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002955基金净值查询

002955基金净值查询?很多人都不懂001052基金净值查询。因为“000248基金净值查询今日净值档案”与广大基民们息息相关,下面,恒生指数网就002955基金净值查询问题进行介绍。

国海弹性基金净值查询

基金代码 单位净值 累计净值 单位净值 累计净值 手续费
001682 1.3895 1.4995 1.3872 1.4972
0.15%
007126 1.3760 1.6060 1.3737 1.6037
0.15%
007127 1.3605 1.5905 1.3582 1.5882
0.00%
005823 1.3562 1.3562 1.3539 1.3539
0.12%
004481 1.3281 1.3281 1.3259 1.3259
0.15%
004451 1.3169 1.3169 1.3146 1.3146
0.10%
007142 1.3014 1.3014 1.2992 1.2992
0.00%
003603 1.2701 1.3820 1.2680 1.3799
0.10%
002111 1.2646 1.3580 1.2624 1.3558 ---
550005 1.2140 1.7690 1.2120 1.7670
0.00%
003167 1.2034 1.2034 1.2013 1.2013
0.08%
006844 1.1594 1.1594 1.1574 1.1574
0.00%
002721 1.1590 1.1800 1.1570 1.1780
0.00%
519180 1.1491 3.4891 1.1472 3.4872
0.15%
000270 1.1028 1.6845 1.1009 1.6816
0.12%
003476 1.0967 1.2967 1.0948 1.2948
0.12%
007569 1.0690 1.2830 1.0672 1.2812
0.00%
870008 1.0685 1.3234 1.0667 1.3219
0.05%
009074 1.0670 1.0670 1.0652 1.0652
0.00%
005059 1.0658 1.2988 1.0640 1.2970
0.12%
009753 1.0643 1.0643 1.0625 1.0625 ---
009754 1.0622 1.0622 1.0604 1.0604 ---
010060 1.0378 1.0378 1.0360 1.0360
0.15%
010006 1.0136 1.0136 1.0119 1.0119
0.12%
010137 1.0046 1.0046 1.0029 1.0029
0.15%
010936 1.0045 1.0045 1.0028 1.0028
0.15%
010937 1.0027 1.0027 1.0010 1.0010
0.00%
011026 0.9996 0.9996 0.9979 0.9979
0.00%
010395 0.9959 0.9959 0.9942 0.9942
0.15%
011004 0.9900 0.9900 0.9883 0.9883
0.08%
010787 0.9649 0.9649 0.9633 0.9633
0.15%
005105 0.9642 0.9642 0.9626 0.9626
0.00%
010788 0.9630 0.9630 0.9614 0.9614
0.00%
011364 0.9163 0.9163 0.9147 0.9147
0.00%
233011 3.7720 4.8460 3.7660 4.8400
0.15%
005743 3.1691 3.1691 3.1639 3.1639
0.15%
005744 3.1352 3.1352 3.1301 3.1301
0.00%
000756 2.4810 2.4810 2.4770 2.4770
0.15%
860005 2.4083 2.5683 2.4045 2.5645
0.08%
860030 2.4022 2.4022 2.3984 2.3984
0.00%
007586 2.2588 2.5198 2.2553 2.5163 ---
006424 2.1175 2.2175 2.1141 2.2141
0.15%
006425 2.0773 2.1773 2.0740 2.1740
0.00%
000805 1.9250 1.9250 1.9220 1.9220
0.15%
001345 1.8880 1.8880 1.8850 1.8850
0.15%
001782 1.8310 1.9650 1.8280 1.9620
0.15%
040180 1.7730 1.7730 1.7702 1.7702
0.12%
004453 1.6641 1.7181 1.6615 1.7155
0.15%
162414 1.5780 1.5780 1.5755 1.5755
0.15%
004083 1.5423 1.5673 1.5399 1.5649 ---
003154 1.5377 1.5927 1.5353 1.5903
0.00%
008177 1.4918 1.6423 1.4894 1.6399
0.15%
006682 1.4294 1.4294 1.4271 1.4271
0.15%
008399 1.4198 1.4198 1.4175 1.4175
0.10%
008400 1.4157 1.4157 1.4134 1.4134
0.00%
004946 1.4129 1.4129 1.4107 1.4107
0.12%
004947 1.3864 1.3864 1.3842 1.3842
0.00%
005824 1.3430 1.3430 1.3408 1.3408
0.00%
001485 1.2890 1.2890 1.2870 1.2870 ---
002383 1.2660 1.2660 1.2640 1.2640
0.15%
003604 1.2639 1.3718 1.2619 1.3698
0.00%
009353 1.2587 1.2681 1.2567 1.2661
0.08%
009354 1.2571 1.2664 1.2551 1.2644
0.00%
550004 1.2360 1.8410 1.2340 1.8390
0.08%
005167 1.1936 1.1936 1.1917 1.1917
0.12%
005908 1.1599 1.1599 1.1581 1.1581
0.08%
004302 1.1570 1.3902 1.1551 1.3883
0.00%
004301 1.1545 1.3903 1.1526 1.3884
0.08%
009027 1.1013 1.1013 1.0995 1.0995
0.80%
009028 1.0983 1.0983 1.0965 1.0965
0.00%
009297 1.0943 1.0943 1.0926 1.0926 ---
010061 1.0352 1.0352 1.0335 1.0335
0.00%
010508 1.0283 1.0283 1.0267 1.0267 ---
010007 1.0109 1.0109 1.0093 1.0093
0.00%
010396 0.9955 0.9955 0.9939 0.9939
0.00%
010697 0.9873 0.9873 0.9857 0.9857
0.15%
010698 0.9857 0.9857 0.9841 0.9841
0.00%
005104 0.9781 0.9781 0.9765 0.9765
0.15%
010143 0.9639 0.9639 0.9624 0.9624
0.15%
011363 0.9175 0.9175 0.9160 0.9160
1.50%
450004 2.7420 3.2120 2.7380 3.2080
0.15%
001112 2.6680 2.6680 2.6640 2.6640
1.50%
750001 2.6400 3.2300 2.6360 3.2260
0.15%
002181 2.0410 2.0410 2.0380 2.0380
0.15%
001515 1.9510 1.9510 1.9480 1.9480
0.00%
501087 1.8142 1.8142 1.8114 1.8114
0.15%
006205 1.7783 1.7783 1.7757 1.7757
0.15%
006595 1.6895 1.6895 1.6869 1.6869
0.15%
004454 1.6729 1.7269 1.6704 1.7244
0.00%

002955基金净值查询

富国文体健康股票基金净值查询

基金代码 基金名称 发行公司 基金经理
012195 万家瑞泽回报一年持有混合 万家基金 苏谋东
011837 鹏扬中国优质成长混合A 鹏扬基金 朱国庆
011838 鹏扬中国优质成长混合C 鹏扬基金 朱国庆
012210 申万菱信智能汽车股票A 申万菱信基金 付娟,熊哲颖
012211 申万菱信智能汽车股票C 申万菱信基金 付娟,熊哲颖
011908 广发沪港深价值精选混合A 广发基金 张东一
011909 广发沪港深价值精选混合C 广发基金 张东一
012008 易方达稳健回报一年混合A 易方达基金 孙松
012009 易方达稳健回报一年混合C 易方达基金 孙松
011899 长安鑫瑞科技6个月定开混合A 长安基金 徐小勇
011900 长安鑫瑞科技6个月定开混合C 长安基金 徐小勇
012196 招商品质生活混合A 招商基金 王景
012197 招商品质生活混合C 招商基金 王景
010977 华夏鸿阳6个月持有期混合A 华夏基金 蔡向阳
010978 华夏鸿阳6个月持有期混合C 华夏基金 蔡向阳
011346 淳厚鑫淳一年持有混合 淳厚基金 薛莉丽
011645 国泰核心价值两年持有期股票A 国泰基金 李恒
011646 国泰核心价值两年持有期股票C 国泰基金 李恒
012001 中泰星宇一年封闭混合A 中泰证券(上海)资管 田瑀
012002 中泰星宇一年封闭混合C 中泰证券(上海)资管 田瑀

000045基金净值今日查询

000805基金净值查询今天下午

基金代码 单位净值 累计净值 单位净值 累计净值 手续费
008125 1.0220 1.0470 1.0219 1.0469
0.05%
009344 1.0219 1.0219 1.0218 1.0218
0.00%
008582 1.0218 1.0218 1.0217 1.0217
0.04%
008243 1.0217 1.0217 1.0216 1.0216
0.00%
009219 1.0217 1.0252 1.0216 1.0251
0.05%
009920 1.0217 1.0217 1.0216 1.0216
0.08%
009088 1.0216 1.0228 1.0215 1.0227
0.00%
007390 1.0215 1.0472 1.0214 1.0471
0.08%
007311 1.0213 1.0413 1.0212 1.0412
0.08%
007240 1.0211 1.0480 1.0210 1.0479
0.00%
008587 1.0211 1.0211 1.0210 1.0210
0.035%
008126 1.0211 1.0461 1.0210 1.0460
0.00%
000322 1.0210 1.0210 1.0209 1.0209
0.08%
501095 1.0210 1.0210 1.0209 1.0209
0.15%
006361 1.0206 1.0976 1.0205 1.0975
0.00%
008940 1.0203 1.0203 1.0202 1.0202
0.00%
006485 1.0201 1.0715 1.0200 1.0714
0.00%
006301 1.0200 1.0800 1.0349 1.0799
0.00%
004729 1.0200 1.1120 1.0199 1.1119
0.00%
006514 1.0200 1.0690 1.0199 1.0689
0.00%
007285 1.0200 1.0350 1.0199 1.0349
0.00%
519722 1.0197 1.0197 1.0196 1.0196 ---
007902 1.0197 1.0197 1.0196 1.0196
0.00%
002354 1.0196 1.2253 1.0195 1.2252
0.08%
470014 1.0196 1.0196 1.0195 1.0195
0.00%
007846 1.0194 1.0194 1.0193 1.0193
0.05%
008505 1.0194 1.0194 1.0193 1.0193
0.08%
007259 1.0193 1.0542 1.0192 1.0541
0.04%
007011 1.0191 1.0691 1.0190 1.0690
0.00%
217025 1.0190 1.0190 1.0189 1.0189
0.00%
007758 1.0190 1.0510 1.0189 1.0509
0.04%
007037 1.0190 1.0426 1.0189 1.0425
0.08%
005011 1.0187 1.1307 1.0186 1.1306
0.00%
009253 1.0187 1.0187 1.0186 1.0186
0.00%
006473 1.0184 1.0709 1.0183 1.0708
0.05%
007162 1.0184 1.0451 1.0183 1.0450
0.00%
007161 1.0184 1.0496 1.0183 1.0495
0.045%
006116 1.0181 1.0691 1.0180 1.0690 ---
472007 1.0180 1.0285 1.0179 1.0284
0.06%
007312 1.0180 1.0380 1.0179 1.0379
0.00%
009284 1.0179 1.0179 1.0178 1.0178
0.08%
003514 1.0176 1.1470 1.0175 1.1469 ---
007010 1.0175 1.0675 1.0174 1.0674
0.05%
009510 1.0175 1.0175 1.0174 1.0174
0.08%
007426 1.0173 1.0483 1.0172 1.0482
0.03%
008506 1.0173 1.0173 1.0172 1.0172
0.00%
005321 1.0172 1.1477 1.0171 1.1476
0.04%
007184 1.0170 1.0635 1.0169 1.0634
0.06%
550013 1.0169 1.0215 1.0168 1.0214
0.00%
519784 1.0167 1.1671 1.0166 1.1670
0.08%
006932 1.0166 1.0416 1.0165 1.0415
0.03%
006491 1.0165 1.0825 1.0164 1.0824
0.06%
007185 1.0165 1.0630 1.0164 1.0629
0.00%
008995 1.0165 1.0165 1.0164 1.0164
0.08%
000840 1.0163 1.1743 1.0162 1.1742
0.00%

汇添富绝对基金净值查询

基金净值查询002803

基金代码 单位净值 累计净值 单位净值 累计净值 手续费
000689 1.6270 1.7370 1.6360 1.7460
0.15%
005357 1.5687 1.5687 1.5774 1.5774
0.15%
009644 1.2625 1.2625 1.2695 1.2695
0.15%
009645 1.2574 1.2574 1.2643 1.2643
0.00%
002765 1.1778 1.1778 1.1843 1.1843
0.08%
160135 0.9564 0.9564 0.9617 0.9617
0.06%
001075 0.8960 0.8960 0.9010 0.9010
0.15%
001702 2.0150 2.0150 2.0263 2.0263
0.15%
001141 1.7630 1.7630 1.7730 1.7730
0.10%
007683 0.9890 0.9890 0.9946 0.9946
0.08%
007684 0.9874 0.9874 0.9930 0.9930
0.00%
166301 6.6430 6.6430 6.6810 6.6810
0.15%
004819 1.1288 1.1288 1.1353 1.1353 ---
165524 0.8700 0.6040 0.8750 0.6060
0.10%
540008 3.0887 3.1887 3.1066 3.2066
0.15%
420005 2.3800 2.7510 2.3940 2.7650
0.15%
004351 1.4679 1.4679 1.4765 1.4765
0.15%
006256 1.2589 1.2589 1.2663 1.2663
0.00%
004818 1.1350 1.1350 1.1416 1.1416 ---
000004 0.8500 1.0600 0.8550 1.0650
0.00%
006255 1.2712 1.2712 1.2787 1.2787
0.10%
006119 1.1294 1.1294 1.1361 1.1361
0.12%
002190 2.5772 2.5772 2.5927 2.5927
0.15%
002295 1.8104 1.8104 1.8213 1.8213
0.10%
008604 1.8000 1.8000 1.8108 1.8108 ---
007202 1.7300 1.7300 1.7405 1.7405
0.15%
360010 1.3473 1.9675 1.3554 1.9756
0.15%
161718 1.0905 1.3347 1.0971 1.3388
0.10%
164908 0.4940 0.4940 0.4970 0.4970
0.12%
630002 3.9253 5.5803 3.9495 5.6045
0.15%
320003 2.4310 4.3145 2.4459 4.3294
0.15%
270022 1.7920 1.8920 1.8030 1.9030
0.15%
008840 1.2566 1.2566 1.2643 1.2643
0.15%
008841 1.2539 1.2539 1.2616 1.2616
0.00%
005444 1.2149 1.2149 1.2223 1.2223
0.15%
007993 1.1066 1.1066 1.1134 1.1134
0.00%
501305 0.9307 0.9307 0.9364 0.9364
0.10%
501306 0.9186 0.9186 0.9242 0.9242
0.00%
000011 20.3740 27.1780 20.5020 27.3060
0.15%
050111 3.0300 3.1270 3.0490 3.1460
0.00%
002692 2.4130 2.4130 2.4280 2.4280
0.15%
011120 2.4080 2.4080 2.4230 2.4230
0.00%
004350 2.0470 2.0470 2.0597 2.0597
0.15%
290012 1.6140 1.9340 1.6240 1.9440
0.15%
002583 1.6140 1.9340 1.6240 1.9440 ---
003359 1.2730 1.2730 1.2810 1.2810
0.00%
006196 1.2089 1.2089 1.2164 1.2164
0.12%
006197 1.2000 1.2000 1.2075 1.2075
0.00%
006438 1.1980 1.1980 1.2055 1.2055
0.12%
001676 1.1527 1.1862 1.1599 1.1934
0.00%
007992 1.1101 1.1101 1.1170 1.1170
0.12%
010008 0.9611 0.9611 0.9671 0.9671
0.15%
010009 0.9564 0.9564 0.9624 0.9624
0.00%
160639 0.8060 0.3570 0.8110 0.3590
0.12%
004636 1.9988 1.9988 2.0114 2.0114
0.00%
001809 1.9354 1.9354 1.9476 1.9476
0.15%
519198 1.5680 1.5680 1.5780 1.5780
0.15%
006439 1.1883 1.1883 1.1958 1.1958
0.00%
001675 1.1850 1.2235 1.1925 1.2310
0.05%
009694 1.1271 1.1271 1.1343 1.1343 ---
009447 1.0161 1.0161 1.0225 1.0225
0.15%
010383 0.9562 0.9562 0.9623 0.9623
0.15%
501030 0.5542 0.5542 0.5577 0.5577
0.12%
501031 0.5509 0.5509 0.5544 0.5544
0.00%
050011 3.1200 3.2350 3.1400 3.2550
0.08%
519976 1.5926 2.4996 1.6029 2.5099
0.00%
161123 1.1461 0.4685 1.1535 0.4712
0.10%
010384 0.9551 0.9551 0.9613 0.9613
0.00%
519977 1.6463 2.6063 1.6570 2.6170
0.08%
006128 1.4048 1.4048 1.4140 1.4140
0.15%
160516 1.1888 0.8228 1.1966 0.8282
0.10%
005244 1.6943 1.6943 1.7056 1.7056
0.15%
005669 1.5846 1.5846 1.5951 1.5951
0.15%
007423 1.0798 1.0798 1.0870 1.0870
0.08%
501016 1.0730 1.0730 1.0801 1.0801
0.12%
673030 1.0490 1.5540 1.0560 1.5610
0.00%
163113 0.8665 1.9054 0.8723 1.9112
0.12%
260101 3.7701 6.4267 3.7956 6.4522
0.15%
011183 1.7890 1.7890 1.8010 1.8010
0.00%
005245 1.6651 1.6651 1.6763 1.6763
0.00%
007424 1.0790 1.0790 1.0863 1.0863
0.00%
161720 1.0720 0.7134 1.0792 0.7159
0.10%
160419 1.0224 0.6885 1.0293 0.6932
0.12%
006138 1.9249 1.9249 1.9380 1.9380
0.15%
160529 1.1746 1.1746 1.1826 1.1826
0.15%
502010 1.1504 0.7786 1.1583 0.7835
0.10%
008590 1.0867 1.0867 1.0941 1.0941
0.10%
160633 1.0190 0.6110 1.0260 0.6140
0.12%
001959 1.7220 1.7220 1.7340 1.7340
0.15%
006098 1.4183 1.4183 1.4281 1.4281
0.10%
007531 1.4081 1.4081 1.4179 1.4179
0.00%
004223 1.3190 1.8453 1.3282 1.8545
0.15%
002236 1.3040 1.3040 1.3130 1.3130
0.12%
008591 1.0836 1.0836 1.0911 1.0911
0.00%
004070 1.0467 1.0467 1.0540 1.0540
0.00%
502053 0.9340 0.9340 0.9405 0.9405
0.12%
165522 0.8640 1.5890 0.8700 1.5910
0.10%
001790 2.1180 2.1180 2.1330 2.1330
0.15%
011323 2.1160 2.1160 2.1310 2.1310
0.00%
001569 1.5700 1.5700 1.5810 1.5810
0.15%
213006 1.1457 2.8617 1.1538 2.8698
0.15%

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标题:002955基金净值查询

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