400-067-9908
基金产品
  • 混合型
  • 债券型
  • 股票型
  • 货币型
基金名称 净值日期 单位净值 累计净值 日增长率 三月收益率 今年收益率
04-27 1.1814 1.1814 -0.76% -8.67% -7.95%
04-27 1.1552 1.1552 -0.76% -8.79% -8.09%
04-27 1.6860 1.6860 -0.24% -7.77% -4.15%
04-27 1.6320 1.6320 -0.24% -7.95% -4.39%
04-27 1.0634 1.1466 -0.23% 0.21% 0.80%
04-27 1.0376 1.1151 -0.23% 0.08% 0.63%
04-27 1.3652 1.3652 0.69% 0.93% 8.31%
04-27 1.3388 1.3388 0.68% 0.81% 8.13%
04-27 1.7780 2.3790 0.45% -2.79% 7.82%
04-27 1.7450 1.7450 0.52% -2.84% 7.72%
04-27 3.1550 4.4180 -0.22% -5.57% -2.20%
04-27 3.0550 3.0550 -0.23% -5.68% -2.36%
04-27 0.9899 0.9899 -0.19% -1.04% -1.14%
04-27 0.9763 0.9763 -0.20% -1.63% -1.75%
04-27 1.1024 1.1301 -0.30% -0.33% 1.29%
04-27 1.0726 1.0984 -0.31% -0.45% 1.13%
04-27 1.1812 1.2042 -0.44% 1.50% 5.94%
04-27 1.1591 1.1811 -0.45% 1.39% 5.80%
04-27 1.3636 1.6651 0.66% -2.71% 8.45%
04-27 1.3266 1.6181 0.67% -2.82% 8.28%
04-27 1.2734 1.2940 -1.56% 0.64% 11.16%
04-27 1.2445 1.2627 -1.57% 0.52% 10.98%
04-27 0.6695 0.6695 0.24% -1.44% 4.58%
04-27 0.6570 0.6570 0.23% -1.53% 4.43%
04-27 0.9344 0.9344 0.98% 10.96% 19.24%
04-27 0.9150 0.9150 0.98% 10.86% 19.09%
04-27 0.9963 0.9963 0.50% -3.22% 6.54%
04-27 0.9854 0.9854 0.51% -3.26% 6.48%
04-27 1.2925 1.5097 -1.63% -2.92% 7.31%
04-27 1.2605 1.4612 -1.62% -3.04% 7.15%
04-27 1.6112 1.6821 1.61% -0.34% 12.16%
04-27 1.5960 1.6641 1.60% -0.39% 12.09%
基金名称 净值日期 单位净值 累计净值 日增长率 三月收益率 今年收益率
04-27 1.1513 1.1856 -0.01% 0.70% 0.92%
04-27 1.1338 1.1676 -0.01% 0.63% 0.84%
04-27 1.1786 1.1975 0.00% 0.70% 0.92%
04-27 1.8396 1.8396 0.27% -4.83% 3.82%
04-27 1.0724 1.1771 -0.02% 1.31% 1.80%
04-27 1.0485 1.1903 0.03% 1.34% 1.83%
04-27 1.0763 1.1578 -0.08% 1.02% 1.38%
04-24 1.0241 1.2414 -0.02% 0.91% 1.20%
04-24 1.0460 1.0859 0.05% 0.99% 1.34%
04-24 1.0396 1.0793 0.05% 0.92% 1.24%
04-27 1.0644 1.3259 0.01% 0.39% 0.48%
04-27 1.0616 1.0723 0.01% 0.39% 0.47%
04-27 1.0125 1.2918 0.01% 0.70% 0.87%
04-27 1.0481 1.0481 0.00% 0.70% 0.89%
04-24 1.0196 1.1653 0.00% 0.22% 0.36%
04-24 1.0188 1.1556 0.00% 0.44% 0.57%
04-27 1.0730 1.3465 -0.05% 0.90% 1.07%
04-27 1.0715 1.1970 -0.05% 0.85% 1.01%
04-27 1.0039 1.1041 0.01% 0.32% 0.39%
04-27 1.0175 1.0175 0.01% 0.32% 0.38%
04-27 1.0597 1.3169 -0.03% 0.71% 0.90%
04-27 1.0492 1.0742 -0.03% 0.65% 0.84%
04-27 1.0593 1.0843 -0.03% 0.71% 0.90%
04-24 1.0239 1.1732 0.05% 0.61% 0.76%
04-27 1.0998 1.0998 0.15% -0.60% 2.08%
04-27 1.0806 1.0806 0.14% -0.69% 1.95%
04-27 1.1097 1.5736 -0.04% 1.11% 1.49%
04-27 1.1017 1.5332 -0.04% 1.06% 1.42%
基金名称 净值日期 单位净值 累计净值 日增长率 三月收益率 今年收益率
04-27 1.3527 1.3527 -0.27% -3.65% -0.76%
04-27 1.3225 1.3225 -0.27% -3.73% -0.87%
04-27 1.4444 1.4444 0.66% -1.69% 9.89%
04-27 1.4295 1.4295 0.65% -1.79% 9.75%
04-27 2.1380 2.1380 0.61% -0.04% 13.65%
04-27 2.0888 2.0888 0.61% -0.12% 13.53%
04-27 2.3810 2.5360 0.19% 3.38% 9.14%
04-27 2.3339 2.3339 0.19% 3.26% 8.96%
04-27 1.0658 1.0658 0.48% 6.58% 6.58%
04-27 1.0655 1.0655 0.47% 6.55% 6.55%
基金名称 净值日期 万份收益 七日年化收益率
04-27 0.2292 0.815%
04-27 0.2947 1.057%
04-27 0.2828 1.047%
04-27 0.3486 1.294%