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
07-04 2.9150 4.1780 0.07% 1.07% 8.77%
07-04 1.2912 1.2912 0.09% -3.50% -1.16%
07-04 1.3151 1.3151 0.09% -3.37% -0.90%
07-04 2.8340 2.8340 0.04% 0.93% 8.46%
07-04 1.8500 1.8500 -0.16% 12.26% 15.34%
07-04 1.8030 1.8030 -0.17% 12.06% 14.84%
07-04 0.9812 0.9812 -0.58% 1.85% 11.56%
07-04 0.9662 0.9662 -0.58% 1.73% 11.29%
07-04 1.5160 2.1170 -0.20% 1.07% 3.27%
07-04 1.4920 1.4920 -0.27% 0.95% 3.04%
07-04 1.0529 1.1261 0.07% 0.95% 1.80%
07-04 1.0319 1.0994 0.08% 0.83% 1.54%
07-04 1.1351 1.2045 -0.65% 1.13% 10.50%
07-04 1.1251 1.1932 -0.64% 1.09% 10.40%
07-04 0.9105 0.9105 0.14% 3.82% 5.28%
07-04 0.9024 0.9024 0.13% 3.77% 5.17%
07-04 1.1116 1.2716 0.32% 9.55% 14.93%
07-04 1.0837 1.2342 0.32% 9.41% 14.63%
07-04 1.0631 1.0808 0.06% 1.31% 1.16%
07-04 1.0388 1.0546 0.06% 1.18% 0.90%
07-04 1.2034 1.4949 -0.07% 3.71% 4.20%
07-04 1.1757 1.4572 -0.08% 3.58% 3.93%
07-04 0.6078 0.6078 -0.54% -3.52% -1.30%
07-04 0.5971 0.5971 -0.55% -3.63% -1.50%
07-04 0.9734 0.9940 0.13% 3.81% 4.96%
07-04 0.9552 0.9734 0.14% 3.68% 4.70%
07-04 1.0674 1.0784 0.18% 2.22% 2.50%
07-04 1.0513 1.0613 0.18% 2.13% 2.29%
07-04 0.5429 0.5429 -0.44% -1.65% -2.72%
07-04 0.5345 0.5345 -0.45% -1.73% -2.91%
07-04 1.0091 1.0091 0.16% 1.71% 1.60%
07-04 1.0026 1.0026 0.15% 1.64% 1.53%
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
07-04 1.0133 1.0999 0.03% 0.77% 0.60%
07-04 1.0457 1.0707 0.04% 0.80% 0.60%
07-04 1.0375 1.0625 0.05% 0.76% 0.51%
07-04 1.0592 1.0680 0.22% 1.60% 1.78%
07-04 1.0635 1.0723 0.23% 1.67% 1.91%
07-04 1.0397 1.1510 0.03% 0.58% 1.14%
07-04 1.0689 1.1504 0.04% 1.12% 1.26%
07-04 1.0314 1.2262 0.04% 0.79% 0.98%
07-04 1.6779 1.6779 0.10% 1.92% 2.07%
07-04 1.0461 1.3033 0.05% 0.80% 0.61%
07-04 1.0861 1.2805 0.01% 0.48% 0.53%
07-04 1.0641 1.3271 0.00% 0.50% 0.97%
07-04 1.0623 1.3238 0.01% 0.73% 0.73%
07-04 1.0606 1.0713 0.01% 0.68% 0.61%
07-04 1.0806 1.3341 0.02% 0.86% 1.90%
07-04 1.0809 1.1864 0.01% 0.80% 2.09%
07-04 1.1666 1.1666 0.03% 0.79% 1.37%
07-04 1.1512 1.1512 0.03% 0.73% 1.24%
07-04 1.1783 1.1783 0.03% 0.79% 1.37%
07-04 1.0881 1.1618 0.03% 0.75% 1.23%
07-04 1.0514 1.1752 0.02% 0.73% 1.14%
07-04 1.0524 1.1603 0.02% 0.85% 0.98%
07-04 1.0495 1.1493 0.03% 0.82% 0.91%
07-04 1.1236 1.5544 0.05% 1.19% 1.47%
07-04 1.1174 1.5160 0.05% 1.14% 1.37%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
07-04 1.0726 1.0726 0.04% 1.18% 1.64%
07-04 1.0572 1.0572 0.03% 1.07% 1.43%
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
07-04 1.2486 1.2486 0.17% 12.45% 18.60%
07-04 1.2243 1.2243 0.17% 12.35% 18.38%
07-04 1.5599 1.5599 -0.33% 1.54% 4.31%
07-04 1.5284 1.5284 -0.32% 1.46% 4.13%
07-04 1.1150 1.1150 -0.56% 4.24% 10.27%
07-04 1.1071 1.1071 -0.57% 4.14% 10.04%
07-04 1.8582 2.0132 0.28% 4.16% 3.11%
07-04 1.8290 1.8290 0.28% 4.03% 2.86%
03-22 0.7277 0.7277 0.00% 4.57% 0.48%
03-22 0.7169 0.7169 0.00% 4.43% 0.38%
03-22 0.6945 0.6945 0.00% 3.46% 0.59%
03-22 0.6841 0.6841 0.00% 3.32% 0.48%
03-22 0.5740 0.5740 0.00% 2.70% -0.62%
03-22 0.5655 0.5655 0.00% 2.58% -0.74%
基金名称 净值日期 万份收益 七日年化收益率
07-04 1.5783 1.692%
07-04 1.6401 1.934%
07-04 0.3722 1.321%
07-04 0.4060 1.567%
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
07-02 1.0712 1.0712 0.03% 1.22% 2.43%