2026-07-10 019328 国泰金盛回报混合A 1.6735 1.6735 1.7681 1.7681 -0.0946 -5.65%
2026-07-09 019328 国泰金盛回报混合A 1.7681 1.7681 1.6777 1.6777 0.0904 5.39%
2026-07-08 019328 国泰金盛回报混合A 1.6777 1.6777 1.6842 1.6842 -0.0065 -0.39%
2026-07-07 019328 国泰金盛回报混合A 1.6842 1.6842 1.6904 1.6904 -0.0062 -0.37%
2026-07-06 019328 国泰金盛回报混合A 1.6904 1.6904 1.7406 1.7406 -0.0502 -2.97%
2026-07-03 019328 国泰金盛回报混合A 1.7406 1.7406 1.7423 1.7423 -0.0017 -0.10%
2026-07-02 019328 国泰金盛回报混合A 1.7423 1.7423 1.8584 1.8584 -0.1161 -6.25%
2026-07-01 019328 国泰金盛回报混合A 1.8584 1.8584 1.9120 1.9120 -0.0536 -2.88%
2026-06-30 019328 国泰金盛回报混合A 1.9120 1.9120 1.8403 1.8403 0.0717 3.90%
2026-06-29 019328 国泰金盛回报混合A 1.8403 1.8403 1.8473 1.8473 -0.0070 -0.38%
2026-06-26 019328 国泰金盛回报混合A 1.8473 1.8473 1.9134 1.9134 -0.0661 -3.45%
2026-06-25 019328 国泰金盛回报混合A 1.9134 1.9134 1.8685 1.8685 0.0449 2.40%
2026-06-24 019328 国泰金盛回报混合A 1.8685 1.8685 1.8156 1.8156 0.0529 2.91%
2026-06-23 019328 国泰金盛回报混合A 1.8156 1.8156 1.8753 1.8753 -0.0597 -3.18%
2026-06-22 019328 国泰金盛回报混合A 1.8753 1.8753 1.8681 1.8681 0.0072 0.39%
2026-06-18 019328 国泰金盛回报混合A 1.8681 1.8681 1.8242 1.8242 0.0439 2.41%
2026-06-17 019328 国泰金盛回报混合A 1.8242 1.8242 1.7904 1.7904 0.0338 1.89%
2026-06-16 019328 国泰金盛回报混合A 1.7904 1.7904 1.7767 1.7767 0.0137 0.77%
2026-06-15 019328 国泰金盛回报混合A 1.7767 1.7767 1.6830 1.6830 0.0937 5.57%
2026-06-12 019328 国泰金盛回报混合A 1.6830 1.6830 1.6914 1.6914 -0.0084 -0.50%
2026-06-11 019328 国泰金盛回报混合A 1.6914 1.6914 1.6904 1.6904 0.0010 0.06%
2026-06-10 019328 国泰金盛回报混合A 1.6904 1.6904 1.7327 1.7327 -0.0423 -2.44%
2026-06-09 019328 国泰金盛回报混合A 1.7327 1.7327 1.6707 1.6707 0.0620 3.71%
2026-06-08 019328 国泰金盛回报混合A 1.6707 1.6707 1.7200 1.7200 -0.0493 -2.87%
2026-06-05 019328 国泰金盛回报混合A 1.7200 1.7200 1.7719 1.7719 -0.0519 -2.93%
2026-06-04 019328 国泰金盛回报混合A 1.7719 1.7719 1.7706 1.7706 0.0013 0.07%
2026-06-03 019328 国泰金盛回报混合A 1.7706 1.7706 1.7453 1.7453 0.0253 1.45%
2026-06-02 019328 国泰金盛回报混合A 1.7453 1.7453 1.6983 1.6983 0.0470 2.77%
2026-06-01 019328 国泰金盛回报混合A 1.6983 1.6983 1.7442 1.7442 -0.0459 -2.63%
2026-05-29 019328 国泰金盛回报混合A 1.7442 1.7442 1.7837 1.7837 -0.0395 -2.21%
2026-05-28 019328 国泰金盛回报混合A 1.7837 1.7837 1.7377 1.7377 0.0460 2.65%
2026-05-27 019328 国泰金盛回报混合A 1.7377 1.7377 1.7558 1.7558 -0.0181 -1.03%
2026-05-26 019328 国泰金盛回报混合A 1.7558 1.7558 1.7583 1.7583 -0.0025 -0.14%
2026-05-25 019328 国泰金盛回报混合A 1.7583 1.7583 1.7229 1.7229 0.0354 2.05%
2026-05-22 019328 国泰金盛回报混合A 1.7229 1.7229 1.6546 1.6546 0.0683 4.13%
2026-05-21 019328 国泰金盛回报混合A 1.6546 1.6546 1.7102 1.7102 -0.0556 -3.25%
2026-05-20 019328 国泰金盛回报混合A 1.7102 1.7102 1.6964 1.6964 0.0138 0.81%
2026-05-19 019328 国泰金盛回报混合A 1.6964 1.6964 1.6839 1.6839 0.0125 0.74%
2026-05-18 019328 国泰金盛回报混合A 1.6839 1.6839 1.6850 1.6850 -0.0011 -0.07%
2026-05-15 019328 国泰金盛回报混合A 1.6850 1.6850 1.7116 1.7116 -0.0266 -1.55%
2026-05-14 019328 国泰金盛回报混合A 1.7116 1.7116 1.7301 1.7301 -0.0185 -1.07%
2026-05-13 019328 国泰金盛回报混合A 1.7301 1.7301 1.7032 1.7032 0.0269 1.58%
2026-05-12 019328 国泰金盛回报混合A 1.7032 1.7032 1.6885 1.6885 0.0147 0.87%
2026-05-11 019328 国泰金盛回报混合A 1.6885 1.6885 1.6559 1.6559 0.0326 1.97%
2026-05-08 019328 国泰金盛回报混合A 1.6559 1.6559 1.6636 1.6636 -0.0077 -0.46%
2026-04-30 019328 国泰金盛回报混合A 1.6020 1.6020 1.6051 1.6051 -0.0031 -0.19%
2026-04-29 019328 国泰金盛回报混合A 1.6051 1.6051 1.5836 1.5836 0.0215 1.36%
2026-04-28 019328 国泰金盛回报混合A 1.5836 1.5836 1.6024 1.6024 -0.0188 -1.17%
2026-04-27 019328 国泰金盛回报混合A 1.6024 1.6024 1.5869 1.5869 0.0155 0.98%
2026-04-24 019328 国泰金盛回报混合A 1.5869 1.5869 1.5872 1.5872 -0.0003 -0.02%
2026-04-23 019328 国泰金盛回报混合A 1.5872 1.5872 1.6126 1.6126 -0.0254 -1.58%
2026-04-22 019328 国泰金盛回报混合A 1.6126 1.6126 1.5877 1.5877 0.0249 1.57%
2026-04-21 019328 国泰金盛回报混合A 1.5877 1.5877 1.5808 1.5808 0.0069 0.44%
2026-04-20 019328 国泰金盛回报混合A 1.5808 1.5808 1.5676 1.5676 0.0132 0.84%
2026-04-17 019328 国泰金盛回报混合A 1.5676 1.5676 1.5646 1.5646 0.0030 0.19%
2026-04-16 019328 国泰金盛回报混合A 1.5646 1.5646 1.5397 1.5397 0.0249 1.62%
2026-04-15 019328 国泰金盛回报混合A 1.5397 1.5397 1.5431 1.5431 -0.0034 -0.22%
2026-04-14 019328 国泰金盛回报混合A 1.5431 1.5431 1.5204 1.5204 0.0227 1.49%
2026-04-13 019328 国泰金盛回报混合A 1.5204 1.5204 1.5238 1.5238 -0.0034 -0.22%
2026-04-10 019328 国泰金盛回报混合A 1.5238 1.5238 1.5041 1.5041 0.0197 1.31%
2026-04-09 019328 国泰金盛回报混合A 1.5041 1.5041 1.5013 1.5013 0.0028 0.19%
2026-04-08 019328 国泰金盛回报混合A 1.5013 1.5013 1.4385 1.4385 0.0628 4.37%
2026-04-07 019328 国泰金盛回报混合A 1.4385 1.4385 1.4317 1.4317 0.0068 0.47%
2026-04-03 019328 国泰金盛回报混合A 1.4317 1.4317 1.4327 1.4327 -0.0010 -0.07%
2026-04-02 019328 国泰金盛回报混合A 1.4327 1.4327 1.4545 1.4545 -0.0218 -1.50%
2026-04-01 019328 国泰金盛回报混合A 1.4545 1.4545 1.4160 1.4160 0.0385 2.72%
2026-03-31 019328 国泰金盛回报混合A 1.4160 1.4160 1.4416 1.4416 -0.0256 -1.78%
2026-03-30 019328 国泰金盛回报混合A 1.4416 1.4416 1.4475 1.4475 -0.0059 -0.41%
2026-03-27 019328 国泰金盛回报混合A 1.4475 1.4475 1.4357 1.4357 0.0118 0.82%
2026-03-26 019328 国泰金盛回报混合A 1.4357 1.4357 1.4653 1.4653 -0.0296 -2.02%
2026-03-25 019328 国泰金盛回报混合A 1.4653 1.4653 1.4565 1.4565 0.0088 0.60%
2026-03-24 019328 国泰金盛回报混合A 1.4565 1.4565 1.4186 1.4186 0.0379 2.67%
2026-03-23 019328 国泰金盛回报混合A 1.4186 1.4186 1.4733 1.4733 -0.0547 -3.71%
2026-03-20 019328 国泰金盛回报混合A 1.4733 1.4733 1.4744 1.4744 -0.0011 -0.07%
2026-03-19 019328 国泰金盛回报混合A 1.4744 1.4744 1.5118 1.5118 -0.0374 -2.47%
2026-03-18 019328 国泰金盛回报混合A 1.5118 1.5118 1.4959 1.4959 0.0159 1.06%
2026-03-17 019328 国泰金盛回报混合A 1.4959 1.4959 1.5256 1.5256 -0.0297 -1.95%
2026-03-16 019328 国泰金盛回报混合A 1.5256 1.5256 1.5144 1.5144 0.0112 0.74%
2026-03-13 019328 国泰金盛回报混合A 1.5144 1.5144 1.5275 1.5275 -0.0131 -0.86%
2026-03-12 019328 国泰金盛回报混合A 1.5275 1.5275 1.5385 1.5385 -0.0110 -0.71%
2026-03-11 019328 国泰金盛回报混合A 1.5385 1.5385 1.5336 1.5336 0.0049 0.32%
2026-03-10 019328 国泰金盛回报混合A 1.5336 1.5336 1.4996 1.4996 0.0340 2.27%
2026-03-09 019328 国泰金盛回报混合A 1.4996 1.4996 1.5141 1.5141 -0.0145 -0.96%
2026-03-06 019328 国泰金盛回报混合A 1.5141 1.5141 1.5068 1.5068 0.0073 0.48%
2026-03-05 019328 国泰金盛回报混合A 1.5068 1.5068 1.5041 1.5041 0.0027 0.18%
2026-03-04 019328 国泰金盛回报混合A 1.5041 1.5041 1.5163 1.5163 -0.0122 -0.80%
2026-03-03 019328 国泰金盛回报混合A 1.5163 1.5163 1.5585 1.5585 -0.0422 -2.71%
2026-03-02 019328 国泰金盛回报混合A 1.5585 1.5585 1.5631 1.5631 -0.0046 -0.29%
2026-02-27 019328 国泰金盛回报混合A 1.5631 1.5631 1.5554 1.5554 0.0077 0.50%
2026-02-26 019328 国泰金盛回报混合A 1.5554 1.5554 1.5719 1.5719 -0.0165 -1.05%
2026-02-25 019328 国泰金盛回报混合A 1.5719 1.5719 1.5625 1.5625 0.0094 0.60%
2026-02-24 019328 国泰金盛回报混合A 1.5625 1.5625 1.5611 1.5611 0.0014 0.09%
2026-02-13 019328 国泰金盛回报混合A 1.5611 1.5611 1.5795 1.5795 -0.0184 -1.16%
2026-02-12 019328 国泰金盛回报混合A 1.5795 1.5795 1.5780 1.5780 0.0015 0.10%
2026-02-11 019328 国泰金盛回报混合A 1.5780 1.5780 1.5780 1.5780 0.0000 0.00%
2026-02-10 019328 国泰金盛回报混合A 1.5780 1.5780 1.5770 1.5770 0.0010 0.06%
2026-02-09 019328 国泰金盛回报混合A 1.5770 1.5770 1.5514 1.5514 0.0256 1.65%
2026-02-06 019328 国泰金盛回报混合A 1.5514 1.5514 1.5492 1.5492 0.0022 0.14%
2026-02-05 019328 国泰金盛回报混合A 1.5492 1.5492 1.5661 1.5661 -0.0169 -1.08%
2026-02-04 019328 国泰金盛回报混合A 1.5661 1.5661 1.5636 1.5636 0.0025 0.16%
2026-02-03 019328 国泰金盛回报混合A 1.5636 1.5636 1.5310 1.5310 0.0326 2.13%
2026-02-02 019328 国泰金盛回报混合A 1.5310 1.5310 1.5896 1.5896 -0.0586 -3.69%
2026-01-30 019328 国泰金盛回报混合A 1.5896 1.5896 1.6263 1.6263 -0.0367 -2.26%
2026-01-29 019328 国泰金盛回报混合A 1.6263 1.6263 1.6274 1.6274 -0.0011 -0.07%
2026-01-28 019328 国泰金盛回报混合A 1.6274 1.6274 1.6085 1.6085 0.0189 1.18%
2026-01-27 019328 国泰金盛回报混合A 1.6085 1.6085 1.5950 1.5950 0.0135 0.85%
2026-01-26 019328 国泰金盛回报混合A 1.5950 1.5950 1.5955 1.5955 -0.0005 -0.03%
2026-01-23 019328 国泰金盛回报混合A 1.5955 1.5955 1.5899 1.5899 0.0056 0.35%
2026-01-22 019328 国泰金盛回报混合A 1.5899 1.5899 1.5818 1.5818 0.0081 0.51%
2026-01-21 019328 国泰金盛回报混合A 1.5818 1.5818 1.5574 1.5574 0.0244 1.57%
2026-01-20 019328 国泰金盛回报混合A 1.5574 1.5574 1.5588 1.5588 -0.0014 -0.09%
2026-01-19 019328 国泰金盛回报混合A 1.5588 1.5588 1.5521 1.5521 0.0067 0.43%
2026-01-16 019328 国泰金盛回报混合A 1.5521 1.5521 1.5593 1.5593 -0.0072 -0.46%
2026-01-15 019328 国泰金盛回报混合A 1.5593 1.5593 1.5445 1.5445 0.0148 0.96%
2026-01-14 019328 国泰金盛回报混合A 1.5445 1.5445 1.5356 1.5356 0.0089 0.58%
2026-01-13 019328 国泰金盛回报混合A 1.5356 1.5356 1.5434 1.5434 -0.0078 -0.51%
2026-01-12 019328 国泰金盛回报混合A 1.5434 1.5434 1.5215 1.5215 0.0219 1.44%
2026-01-09 019328 国泰金盛回报混合A 1.5215 1.5215 1.5128 1.5128 0.0087 0.58%
2026-01-08 019328 国泰金盛回报混合A 1.5128 1.5128 1.5266 1.5266 -0.0138 -0.90%
2026-01-07 019328 国泰金盛回报混合A 1.5266 1.5266 1.5229 1.5229 0.0037 0.24%
2026-01-06 019328 国泰金盛回报混合A 1.5229 1.5229 1.5096 1.5096 0.0133 0.88%
2026-01-05 019328 国泰金盛回报混合A 1.5096 1.5096 1.4633 1.4633 0.0463 3.16%
混合型-偏股基金涨幅榜
基金名称 单位净值 日增长率
富荣福锦混合A 1.8350 4.74%
富荣福锦混合C 1.8019 4.74%
中欧制造升级混合发起A 0.8977 4.43%
中欧制造升级混合发起C 0.8922 4.42%
华富科技动能混合A 1.4345 4.18%
华富科技动能混合C 1.4047 4.18%
方正富邦远见成长混合A 1.2705 4.11%
方正富邦远见成长混合C 1.2352 4.11%
中欧盛世E 1.8523 4.04%
中欧盛世C 1.7234 4.04%