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国泰金盛回报混合C基金净值查询(019329)

今天最新净值 1.3381 0.0141 1.06% 2026-09-17
盘中实时估值(仅供参考) 1.4981 0.0201 1.3586% 2026-03-24 15:39:58
  • 累计净值:1.3381
  • 成立日期:
  • 基金类型:混合型-偏股
  • 成立份额:
  • 最近份额:0.5733亿
  • 最近资产:1.59亿元
  • 基金公司:
  • 基金经理:胡松
今年以来国泰金盛回报混合C基金净值查询
基金历史净值按日期查询: -
今年以来,国泰金盛回报混合C(019329)基金累计收益率-7.69%
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 019329 国泰金盛回报混合C 1.3363 1.3363 1.3381 1.3381 -0.0018 -0.13%
2026-09-16 019329 国泰金盛回报混合C 1.3381 1.3381 1.3240 1.3240 0.0141 1.06%
2026-09-15 019329 国泰金盛回报混合C 1.3240 1.3240 1.3377 1.3377 -0.0137 -1.02%
2026-09-14 019329 国泰金盛回报混合C 1.3377 1.3377 1.3517 1.3517 -0.0140 -1.04%
2026-09-11 019329 国泰金盛回报混合C 1.3517 1.3517 1.3583 1.3583 -0.0066 -0.49%
2026-09-10 019329 国泰金盛回报混合C 1.3583 1.3583 1.3805 1.3805 -0.0222 -1.63%
2026-09-09 019329 国泰金盛回报混合C 1.3805 1.3805 1.3839 1.3839 -0.0034 -0.25%
2026-09-08 019329 国泰金盛回报混合C 1.3839 1.3839 1.4018 1.4018 -0.0179 -1.29%
2026-09-07 019329 国泰金盛回报混合C 1.4018 1.4018 1.3837 1.3837 0.0181 1.31%
2026-09-04 019329 国泰金盛回报混合C 1.3837 1.3837 1.3897 1.3897 -0.0060 -0.43%
2026-09-03 019329 国泰金盛回报混合C 1.3897 1.3897 1.3870 1.3870 0.0027 0.19%
2026-09-02 019329 国泰金盛回报混合C 1.3870 1.3870 1.4189 1.4189 -0.0319 -2.30%
2026-09-01 019329 国泰金盛回报混合C 1.4189 1.4189 1.4324 1.4324 -0.0135 -0.94%
2026-08-31 019329 国泰金盛回报混合C 1.4324 1.4324 1.4168 1.4168 0.0156 1.10%
2026-08-28 019329 国泰金盛回报混合C 1.4168 1.4168 1.4344 1.4344 -0.0176 -1.23%
2026-08-27 019329 国泰金盛回报混合C 1.4344 1.4344 1.3990 1.3990 0.0354 2.53%
2026-08-26 019329 国泰金盛回报混合C 1.3990 1.3990 1.3985 1.3985 0.0005 0.04%
2026-08-25 019329 国泰金盛回报混合C 1.3985 1.3985 1.3998 1.3998 -0.0013 -0.09%
2026-08-24 019329 国泰金盛回报混合C 1.3998 1.3998 1.4512 1.4512 -0.0514 -3.67%
2026-08-21 019329 国泰金盛回报混合C 1.4512 1.4512 1.4223 1.4223 0.0289 2.03%
2026-08-20 019329 国泰金盛回报混合C 1.4223 1.4223 1.4159 1.4159 0.0064 0.45%
2026-08-19 019329 国泰金盛回报混合C 1.4159 1.4159 1.4968 1.4968 -0.0809 -5.40%
2026-08-18 019329 国泰金盛回报混合C 1.4968 1.4968 1.5190 1.5190 -0.0222 -1.48%
2026-08-17 019329 国泰金盛回报混合C 1.5190 1.5190 1.4853 1.4853 0.0337 2.27%
2026-08-14 019329 国泰金盛回报混合C 1.4853 1.4853 1.4766 1.4766 0.0087 0.59%
2026-08-13 019329 国泰金盛回报混合C 1.4766 1.4766 1.4758 1.4758 0.0008 0.05%
2026-08-12 019329 国泰金盛回报混合C 1.4758 1.4758 1.4482 1.4482 0.0276 1.91%
2026-08-11 019329 国泰金盛回报混合C 1.4482 1.4482 1.4507 1.4507 -0.0025 -0.17%
2026-08-10 019329 国泰金盛回报混合C 1.4507 1.4507 1.4582 1.4582 -0.0075 -0.51%
2026-08-07 019329 国泰金盛回报混合C 1.4582 1.4582 1.4168 1.4168 0.0414 2.92%
2026-08-06 019329 国泰金盛回报混合C 1.4168 1.4168 1.4041 1.4041 0.0127 0.90%
2026-08-05 019329 国泰金盛回报混合C 1.4041 1.4041 1.3918 1.3918 0.0123 0.88%
2026-08-04 019329 国泰金盛回报混合C 1.3918 1.3918 1.3299 1.3299 0.0619 4.65%
2026-08-03 019329 国泰金盛回报混合C 1.3299 1.3299 1.3510 1.3510 -0.0211 -1.56%
2026-07-31 019329 国泰金盛回报混合C 1.3510 1.3510 1.3001 1.3001 0.0509 3.92%
2026-07-30 019329 国泰金盛回报混合C 1.3001 1.3001 1.3817 1.3817 -0.0816 -6.28%
2026-07-29 019329 国泰金盛回报混合C 1.3817 1.3817 1.3709 1.3709 0.0108 0.79%
2026-07-28 019329 国泰金盛回报混合C 1.3709 1.3709 1.4860 1.4860 -0.1151 -8.40%
2026-07-27 019329 国泰金盛回报混合C 1.4860 1.4860 1.4412 1.4412 0.0448 3.11%
2026-07-24 019329 国泰金盛回报混合C 1.4412 1.4412 1.4645 1.4645 -0.0233 -1.59%
2026-07-23 019329 国泰金盛回报混合C 1.4645 1.4645 1.4754 1.4754 -0.0109 -0.74%
2026-07-22 019329 国泰金盛回报混合C 1.4754 1.4754 1.5190 1.5190 -0.0436 -2.96%
2026-07-21 019329 国泰金盛回报混合C 1.5190 1.5190 1.3933 1.3933 0.1257 9.02%
2026-07-20 019329 国泰金盛回报混合C 1.3933 1.3933 1.4444 1.4444 -0.0511 -3.67%
2026-07-17 019329 国泰金盛回报混合C 1.4444 1.4444 1.5939 1.5939 -0.1495 -10.35%
2026-07-16 019329 国泰金盛回报混合C 1.5939 1.5939 1.6420 1.6420 -0.0481 -2.93%
2026-07-15 019329 国泰金盛回报混合C 1.6420 1.6420 1.6564 1.6564 -0.0144 -0.87%
2026-07-14 019329 国泰金盛回报混合C 1.6564 1.6564 1.5994 1.5994 0.0570 3.56%
2026-07-13 019329 国泰金盛回报混合C 1.5994 1.5994 1.6504 1.6504 -0.0510 -3.09%
2026-07-10 019329 国泰金盛回报混合C 1.6504 1.6504 1.7437 1.7437 -0.0933 -5.65%
2026-07-09 019329 国泰金盛回报混合C 1.7437 1.7437 1.6546 1.6546 0.0891 5.38%
2026-07-08 019329 国泰金盛回报混合C 1.6546 1.6546 1.6611 1.6611 -0.0065 -0.39%
2026-07-07 019329 国泰金盛回报混合C 1.6611 1.6611 1.6671 1.6671 -0.0060 -0.36%
2026-07-06 019329 国泰金盛回报混合C 1.6671 1.6671 1.7167 1.7167 -0.0496 -2.98%
2026-07-03 019329 国泰金盛回报混合C 1.7167 1.7167 1.7185 1.7185 -0.0018 -0.10%
2026-07-02 019329 国泰金盛回报混合C 1.7185 1.7185 1.8330 1.8330 -0.1145 -6.25%
2026-07-01 019329 国泰金盛回报混合C 1.8330 1.8330 1.8859 1.8859 -0.0529 -2.89%
2026-06-30 019329 国泰金盛回报混合C 1.8859 1.8859 1.8152 1.8152 0.0707 3.89%
2026-06-29 019329 国泰金盛回报混合C 1.8152 1.8152 1.8222 1.8222 -0.0070 -0.38%
2026-06-26 019329 国泰金盛回报混合C 1.8222 1.8222 1.8875 1.8875 -0.0653 -3.46%
2026-06-25 019329 国泰金盛回报混合C 1.8875 1.8875 1.8432 1.8432 0.0443 2.40%
2026-06-24 019329 国泰金盛回报混合C 1.8432 1.8432 1.7910 1.7910 0.0522 2.91%
2026-06-23 019329 国泰金盛回报混合C 1.7910 1.7910 1.8500 1.8500 -0.0590 -3.19%
2026-06-22 019329 国泰金盛回报混合C 1.8500 1.8500 1.8430 1.8430 0.0070 0.38%
2026-06-18 019329 国泰金盛回报混合C 1.8430 1.8430 1.7996 1.7996 0.0434 2.41%
2026-06-17 019329 国泰金盛回报混合C 1.7996 1.7996 1.7664 1.7664 0.0332 1.88%
2026-06-16 019329 国泰金盛回报混合C 1.7664 1.7664 1.7528 1.7528 0.0136 0.78%
2026-06-15 019329 国泰金盛回报混合C 1.7528 1.7528 1.6605 1.6605 0.0923 5.56%
2026-06-12 019329 国泰金盛回报混合C 1.6605 1.6605 1.6688 1.6688 -0.0083 -0.50%
2026-06-11 019329 国泰金盛回报混合C 1.6688 1.6688 1.6678 1.6678 0.0010 0.06%
2026-06-10 019329 国泰金盛回报混合C 1.6678 1.6678 1.7096 1.7096 -0.0418 -2.45%
2026-06-09 019329 国泰金盛回报混合C 1.7096 1.7096 1.6485 1.6485 0.0611 3.71%
2026-06-08 019329 国泰金盛回报混合C 1.6485 1.6485 1.6972 1.6972 -0.0487 -2.87%
2026-06-05 019329 国泰金盛回报混合C 1.6972 1.6972 1.7484 1.7484 -0.0512 -2.93%
2026-06-04 019329 国泰金盛回报混合C 1.7484 1.7484 1.7471 1.7471 0.0013 0.07%
2026-06-03 019329 国泰金盛回报混合C 1.7471 1.7471 1.7222 1.7222 0.0249 1.45%
2026-06-02 019329 国泰金盛回报混合C 1.7222 1.7222 1.6758 1.6758 0.0464 2.77%
2026-06-01 019329 国泰金盛回报混合C 1.6758 1.6758 1.7212 1.7212 -0.0454 -2.64%
2026-05-29 019329 国泰金盛回报混合C 1.7212 1.7212 1.7603 1.7603 -0.0391 -2.22%
2026-05-28 019329 国泰金盛回报混合C 1.7603 1.7603 1.7149 1.7149 0.0454 2.65%
2026-05-27 019329 国泰金盛回报混合C 1.7149 1.7149 1.7328 1.7328 -0.0179 -1.03%
2026-05-26 019329 国泰金盛回报混合C 1.7328 1.7328 1.7353 1.7353 -0.0025 -0.14%
2026-05-25 019329 国泰金盛回报混合C 1.7353 1.7353 1.7004 1.7004 0.0349 2.05%
2026-05-22 019329 国泰金盛回报混合C 1.7004 1.7004 1.6331 1.6331 0.0673 4.12%
2026-05-21 019329 国泰金盛回报混合C 1.6331 1.6331 1.6880 1.6880 -0.0549 -3.25%
2026-05-20 019329 国泰金盛回报混合C 1.6880 1.6880 1.6744 1.6744 0.0136 0.81%
2026-05-19 019329 国泰金盛回报混合C 1.6744 1.6744 1.6620 1.6620 0.0124 0.75%
2026-05-18 019329 国泰金盛回报混合C 1.6620 1.6620 1.6632 1.6632 -0.0012 -0.07%
2026-05-15 019329 国泰金盛回报混合C 1.6632 1.6632 1.6895 1.6895 -0.0263 -1.56%
2026-05-14 019329 国泰金盛回报混合C 1.6895 1.6895 1.7078 1.7078 -0.0183 -1.07%
2026-05-13 019329 国泰金盛回报混合C 1.7078 1.7078 1.6813 1.6813 0.0265 1.58%
2026-05-12 019329 国泰金盛回报混合C 1.6813 1.6813 1.6668 1.6668 0.0145 0.87%
2026-05-11 019329 国泰金盛回报混合C 1.6668 1.6668 1.6346 1.6346 0.0322 1.97%
2026-05-08 019329 国泰金盛回报混合C 1.6346 1.6346 1.6423 1.6423 -0.0077 -0.47%
2026-04-30 019329 国泰金盛回报混合C 1.5817 1.5817 1.5848 1.5848 -0.0031 -0.20%
2026-04-29 019329 国泰金盛回报混合C 1.5848 1.5848 1.5636 1.5636 0.0212 1.36%
2026-04-28 019329 国泰金盛回报混合C 1.5636 1.5636 1.5821 1.5821 -0.0185 -1.17%
2026-04-27 019329 国泰金盛回报混合C 1.5821 1.5821 1.5669 1.5669 0.0152 0.97%
2026-04-24 019329 国泰金盛回报混合C 1.5669 1.5669 1.5673 1.5673 -0.0004 -0.03%
2026-04-23 019329 国泰金盛回报混合C 1.5673 1.5673 1.5924 1.5924 -0.0251 -1.58%
2026-04-22 019329 国泰金盛回报混合C 1.5924 1.5924 1.5679 1.5679 0.0245 1.56%
2026-04-21 019329 国泰金盛回报混合C 1.5679 1.5679 1.5610 1.5610 0.0069 0.44%
2026-04-20 019329 国泰金盛回报混合C 1.5610 1.5610 1.5480 1.5480 0.0130 0.84%
2026-04-17 019329 国泰金盛回报混合C 1.5480 1.5480 1.5451 1.5451 0.0029 0.19%
2026-04-16 019329 国泰金盛回报混合C 1.5451 1.5451 1.5206 1.5206 0.0245 1.61%
2026-04-15 019329 国泰金盛回报混合C 1.5206 1.5206 1.5239 1.5239 -0.0033 -0.22%
2026-04-14 019329 国泰金盛回报混合C 1.5239 1.5239 1.5016 1.5016 0.0223 1.49%
2026-04-13 019329 国泰金盛回报混合C 1.5016 1.5016 1.5050 1.5050 -0.0034 -0.23%
2026-04-10 019329 国泰金盛回报混合C 1.5050 1.5050 1.4855 1.4855 0.0195 1.31%
2026-04-09 019329 国泰金盛回报混合C 1.4855 1.4855 1.4828 1.4828 0.0027 0.18%
2026-04-08 019329 国泰金盛回报混合C 1.4828 1.4828 1.4208 1.4208 0.0620 4.36%
2026-04-07 019329 国泰金盛回报混合C 1.4208 1.4208 1.4142 1.4142 0.0066 0.47%
2026-04-03 019329 国泰金盛回报混合C 1.4142 1.4142 1.4152 1.4152 -0.0010 -0.07%
2026-04-02 019329 国泰金盛回报混合C 1.4152 1.4152 1.4368 1.4368 -0.0216 -1.50%
2026-04-01 019329 国泰金盛回报混合C 1.4368 1.4368 1.3987 1.3987 0.0381 2.72%
2026-03-31 019329 国泰金盛回报混合C 1.3987 1.3987 1.4240 1.4240 -0.0253 -1.78%
2026-03-30 019329 国泰金盛回报混合C 1.4240 1.4240 1.4300 1.4300 -0.0060 -0.42%
2026-03-27 019329 国泰金盛回报混合C 1.4300 1.4300 1.4183 1.4183 0.0117 0.82%
2026-03-26 019329 国泰金盛回报混合C 1.4183 1.4183 1.4476 1.4476 -0.0293 -2.02%
2026-03-25 019329 国泰金盛回报混合C 1.4476 1.4476 1.4389 1.4389 0.0087 0.60%
2026-03-24 019329 国泰金盛回报混合C 1.4389 1.4389 1.4015 1.4015 0.0374 2.67%
2026-03-23 019329 国泰金盛回报混合C 1.4015 1.4015 1.4557 1.4557 -0.0542 -3.72%
2026-03-20 019329 国泰金盛回报混合C 1.4557 1.4557 1.4567 1.4567 -0.0010 -0.07%
2026-03-19 019329 国泰金盛回报混合C 1.4567 1.4567 1.4937 1.4937 -0.0370 -2.48%
2026-03-18 019329 国泰金盛回报混合C 1.4937 1.4937 1.4780 1.4780 0.0157 1.06%
2026-03-17 019329 国泰金盛回报混合C 1.4780 1.4780 1.5074 1.5074 -0.0294 -1.95%
2026-03-16 019329 国泰金盛回报混合C 1.5074 1.5074 1.4963 1.4963 0.0111 0.74%
2026-03-13 019329 国泰金盛回报混合C 1.4963 1.4963 1.5094 1.5094 -0.0131 -0.87%
2026-03-12 019329 国泰金盛回报混合C 1.5094 1.5094 1.5203 1.5203 -0.0109 -0.72%
2026-03-11 019329 国泰金盛回报混合C 1.5203 1.5203 1.5155 1.5155 0.0048 0.32%
2026-03-10 019329 国泰金盛回报混合C 1.5155 1.5155 1.4819 1.4819 0.0336 2.27%
2026-03-09 019329 国泰金盛回报混合C 1.4819 1.4819 1.4963 1.4963 -0.0144 -0.96%
2026-03-06 019329 国泰金盛回报混合C 1.4963 1.4963 1.4891 1.4891 0.0072 0.48%
2026-03-05 019329 国泰金盛回报混合C 1.4891 1.4891 1.4865 1.4865 0.0026 0.17%
2026-03-04 019329 国泰金盛回报混合C 1.4865 1.4865 1.4985 1.4985 -0.0120 -0.80%
2026-03-03 019329 国泰金盛回报混合C 1.4985 1.4985 1.5403 1.5403 -0.0418 -2.71%
2026-03-02 019329 国泰金盛回报混合C 1.5403 1.5403 1.5449 1.5449 -0.0046 -0.30%
2026-02-27 019329 国泰金盛回报混合C 1.5449 1.5449 1.5373 1.5373 0.0076 0.49%
2026-02-26 019329 国泰金盛回报混合C 1.5373 1.5373 1.5536 1.5536 -0.0163 -1.05%
2026-02-25 019329 国泰金盛回报混合C 1.5536 1.5536 1.5443 1.5443 0.0093 0.60%
2026-02-24 019329 国泰金盛回报混合C 1.5443 1.5443 1.5432 1.5432 0.0011 0.07%
2026-02-13 019329 国泰金盛回报混合C 1.5432 1.5432 1.5615 1.5615 -0.0183 -1.17%
2026-02-12 019329 国泰金盛回报混合C 1.5615 1.5615 1.5600 1.5600 0.0015 0.10%
2026-02-11 019329 国泰金盛回报混合C 1.5600 1.5600 1.5600 1.5600 0.0000 0.00%
2026-02-10 019329 国泰金盛回报混合C 1.5600 1.5600 1.5591 1.5591 0.0009 0.06%
2026-02-09 019329 国泰金盛回报混合C 1.5591 1.5591 1.5338 1.5338 0.0253 1.65%
2026-02-06 019329 国泰金盛回报混合C 1.5338 1.5338 1.5317 1.5317 0.0021 0.14%
2026-02-05 019329 国泰金盛回报混合C 1.5317 1.5317 1.5484 1.5484 -0.0167 -1.08%
2026-02-04 019329 国泰金盛回报混合C 1.5484 1.5484 1.5460 1.5460 0.0024 0.16%
2026-02-03 019329 国泰金盛回报混合C 1.5460 1.5460 1.5138 1.5138 0.0322 2.13%
2026-02-02 019329 国泰金盛回报混合C 1.5138 1.5138 1.5718 1.5718 -0.0580 -3.69%
2026-01-30 019329 国泰金盛回报混合C 1.5718 1.5718 1.6081 1.6081 -0.0363 -2.26%
2026-01-29 019329 国泰金盛回报混合C 1.6081 1.6081 1.6092 1.6092 -0.0011 -0.07%
2026-01-28 019329 国泰金盛回报混合C 1.6092 1.6092 1.5905 1.5905 0.0187 1.18%
2026-01-27 019329 国泰金盛回报混合C 1.5905 1.5905 1.5772 1.5772 0.0133 0.84%
2026-01-26 019329 国泰金盛回报混合C 1.5772 1.5772 1.5777 1.5777 -0.0005 -0.03%
2026-01-23 019329 国泰金盛回报混合C 1.5777 1.5777 1.5722 1.5722 0.0055 0.35%
2026-01-22 019329 国泰金盛回报混合C 1.5722 1.5722 1.5643 1.5643 0.0079 0.51%
2026-01-21 019329 国泰金盛回报混合C 1.5643 1.5643 1.5402 1.5402 0.0241 1.56%
2026-01-20 019329 国泰金盛回报混合C 1.5402 1.5402 1.5416 1.5416 -0.0014 -0.09%
2026-01-19 019329 国泰金盛回报混合C 1.5416 1.5416 1.5350 1.5350 0.0066 0.43%
2026-01-16 019329 国泰金盛回报混合C 1.5350 1.5350 1.5421 1.5421 -0.0071 -0.46%
2026-01-15 019329 国泰金盛回报混合C 1.5421 1.5421 1.5276 1.5276 0.0145 0.95%
2026-01-14 019329 国泰金盛回报混合C 1.5276 1.5276 1.5188 1.5188 0.0088 0.58%
2026-01-13 019329 国泰金盛回报混合C 1.5188 1.5188 1.5265 1.5265 -0.0077 -0.50%
2026-01-12 019329 国泰金盛回报混合C 1.5265 1.5265 1.5049 1.5049 0.0216 1.44%
2026-01-09 019329 国泰金盛回报混合C 1.5049 1.5049 1.4964 1.4964 0.0085 0.57%
2026-01-08 019329 国泰金盛回报混合C 1.4964 1.4964 1.5101 1.5101 -0.0137 -0.91%
2026-01-07 019329 国泰金盛回报混合C 1.5101 1.5101 1.5065 1.5065 0.0036 0.24%
2026-01-06 019329 国泰金盛回报混合C 1.5065 1.5065 1.4933 1.4933 0.0132 0.88%
2026-01-05 019329 国泰金盛回报混合C 1.4933 1.4933 1.4476 1.4476 0.0457 3.16%
混合型-偏股基金涨幅榜
基金名称 单位净值 日增长率
华宝竞争优势混合C 1.5069 4.73%
华宝竞争优势混合A 1.5242 4.72%
富国核心动力混合A 1.0077 4.27%
广发中小盘精选混合A 3.1928 3.58%
广发中小盘精选混合C 3.1311 3.58%
交银启合混合A 1.5607 3.47%
交银启合混合C 1.5438 3.46%
华安景气领航混合A 1.2827 3.29%
华安景气领航混合C 1.2568 3.29%
富国国安A 0.9510 2.92%