400-067-9908
基金产品
  • 混合型
  • 债券型
  • 股票型
  • 货币型
  • FOF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
08-20 1.3868 1.3868 1.29% 0.96% 4.51%
08-20 1.3607 1.3607 1.30% 0.84% 4.16%
08-20 2.0020 2.0020 -1.28% 12.28% 24.81%
08-20 1.9490 1.9490 -1.27% 12.08% 24.14%
08-20 1.0608 1.1340 0.26% 1.63% 2.56%
08-20 1.0389 1.1064 0.25% 1.50% 2.23%
08-20 1.1607 1.1607 1.15% 19.87% 31.97%
08-20 1.1422 1.1422 1.14% 19.71% 31.56%
08-20 1.6490 2.2500 0.98% 9.71% 12.33%
08-20 1.6220 1.6220 1.00% 9.52% 12.02%
08-20 3.0760 4.3390 0.98% 6.29% 14.78%
08-20 2.9890 2.9890 1.01% 6.18% 14.39%
08-20 1.0033 1.0033 0.17% 0.69% 1.02%
08-20 0.9966 0.9966 0.17% 0.64% 0.92%
08-20 1.0739 1.0916 0.08% 2.25% 2.19%
08-20 1.0487 1.0645 0.09% 2.12% 1.86%
08-20 1.0890 1.1000 0.16% 4.11% 4.57%
08-20 1.0720 1.0820 0.15% 4.01% 4.30%
08-20 1.2876 1.5791 0.66% 10.15% 11.49%
08-20 1.2572 1.5387 0.66% 10.02% 11.14%
08-20 1.0374 1.0580 0.31% 10.61% 11.86%
08-20 1.0173 1.0355 0.31% 10.47% 11.51%
08-20 0.6191 0.6191 0.13% 16.46% 10.93%
08-20 0.6092 0.6092 0.13% 16.35% 10.66%
08-20 0.7205 0.7205 0.54% 14.95% 17.00%
08-20 0.7075 0.7075 0.54% 14.84% 16.71%
08-20 0.9698 0.9698 0.29% 10.48% 12.14%
08-20 0.9610 0.9610 0.29% 10.43% 12.00%
08-20 1.1757 1.3357 0.14% 11.74% 21.56%
08-20 1.1455 1.2960 0.15% 11.60% 21.17%
08-20 1.3423 1.4117 0.78% 21.54% 30.68%
08-20 1.3300 1.3981 0.78% 21.48% 30.51%
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
08-20 1.1670 1.1670 0.00% 0.42% 1.41%
08-20 1.1512 1.1512 -0.01% 0.36% 1.24%
08-20 1.1787 1.1787 0.00% 0.42% 1.40%
08-20 1.7551 1.7551 0.32% 7.44% 6.76%
08-20 1.0805 1.1542 -0.04% -0.30% 0.52%
08-20 1.0441 1.1679 -0.03% -0.31% 0.43%
08-20 1.0599 1.1414 -0.04% -0.27% 0.41%
08-15 1.0304 1.2252 -0.02% 0.33% 0.88%
08-15 1.0605 1.0693 -0.23% 1.04% 1.62%
08-15 1.0560 1.0648 -0.23% 0.98% 1.47%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
08-20 1.0553 1.3168 -0.03% -0.20% 0.06%
08-20 1.0534 1.0641 -0.03% -0.25% -0.07%
08-20 1.0367 1.2800 0.00% 0.18% 0.48%
08-20 1.0367 1.0367 0.00% -0.02% -0.02%
08-15 1.0503 1.1582 -0.01% 0.26% 0.78%
08-15 1.0472 1.1470 -0.02% 0.22% 0.69%
08-20 1.0757 1.3292 -0.01% 0.05% 1.43%
08-20 1.0757 1.1812 -0.01% -0.01% 1.60%
08-20 1.0101 1.0967 0.00% 0.02% 0.28%
08-20 1.0434 1.3006 -0.01% 0.10% 0.35%
08-20 1.0346 1.0596 0.00% 0.06% 0.23%
08-20 1.0430 1.0680 -0.01% 0.10% 0.34%
08-15 1.0045 1.1538 -3.61% 0.63% 1.41%
08-20 1.0744 1.0744 0.03% 1.17% 1.81%
08-20 1.0585 1.0585 0.03% 1.06% 1.55%
08-20 1.1188 1.5496 -0.02% 0.27% 1.04%
08-20 1.1123 1.5109 -0.02% 0.22% 0.91%
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
08-20 1.3203 1.3203 0.36% 15.41% 25.41%
08-20 1.2940 1.2940 0.37% 15.31% 25.12%
08-20 1.2720 1.2720 1.18% 18.68% 25.79%
08-20 1.2624 1.2624 1.18% 18.56% 25.47%
08-20 1.7543 1.7543 1.15% 16.28% 17.31%
08-20 1.7180 1.7180 1.14% 16.18% 17.05%
08-20 1.9766 2.1316 0.94% 8.76% 9.68%
08-20 1.9443 1.9443 0.94% 8.63% 9.34%
基金名称 净值日期 万份收益 七日年化收益率
08-20 0.2479 0.886%
08-20 0.3132 1.128%
08-20 0.2992 1.138%
08-20 0.3641 1.380%
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
07-23 1.0729 1.0729 -0.04% 1.05% 2.59%