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国泰海通君得盈债券A基金净值查询(952020)

今天最新净值 1.0627 -0.0030 -0.28% 2026-09-16
盘中实时估值(仅供参考) 1.0999 0.0017 0.1567% 2026-03-24 15:39:58
  • 累计净值:1.3947
  • 成立日期:
  • 基金类型:债券型-混合二级
  • 成立份额:
  • 最近份额:0.8159亿
  • 最近资产:0.82亿
  • 基金公司:
  • 基金经理:朱莹 刘晟
近半年国泰海通君得盈债券A基金净值查询
基金历史净值按日期查询: -
近半年,国泰海通君得盈债券A(952020)基金累计收益率0.87%
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 952020 国泰海通君得盈债券A 1.0690 1.4010 1.0627 1.3947 0.0063 0.59%
2026-09-15 952020 国泰海通君得盈债券A 1.0627 1.3947 1.0657 1.3977 -0.0030 -0.28%
2026-09-14 952020 国泰海通君得盈债券A 1.0657 1.3977 1.0662 1.3982 -0.0005 -0.05%
2026-09-11 952020 国泰海通君得盈债券A 1.0662 1.3982 1.0717 1.4037 -0.0055 -0.51%
2026-09-10 952020 国泰海通君得盈债券A 1.0717 1.4037 1.0743 1.4063 -0.0026 -0.24%
2026-09-09 952020 国泰海通君得盈债券A 1.0743 1.4063 1.0731 1.4051 0.0012 0.11%
2026-09-08 952020 国泰海通君得盈债券A 1.0731 1.4051 1.0737 1.4057 -0.0006 -0.06%
2026-09-07 952020 国泰海通君得盈债券A 1.0737 1.4057 1.0692 1.4012 0.0045 0.42%
2026-09-04 952020 国泰海通君得盈债券A 1.0692 1.4012 1.0727 1.4047 -0.0035 -0.33%
2026-09-03 952020 国泰海通君得盈债券A 1.0727 1.4047 1.0711 1.4031 0.0016 0.15%
2026-09-02 952020 国泰海通君得盈债券A 1.0711 1.4031 1.0771 1.4091 -0.0060 -0.56%
2026-09-01 952020 国泰海通君得盈债券A 1.0771 1.4091 1.0796 1.4116 -0.0025 -0.23%
2026-08-31 952020 国泰海通君得盈债券A 1.0796 1.4116 1.0752 1.4072 0.0044 0.41%
2026-08-28 952020 国泰海通君得盈债券A 1.0752 1.4072 1.0773 1.4093 -0.0021 -0.19%
2026-08-27 952020 国泰海通君得盈债券A 1.0773 1.4093 1.0719 1.4039 0.0054 0.50%
2026-08-26 952020 国泰海通君得盈债券A 1.0719 1.4039 1.0707 1.4027 0.0012 0.11%
2026-08-25 952020 国泰海通君得盈债券A 1.0707 1.4027 1.0710 1.4030 -0.0003 -0.03%
2026-08-24 952020 国泰海通君得盈债券A 1.0710 1.4030 1.0772 1.4092 -0.0062 -0.58%
2026-08-21 952020 国泰海通君得盈债券A 1.0772 1.4092 1.0753 1.4073 0.0019 0.18%
2026-08-20 952020 国泰海通君得盈债券A 1.0753 1.4073 1.0727 1.4047 0.0026 0.24%
2026-08-19 952020 国泰海通君得盈债券A 1.0727 1.4047 1.0897 1.4217 -0.0170 -1.56%
2026-08-18 952020 国泰海通君得盈债券A 1.0897 1.4217 1.0897 1.4217 0.0000 0.00%
2026-08-17 952020 国泰海通君得盈债券A 1.0897 1.4217 1.0802 1.4122 0.0095 0.88%
2026-08-14 952020 国泰海通君得盈债券A 1.0802 1.4122 1.0781 1.4101 0.0021 0.19%
2026-08-13 952020 国泰海通君得盈债券A 1.0781 1.4101 1.0811 1.4131 -0.0030 -0.28%
2026-08-12 952020 国泰海通君得盈债券A 1.0811 1.4131 1.0772 1.4092 0.0039 0.36%
2026-08-11 952020 国泰海通君得盈债券A 1.0772 1.4092 1.0800 1.4120 -0.0028 -0.26%
2026-08-10 952020 国泰海通君得盈债券A 1.0800 1.4120 1.0783 1.4103 0.0017 0.16%
2026-08-07 952020 国泰海通君得盈债券A 1.0783 1.4103 1.0715 1.4035 0.0068 0.63%
2026-08-06 952020 国泰海通君得盈债券A 1.0715 1.4035 1.0697 1.4017 0.0018 0.17%
2026-08-05 952020 国泰海通君得盈债券A 1.0697 1.4017 1.0621 1.3941 0.0076 0.72%
2026-08-04 952020 国泰海通君得盈债券A 1.0621 1.3941 1.0548 1.3868 0.0073 0.69%
2026-08-03 952020 国泰海通君得盈债券A 1.0548 1.3868 1.0584 1.3904 -0.0036 -0.34%
2026-07-31 952020 国泰海通君得盈债券A 1.0584 1.3904 1.0533 1.3853 0.0051 0.48%
2026-07-30 952020 国泰海通君得盈债券A 1.0533 1.3853 1.0610 1.3930 -0.0077 -0.73%
2026-07-29 952020 国泰海通君得盈债券A 1.0610 1.3930 1.0589 1.3909 0.0021 0.20%
2026-07-28 952020 国泰海通君得盈债券A 1.0589 1.3909 1.0722 1.4042 -0.0133 -1.24%
2026-07-27 952020 国泰海通君得盈债券A 1.0722 1.4042 1.0659 1.3979 0.0063 0.59%
2026-07-24 952020 国泰海通君得盈债券A 1.0659 1.3979 1.0725 1.4045 -0.0066 -0.62%
2026-07-23 952020 国泰海通君得盈债券A 1.0725 1.4045 1.0722 1.4042 0.0003 0.03%
2026-07-22 952020 国泰海通君得盈债券A 1.0722 1.4042 1.0739 1.4059 -0.0017 -0.16%
2026-07-21 952020 国泰海通君得盈债券A 1.0739 1.4059 1.0609 1.3929 0.0130 1.23%
2026-07-20 952020 国泰海通君得盈债券A 1.0609 1.3929 1.0618 1.3938 -0.0009 -0.08%
2026-07-17 952020 国泰海通君得盈债券A 1.0618 1.3938 1.0813 1.4133 -0.0195 -1.80%
2026-07-16 952020 国泰海通君得盈债券A 1.0813 1.4133 1.0908 1.4228 -0.0095 -0.87%
2026-07-15 952020 国泰海通君得盈债券A 1.0908 1.4228 1.0930 1.4250 -0.0022 -0.20%
2026-07-14 952020 国泰海通君得盈债券A 1.0930 1.4250 1.0828 1.4148 0.0102 0.94%
2026-07-13 952020 国泰海通君得盈债券A 1.0828 1.4148 1.0967 1.4287 -0.0139 -1.27%
2026-07-10 952020 国泰海通君得盈债券A 1.0967 1.4287 1.1061 1.4381 -0.0094 -0.85%
2026-07-09 952020 国泰海通君得盈债券A 1.1061 1.4381 1.0949 1.4269 0.0112 1.02%
2026-07-08 952020 国泰海通君得盈债券A 1.0949 1.4269 1.1011 1.4331 -0.0062 -0.56%
2026-07-07 952020 国泰海通君得盈债券A 1.1011 1.4331 1.1082 1.4402 -0.0071 -0.64%
2026-07-06 952020 国泰海通君得盈债券A 1.1082 1.4402 1.1111 1.4431 -0.0029 -0.26%
2026-07-03 952020 国泰海通君得盈债券A 1.1111 1.4431 1.1082 1.4402 0.0029 0.26%
2026-07-02 952020 国泰海通君得盈债券A 1.1082 1.4402 1.1218 1.4538 -0.0136 -1.21%
2026-07-01 952020 国泰海通君得盈债券A 1.1218 1.4538 1.1243 1.4563 -0.0025 -0.22%
2026-06-30 952020 国泰海通君得盈债券A 1.1243 1.4563 1.1169 1.4489 0.0074 0.66%
2026-06-29 952020 国泰海通君得盈债券A 1.1169 1.4489 1.1127 1.4447 0.0042 0.38%
2026-06-26 952020 国泰海通君得盈债券A 1.1127 1.4447 1.1255 1.4575 -0.0128 -1.14%
2026-06-25 952020 国泰海通君得盈债券A 1.1255 1.4575 1.1192 1.4512 0.0063 0.56%
2026-06-24 952020 国泰海通君得盈债券A 1.1192 1.4512 1.1141 1.4461 0.0051 0.46%
2026-06-23 952020 国泰海通君得盈债券A 1.1141 1.4461 1.1227 1.4547 -0.0086 -0.77%
2026-06-22 952020 国泰海通君得盈债券A 1.1227 1.4547 1.1133 1.4453 0.0094 0.84%
2026-06-18 952020 国泰海通君得盈债券A 1.1133 1.4453 1.1093 1.4413 0.0040 0.36%
2026-06-17 952020 国泰海通君得盈债券A 1.1093 1.4413 1.1030 1.4350 0.0063 0.57%
2026-06-16 952020 国泰海通君得盈债券A 1.1030 1.4350 1.0990 1.4310 0.0040 0.36%
2026-06-15 952020 国泰海通君得盈债券A 1.0990 1.4310 1.0848 1.4168 0.0142 1.31%
2026-06-12 952020 国泰海通君得盈债券A 1.0848 1.4168 1.0807 1.4127 0.0041 0.38%
2026-06-11 952020 国泰海通君得盈债券A 1.0807 1.4127 1.0835 1.4155 -0.0028 -0.26%
2026-06-10 952020 国泰海通君得盈债券A 1.0835 1.4155 1.0895 1.4215 -0.0060 -0.55%
2026-06-09 952020 国泰海通君得盈债券A 1.0895 1.4215 1.0796 1.4116 0.0099 0.92%
2026-06-08 952020 国泰海通君得盈债券A 1.0796 1.4116 1.0925 1.4245 -0.0129 -1.18%
2026-06-05 952020 国泰海通君得盈债券A 1.0925 1.4245 1.1009 1.4329 -0.0084 -0.76%
2026-06-04 952020 国泰海通君得盈债券A 1.1009 1.4329 1.1034 1.4354 -0.0025 -0.23%
2026-06-03 952020 国泰海通君得盈债券A 1.1034 1.4354 1.1006 1.4326 0.0028 0.25%
2026-06-02 952020 国泰海通君得盈债券A 1.1006 1.4326 1.0970 1.4290 0.0036 0.33%
2026-06-01 952020 国泰海通君得盈债券A 1.0970 1.4290 1.1013 1.4333 -0.0043 -0.39%
2026-05-29 952020 国泰海通君得盈债券A 1.1013 1.4333 1.1083 1.4403 -0.0070 -0.63%
2026-05-28 952020 国泰海通君得盈债券A 1.1083 1.4403 1.1037 1.4357 0.0046 0.42%
2026-05-27 952020 国泰海通君得盈债券A 1.1037 1.4357 1.1083 1.4403 -0.0046 -0.42%
2026-05-26 952020 国泰海通君得盈债券A 1.1083 1.4403 1.1092 1.4412 -0.0009 -0.08%
2026-05-25 952020 国泰海通君得盈债券A 1.1092 1.4412 1.1006 1.4326 0.0086 0.78%
2026-05-22 952020 国泰海通君得盈债券A 1.1006 1.4326 1.0914 1.4234 0.0092 0.84%
2026-05-21 952020 国泰海通君得盈债券A 1.0914 1.4234 1.1038 1.4358 -0.0124 -1.12%
2026-05-20 952020 国泰海通君得盈债券A 1.1038 1.4358 1.1014 1.4334 0.0024 0.22%
2026-05-19 952020 国泰海通君得盈债券A 1.1014 1.4334 1.0974 1.4294 0.0040 0.36%
2026-05-18 952020 国泰海通君得盈债券A 1.0974 1.4294 1.0976 1.4296 -0.0002 -0.02%
2026-05-15 952020 国泰海通君得盈债券A 1.0976 1.4296 1.1510 1.4350 -0.0054 -0.47%
2026-05-14 952020 国泰海通君得盈债券A 1.1510 1.4350 1.1601 1.4441 -0.0091 -0.78%
2026-05-13 952020 国泰海通君得盈债券A 1.1601 1.4441 1.1526 1.4366 0.0075 0.65%
2026-05-12 952020 国泰海通君得盈债券A 1.1526 1.4366 1.1533 1.4373 -0.0007 -0.06%
2026-05-11 952020 国泰海通君得盈债券A 1.1533 1.4373 1.1446 1.4286 0.0087 0.76%
2026-05-08 952020 国泰海通君得盈债券A 1.1446 1.4286 1.1458 1.4298 -0.0012 -0.10%
2026-04-30 952020 国泰海通君得盈债券A 1.1328 1.4168 1.1324 1.4164 0.0004 0.04%
2026-04-29 952020 国泰海通君得盈债券A 1.1324 1.4164 1.1257 1.4097 0.0067 0.60%
2026-04-28 952020 国泰海通君得盈债券A 1.1257 1.4097 1.1287 1.4127 -0.0030 -0.27%
2026-04-27 952020 国泰海通君得盈债券A 1.1287 1.4127 1.1285 1.4125 0.0002 0.02%
2026-04-24 952020 国泰海通君得盈债券A 1.1285 1.4125 1.1305 1.4145 -0.0020 -0.18%
2026-04-23 952020 国泰海通君得盈债券A 1.1305 1.4145 1.1349 1.4189 -0.0044 -0.39%
2026-04-22 952020 国泰海通君得盈债券A 1.1349 1.4189 1.1298 1.4138 0.0051 0.45%
2026-04-21 952020 国泰海通君得盈债券A 1.1298 1.4138 1.1282 1.4122 0.0016 0.14%
2026-04-20 952020 国泰海通君得盈债券A 1.1282 1.4122 1.1266 1.4106 0.0016 0.14%
2026-04-17 952020 国泰海通君得盈债券A 1.1266 1.4106 1.1253 1.4093 0.0013 0.12%
2026-04-16 952020 国泰海通君得盈债券A 1.1253 1.4093 1.1175 1.4015 0.0078 0.70%
2026-04-15 952020 国泰海通君得盈债券A 1.1175 1.4015 1.1196 1.4036 -0.0021 -0.19%
2026-04-14 952020 国泰海通君得盈债券A 1.1196 1.4036 1.1132 1.3972 0.0064 0.57%
2026-04-13 952020 国泰海通君得盈债券A 1.1132 1.3972 1.1117 1.3957 0.0015 0.13%
2026-04-10 952020 国泰海通君得盈债券A 1.1117 1.3957 1.1050 1.3890 0.0067 0.61%
2026-04-09 952020 国泰海通君得盈债券A 1.1050 1.3890 1.1072 1.3912 -0.0022 -0.20%
2026-04-08 952020 国泰海通君得盈债券A 1.1072 1.3912 1.0894 1.3734 0.0178 1.63%
2026-04-07 952020 国泰海通君得盈债券A 1.0894 1.3734 1.0862 1.3702 0.0032 0.29%
2026-04-03 952020 国泰海通君得盈债券A 1.0862 1.3702 1.0895 1.3735 -0.0033 -0.30%
2026-04-02 952020 国泰海通君得盈债券A 1.0895 1.3735 1.0948 1.3788 -0.0053 -0.48%
2026-04-01 952020 国泰海通君得盈债券A 1.0948 1.3788 1.0867 1.3707 0.0081 0.75%
2026-03-31 952020 国泰海通君得盈债券A 1.0867 1.3707 1.0935 1.3775 -0.0068 -0.62%
2026-03-30 952020 国泰海通君得盈债券A 1.0935 1.3775 1.0911 1.3751 0.0024 0.22%
2026-03-27 952020 国泰海通君得盈债券A 1.0911 1.3751 1.0860 1.3700 0.0051 0.47%
2026-03-26 952020 国泰海通君得盈债券A 1.0860 1.3700 1.0913 1.3753 -0.0053 -0.49%
2026-03-25 952020 国泰海通君得盈债券A 1.0913 1.3753 1.0827 1.3667 0.0086 0.79%
2026-03-24 952020 国泰海通君得盈债券A 1.0827 1.3667 1.0736 1.3576 0.0091 0.85%
2026-03-23 952020 国泰海通君得盈债券A 1.0736 1.3576 1.0912 1.3752 -0.0176 -1.61%
2026-03-20 952020 国泰海通君得盈债券A 1.0912 1.3752 1.0945 1.3785 -0.0033 -0.30%
2026-03-19 952020 国泰海通君得盈债券A 1.0945 1.3785 1.1033 1.3873 -0.0088 -0.80%
2026-03-18 952020 国泰海通君得盈债券A 1.1033 1.3873 1.0982 1.3822 0.0051 0.46%
2026-03-17 952020 国泰海通君得盈债券A 1.0982 1.3822 1.1061 1.3901 -0.0079 -0.71%
旗下基金涨幅榜
基金名称 单位净值 日增长率
新华策略精选股票C 3.9480 6.99%
新华优选分红混合C 1.6369 6.77%
金信行业优选混合发起式C 4.2221 6.28%
金信稳健策略混合C 3.5634 6.25%
德邦鑫星价值C 5.2212 5.83%
方正富邦策略精选A 1.1310 5.62%
方正富邦策略精选C 1.1215 5.62%
信澳产业升级混合C 3.6230 5.57%
长城久祥混合C 2.5591 5.56%
信澳新财富混合C 1.0012 5.52%
债券型-混合二级基金涨幅榜
基金名称 单位净值 日增长率
金鹰元丰债券D 1.8373 2.82%
金鹰元丰债券A 1.8361 2.82%
金鹰元丰债券C 1.7936 2.81%
国泰可转债债券A 1.9369 2.66%
国泰可转债债券D 1.9370 2.66%
民生加银增强收益债券E 1.8477 2.56%
民生强债A 1.8525 2.56%
民生强债C 1.7850 2.56%
东方可转债债券A 1.2485 2.09%
东方可转债债券C 1.2268 2.09%