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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
07-15 2.9430 4.2060 -0.20% 4.51% 9.81%
07-15 1.3245 1.3245 0.14% -1.16% -0.19%
07-15 1.3002 1.3002 0.14% -1.31% -0.47%
07-15 2.8610 2.8610 -0.21% 4.38% 9.49%
07-15 1.8340 1.8340 0.44% 10.88% 14.34%
07-15 1.7870 1.7870 0.45% 10.65% 13.82%
07-15 1.0211 1.0211 1.59% 8.58% 16.10%
07-15 1.0053 1.0053 1.60% 8.45% 15.79%
07-15 1.5260 2.1270 -0.33% 5.53% 3.95%
07-15 1.5020 1.5020 -0.33% 5.40% 3.73%
07-15 1.0537 1.1269 -0.19% 1.96% 1.88%
07-15 1.0324 1.0999 -0.19% 1.83% 1.59%
07-15 1.1623 1.2317 0.20% 7.01% 13.15%
07-15 1.1519 1.2200 0.20% 6.95% 13.03%
07-15 0.9180 0.9180 0.09% 9.34% 6.15%
07-15 0.9098 0.9098 0.10% 9.30% 6.04%
07-15 1.1290 1.2890 0.78% 14.98% 16.73%
07-15 1.1005 1.2510 0.77% 14.84% 16.41%
07-15 1.0628 1.0805 0.02% 2.36% 1.13%
07-15 1.0383 1.0541 0.01% 2.23% 0.85%
07-15 1.2203 1.5118 -0.29% 8.63% 5.66%
07-15 1.1921 1.4736 -0.28% 8.49% 5.38%
07-15 0.6277 0.6277 1.31% 5.46% 1.93%
07-15 0.6166 0.6166 1.30% 5.35% 1.72%
07-15 0.9814 1.0020 0.09% 9.42% 5.82%
07-15 0.9628 0.9810 0.08% 9.27% 5.54%
07-15 1.0671 1.0781 -0.07% 3.91% 2.47%
07-15 1.0509 1.0609 -0.07% 3.82% 2.25%
07-15 0.5644 0.5644 1.26% 9.87% 1.13%
07-15 0.5555 0.5555 1.24% 9.74% 0.91%
07-15 1.0084 1.0084 -0.10% 2.02% 1.53%
07-15 1.0018 1.0018 -0.11% 1.95% 1.45%
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
07-11 1.0641 1.3271 0.00% 0.48% 0.97%
07-11 1.0311 1.2259 -0.01% 0.60% 0.95%
07-15 1.0371 1.0621 0.04% 0.57% 0.47%
07-15 1.0454 1.0704 0.05% 0.62% 0.57%
07-15 1.0859 1.2803 0.05% 0.41% 0.51%
07-11 1.0401 1.1514 0.04% 0.57% 1.18%
07-15 1.6764 1.6764 -0.37% 4.76% 1.98%
07-15 1.0686 1.1501 0.09% 0.86% 1.23%
07-11 1.0627 1.0715 -0.08% 1.24% 1.83%
07-11 1.0585 1.0673 -0.07% 1.19% 1.71%
07-15 1.0458 1.3030 0.05% 0.62% 0.58%
07-15 1.0128 1.0994 0.08% 0.46% 0.55%
07-15 1.0615 1.3230 0.13% 0.39% 0.65%
07-15 1.0599 1.0706 0.14% 0.35% 0.55%
07-15 1.0798 1.3333 0.08% 0.51% 1.82%
07-15 1.0800 1.1855 0.07% 0.45% 2.00%
07-15 1.1670 1.1670 0.02% 0.69% 1.41%
07-15 1.1515 1.1515 0.01% 0.62% 1.27%
07-15 1.1787 1.1787 0.01% 0.68% 1.40%
07-15 1.0875 1.1612 0.10% 0.43% 1.17%
07-15 1.0508 1.1746 0.10% 0.41% 1.08%
07-11 1.0516 1.1595 -0.04% 0.52% 0.90%
07-11 1.0487 1.1485 -0.03% 0.48% 0.84%
07-15 1.1232 1.5540 0.06% 0.91% 1.44%
07-15 1.1170 1.5156 0.07% 0.86% 1.33%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
07-15 1.0721 1.0721 0.08% 1.52% 1.59%
07-15 1.0566 1.0566 0.08% 1.41% 1.37%
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
07-15 1.2621 1.2621 -0.13% 17.61% 19.88%
07-15 1.2374 1.2374 -0.13% 17.51% 19.65%
07-15 1.5874 1.5874 -0.35% 8.34% 6.15%
07-15 1.5552 1.5552 -0.34% 8.26% 5.95%
07-15 1.1433 1.1433 -0.17% 12.19% 13.06%
07-15 1.1350 1.1350 -0.18% 12.07% 12.81%
07-15 1.8472 1.8472 -0.10% 7.70% 3.88%
07-15 1.8770 2.0320 -0.10% 7.84% 4.16%
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
07-15 0.2976 1.051%
07-15 0.2318 0.809%
07-15 0.3333 1.209%
07-15 0.3989 1.463%
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
07-11 1.0718 1.0718 -0.05% 1.53% 2.49%