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君之健翱翔稳进证券投资基金
来源: | 作者:广东君之健投资管理有限公司 | 发布时间: 2025-08-05 | 5857 次浏览 | 分享到:
君之健翱翔稳进证券投资基金于2016年1月21日成立运作,产品初始规模为8.18亿。

2025年君之健翱翔稳进证券投资基金产品净值周报

       日期        单位净值   累计单位净值       日期     单位净值累计单位净值
2025/1/33.1943.1942025/1/103.1473.147
2025/1/173.1663.1662025/1/243.2013.201
2025/1/273.2023.2022025/2/73.3013.301
2025/2/143.4893.4892025/2/213.6943.694
2025/2/283.4543.4542025/3/73.6033.603
2025/3/143.6093.6092025/3/213.5273.527
2025/3/283.5323.5322025/4/33.5913.591
2025/4/113.4933.4932025/4/183.5123.512
2025/4/253.4323.4322025/4/303.4213.421
2025/5/93.4993.4992025/5/163.5093.509
2025/5/233.5433.5432025/5/303.5663.566
2025/6/63.5353.5352025/6/133.5583.558
2025/6/203.5023.5022025/6/273.5623.562
2025/6/303.5523.5522025/7/43.5693.569
2025/7/113.6673.6672025/7/183.7853.785
2025/7/253.8563.8562025/7/313.8673.867
2025/8/13.8573.857


































  

 2024年君之健翱翔稳进证券投资基金产品净值周报

       日期        单位净值   累计单位净值       日期     单位净值累计单位净值
2024/1/52.4912.4912024/1/122.4862.486
2024/1/192.4572.4572024/1/262.5842.584
2024/2/22.592.592024/2/82.6342.634
2024/2/232.7672.7672024/3/12.6852.685
2024/3/82.7372.7372024/3/152.6352.635
2024/3/222.662.662024/3/292.6992.699
2024/4/32.712.712024/4/122.752.75
2024/4/192.812.812024/4/262.7842.784
2024/4/302.7742.7742024/5/102.8722.872
2024/5/172.8782.8782024/5/242.9022.902
2024/5/312.9562.9562024/6/73.0353.035
2024/6/143.0223.0222024/6/213.0253.025
2024/6/283.0793.0792024/7/53.143.14
2024/7/123.1523.1522024/7/193.1013.101
2024/7/263.0053.0052024/8/23.0143.014
2024/8/92.8952.8952024/8/162.9612.961
2024/8/232.9792.9792024/8/302.9392.939
2024/9/62.9352.9352024/9/132.8732.873
2024/9/202.8912.8912024/9/272.9942.994
2024/9/303.1463.1462024/10/113.2533.253
2024/10/183.2343.2342024/10/253.1773.177
2024/11/13.1403.1402024/11/83.1963.196
2024/11/153.1113.1112024/11/223.0843.084
2024/11/293.1133.1132024/12/63.2173.217
2024/12/133.2163.2162024/12/203.2803.280
2024/12/273.3273.3272024/12/313.3093.309



                                                                                                        2023年君之健翱翔稳进证券投资基金产品净值周报

       日期        单位净值   累计单位净值       日期     单位净值累计单位净值
2023-01-06
2.0052.0052023-01-132.0612.061
2023-01-20
2.1432.1432023-02-032.1222.122
2023-02-102.1132.1132023-02-172.1352.135
2023-02-242.1622.1622023-02-28 2.1782.178
2023-03-032.2812.2812023-03-102.2512.251
2023-03-172.3212.3212023-03-242.232.23
2023-03-312.2442.2442023-04-072.2972.297
2023-04-142.3472.3472023-04-212.372.37
2023-04-282.422.422023-05-052.4752.475
2023-05-12
2.4352.4352023-05-192.4452.445
2023-05-26
2.3632.3632023-06-02
2.3652.365
2023/6/92.4322.4322023/6/162.3922.392
2023/6/212.3472.3472023/6/30
2.3692.369
2023/7/7
2.3582.3582023/7/142.4052.405
2023/7/21
2.4232.4232023/7/282.4292.429
2023/8/4
2.4232.4232023/8/112.4242.424
2023/8/18
2.3982.3982023/8/252.3782.378
2023/9/1
2.42.42023/9/82.4222.422
2023/9/15
2.4972.4972023/9/222.5142.514
2023/9/28
2.4662.4662023/10/132.4372.437
2023/10/202.39
2.392023/10/272.3352.335
2023/11/3
2.3412.3412023/11/10
2.322.32
2023/11/17
2.3322.3322023/11/242.3462.346
2023/12/1
2.3572.3572023/12/82.3532.353
2023/12/15
2.3452.3452023/12/222.3472.347
2023/12/29
2.4472.447



 2022年君之健翱翔稳进证券投资基金产品净值周报

       日期        单位净值   累计单位净值       日期     单位净值累计单位净值
2022-01-07
1.725
1.7252022-01-141.7591.759
2022-01-211.8041.8042022-01-281.7441.744
2022-02-111.881.882022-02-181.8791.879
2022-02-251.812
1.8122022-03-041.84
1.84
2022-03-111.7631.7632022-03-181.7741.774
2022-03-251.7991.7992022-03-311.831
1.831
2022-04-011.842
1.8422022-04-081.8691.869
2022-04-151.8711.8712022-04-221.8261.826
2022-04-29
1.8321.8322022-05-061.7871.787
2022-05-131.8021.8022022-05-201.8281.828
2022-05-271.8661.8662022-05-311.8431.843
2022-06-021.8381.8382022-06-101.8641.864
2022-06-171.801
1.8012022-06-241.7871.787
2022-06-301.792
1.7922022-07-011.81.8
2022-07-081.811.812022-07-151.8131.813
2022-07-221.813
1.8132022-07-291.7971.797
2022-08-05
1.7921.7922022-08-121.8491.849
2022-08-19
1.9061.9062022-08-261.952
1.952
2022-08-31
1.9141.9142022-09-021.9161.916
2022-09-091.9881.9882022-09-161.9391.939
2022-09-231.9851.9852022-09-301.9261.926
2022-10-14
1.9811.9812022-10-211.9611.961
2022-10-28
1.8931.8932022-11-041.9081.908
2022-11-111.9091.9092022-11-181.9091.909
2022-11-25
2.0032.0032022-11-302.0522.052
2022-12-02
1.9921.9922022-12-091.9981.998
2022-12-16
1.9871.9872022-12-231.9861.986
2022-12-30
1.9711.971



 

2021年君之健翱翔稳进证券投资基金产品净值周报

    日期      单位净值 累计单位净值     日期      单位净值 累计单位净值
2021-01-08 1.598
1.598 2021-01-15
1.675
1.675
2021-01-22
1.674
1.674
2021-01-29 1.631 1.631
2021-02-05
1.626
1.626
2021-02-10
1.618
1.618
2021-02-19
1.756
1.756
2021-02-26
1.712
1.712
2021-03-05 1.767
1.767
2021-03-12
1.778 1.778
2021-03-19
1.761
1.761
2021-03-26
1.756
1.756
2021-03-31 1.781
1.781
2021-04-02
1.786
1.786
2021-04-09
1.761
1.761
2021-04-16
1.761
1.761
2021-04-23
1.764
1.764
2021-04-30
1.751
1.751
2021-05-07
1.795
1.795
2021-05-14
1.749
1.749
2021-05-21
1.732
1.732
2021-05-28
1.727
1.727
2021-06-04
1.709
1.709
2021-06-11
      1.723      
1.723
2021-06-18
1.66
1.66
2021-06-251.8261.826
2021-06-301.791.792021-07-021.767
1.767
2021-07-091.7461.7462021-07-161.7991.799
2021-07-231.839
1.8392021-07-301.8341.834
2021-08-061.7921.7922021-08-131.886
1.886
2021-08-201.7821.7822021-08-271.8421.842
2021-09-031.8871.8872021-09-101.9671.967
2021-09-171.890
1.8902021-09-241.8411.841
2021-09-301.8391.8392021-10-081.8271.827
2021-10-151.8241.8242021-10-221.8121.812
2021-10-291.7451.7452021-11-051.6531.653
2021-11-121.6571.6572021-11-191.6551.655
2021-11-261.6511.6512021-12-031.6791.679
2021-12-101.6731.6732021-12-171.6971.697
2021-12-241.6881.6882021-12-311.6821.682



2020年君之健翱翔稳进
证券投资基金产品净值周报

     日期       单位净值 累计单位净值     日期      单位净值 累计单位净值
2020-01-03 1.492
1.492
2020-01-10 1.480
1.480
2020-01-17 1.456
1.456
2020-01-23 1.404
1.404
2020-01-31 1.400 1.400 2020-02-07 1.388 1.388
2020-02-14 1.421
1.421
2020-02-21 1.449
1.449
2020-02-28 1.410
1.410
2020-03-06 1.450
1.450
2020-03-13 1.399
1.399
2020-03-20 1.377
1.377
2020-03-27 1.379
1.379
2020-04-03
1.378 1.378
2020-04-10 1.384
1.384
2020-04-17 1.387
1.387
2020-04-24 1.379
1.379
2020-04-30 1.391
1.391
2020-05-08 1.384
1.384
2020-05-15 1.374
1.374
2020-05-22 1.359
1.359
2020-05-29 1.363
1.363
2020-06-05 1.377
1.377
2020-06-12 1.369
1.369
2020-06-19 1.390
1.390
2020-06-24 1.398
1.398
2020-07-03 1.479
1.479
2020-07-10 1.554
1.554
2020-07-17 1.505
1.505
2020-07-24 1.509
1.509
2020-07-31 1.532
1.532
2020-08-07 1.539
1.539
2020-08-14 1.537
1.537
2020-08-21 1.556
1.556
2020-08-28 1.552
1.552
2020-09-04 1.535
1.535
2020-09-11 1.515
1.515
2020-09-18 1.570
1.570
2020-09-25 1.491
1.491
2020-10-09 1.509
1.509
2020-10-16 1.539
1.539
2020-10-23 1.523
1.523
2020-10-30 1.494
1.494
2020-11-06 1.562
1.562
2020-11-13 1.571
1.571
2020-11-20 1.604
1.604
2020-11-27 1.638
1.638
2020-12-04 1.622
1.622
2020-12-11 1.558
1.558
2020-12-18 1.565
1.565
2020-12-25
1.544
1.544
2020-12-31
1.556
1.556






2019年君之健翱翔稳进证券投资基金产品净值周报
日期 单位净值 累计单位净值 日期 单位净值 累计单位净值
2019-01-04 1.232 1.232 2019-01-11 1.254 1.254
2019-01-18 1.255 1.255 2019-01-25 1.263 1.263
2019-02-01 1.272 1.272 2019-02-15 1.277 1.277
2019-02-22 1.318 1.318 2019-03-01 1.373 1.373
2019-03-08 1.337 1.337 2019-03-15 1.357 1.357
2019-03-22 1.389 1.389 2019-03-29 1.395 1.395
2019-04-04 1.467 1.467 2019-04-12 1.460 1.460
2019-04-19 1.481 1.481 2019-04-26 1.430 1.430
2019-04-30 1.442 1.442 2019-05-10 1.385 1.385
2019-05-17 1.374 1.374 2019-05-24 1.367 1.367
2019-05-31 1.371 1.371 2019-06-06 1.360 1.360
2019-06-14 1.365 1.365 2019-06-21 1.392 1.392
2019-06-28 1.385 1.385 2019-07-05 1.398 1.398
2019-07-12 1.380 1.380 2019-07-19 1.380 1.380
2019-07-26 1.416 1.416 2019-08-02 1.402 1.402
2019-08-09 1.383 1.383 2019-08-16 1.398 1.398
2019-08-23 1.407 1.407 2019-08-30 1.397 1.397
2019-09-06 1.417 1.417 2019-09-12 1.425 1.425
2019-09-20 1.409 1.409
2019-09-27 1.391
1.391
2019-10-11 1.403
1.403
2019-10-18 1.393
1.393
2019-10-25 1.392
1.392
2019-11-01 1.394
1.394
2019-11-08 1.400
1.400
2019-11-15 1.374
1.374
2019-11-22 1.383
1.383
2019-11-29 1.389
1.389
2019-12-06 1.398
1.398
2019-12-13 1.425
1.425
2019-12-20 1.444
1.444
2019-12-27 1.450
1.450
2019-12-31 1.475
1.475



2018年君之健翱翔稳进证券投资基金产品净值周报
日期 单位净值 累计单位净值 日期 单位净值 累计单位净值
2018-01-05 1.256 1.256 2018-01-12 1.278 1.278
2018-01-19
1.321
1.321
2018-01-26 1.362 1.362
2018-02-02 1.325 1.325 2018-02-09  1.289 1.289
2018-02-14 1.285 1.285 2018-02-23 1.293
1.293
2018-03-02 1.286 1.286 2018-03-09 1.285 1.285
2018-03-16 1.280
1.280 2018-03-23 1.266 1.266
2018-03-30 1.265 1.265 2018-04-04 1.259 1.259
2018-04-13 1.264 1.264 2018-04-20 1.253 1.253
2018-04-27 1.252 1.252
2018-05-04 1.268 1.268
2018-05-11 1.279 1.279 2018-05-18 1.288 1.288
2018-05-25 1.276 1.276 2018-06-01 1.275 1.275
2018-06-08 1.269 1.269 2018-06-15
1.262
1.262
2018-06-22 1.262 1.262 2018-06-29 1.259 1.259
2018-07-06 1.251 1.251 2018-07-13 1.254 1.254
2018-07-20 1.260 1.260 2018-07-27 1.267 1.267
2018-08-03 1.259 1.259 2018-08-10 1.259 1.259
2018-08-17 1.247 1.247 2018-08-24 1.245 1.245
2018-08-31 1.240 1.240 2018-09-07 1.237 1.237
2018-09-14 1.237 1.237 2018-09-21 1.25 1.25
2018-09-28 1.255 1.255 2018-10-12 1.225 1.225
2018-10-19 1.229 1.229 2018-10-26 1.228 1.228
2018-11-02 1.242 1.242 2018-11-09 1.228 1.228
2018-11-16 1.240 1.240 2018-11-23 1.228 1.228
2018-11-30 1.229 1.229 2018-12-07 1.229 1.229
2018-12-14 1.228 1.228 2018-12-21 1.223 1.223
2018-12-28 1.226 1.226




2017年
君之健翱翔稳进证券投资基金产品净值周报


日期 单位净值 累计单位净值 日期 单位净值 累计单位净值
2017-01-06 1.138 1.138 2017-01-13 1.134 1.134
2017-01-20 1.137 1.137 2017-01-26 1.138 1.138
2017-02-03 1.132 1.132
2017-02-10
1.138
1.138
2017-02-17 1.137 1.137 2017-02-24 1.143 1.143
2017-03-03 1.131 1.131 2017-03-10 1.131 1.131
2017-03-17 1.140 1.140 2017-03-24 1.158 1.158
2017-03-31 1.151 1.151 2017-04-07 1.173 1.173
2017-04-14 1.170 1.170 2017-04-21 1.159 1.159
2017-04-28 1.164 1.164 2017-05-05 1.159 1.159
2017-05-12
1.161 1.161 2017-05-19 1.162 1.162
2017-05-26 1.163 1.163 2017-06-02 1.162 1.162
2017-06-09 1.166 1.166 2017-06-16 1.157 1.157
2017-06-23
1.162 1.162 2017-06-30
1.170 1.170
2017-07-07 1.179
1.179 2017-07-14 1.195 1.195
2017-07-21 1.220 1.220 2017-07-28 1.209
1.209
2017-08-04
1.201 1.201 2017-08-11 1.182 1.182
2017-08-18 1.192 1.192 2017-08-25 1.200 1.200
2017-09-01 1.202 1.202 2017-09-08 1.195 1.195
2017-09-15 1.188 1.188 2017-09-22 1.189 1.189
2017-09-29 1.186 1.186 2017-10-13 1.203 1.203
2017-10-20 1.216 1.216 2017-10-27 1.222 1.222
2017-11-03 1.204 1.204 2017-11-10
1.225 1.225
2017-11-17 1.216 1.216 2017-11-24 1.234 1.234
2017-12-01 1.214 1.214 2017-12-08 1.209 1.209
2017-12-15 1.209 1.209 2017-12-22 1.218 1.218
2017-12-29 1.223 1.223



                                                                         
2016年君之健翱翔稳进证券投资基金产品净值周报


君之健翱翔稳进证券投资基金净值走势图