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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
12-17 1.3061 1.3061 0.63% -8.02% -1.57%
12-17 1.2795 1.2795 0.64% -8.13% -2.06%
12-17 1.7620 1.7620 1.09% -11.81% 9.85%
12-17 1.7110 1.7110 1.12% -11.99% 8.98%
12-17 1.0542 1.1374 0.20% 0.65% 2.89%
12-17 1.0304 1.1079 0.18% 0.51% 2.38%
12-17 1.2289 1.2289 2.49% -1.79% 39.73%
12-17 1.2073 1.2073 2.48% -1.92% 39.06%
12-17 1.6030 2.2040 1.65% -5.26% 9.20%
12-17 1.5740 1.5740 1.61% -5.41% 8.70%
12-17 3.1960 4.4590 1.43% 0.66% 19.25%
12-17 3.1000 3.1000 1.41% 0.52% 18.64%
12-17 0.9969 0.9969 0.11% -0.19% 0.37%
12-17 0.9894 0.9894 0.11% -0.25% 0.19%
12-17 1.0899 1.1176 0.19% 1.48% 4.67%
12-17 1.0623 1.0881 0.19% 1.36% 4.16%
12-17 1.1193 1.1423 0.23% 2.53% 8.64%
12-17 1.1001 1.1221 0.24% 2.42% 8.21%
12-17 1.2230 1.5245 1.60% -8.59% 6.75%
12-17 1.1919 1.4834 1.60% -8.70% 6.24%
12-17 1.1613 1.1819 0.94% 9.20% 25.22%
12-17 1.1370 1.1552 0.94% 9.05% 24.63%
12-17 0.6218 0.6218 2.59% -5.27% 11.41%
12-17 0.6111 0.6111 2.59% -5.36% 11.01%
12-17 0.7605 0.7605 3.01% -1.52% 23.50%
12-17 0.7457 0.7457 3.00% -1.62% 23.01%
12-17 0.9172 0.9172 1.42% -8.54% 6.06%
12-17 0.9077 0.9077 1.41% -8.64% 5.79%
12-17 1.2411 1.4583 0.58% 4.98% 34.15%
12-17 1.2124 1.4131 0.57% 4.84% 33.48%
12-17 1.3827 1.4536 1.62% -2.40% 34.76%
12-17 1.3706 1.4387 1.62% -2.45% 34.49%
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
12-17 1.1737 1.1737 0.02% 0.45% 1.99%
12-17 1.1569 1.1569 0.02% 0.38% 1.74%
12-17 1.1855 1.1855 0.02% 0.44% 1.99%
12-17 1.7326 1.7326 1.32% -3.63% 5.40%
12-17 1.0531 1.1578 0.00% 0.38% 0.87%
12-17 1.0294 1.1712 0.00% 0.37% 0.76%
12-17 1.0612 1.1427 0.10% 0.00% 0.53%
12-12 1.0324 1.2272 0.00% 0.40% 1.08%
12-12 1.0614 1.0702 0.07% 0.38% 1.71%
12-12 1.0560 1.0648 0.07% 0.32% 1.47%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
12-17 1.0591 1.3206 0.07% 0.26% 0.42%
12-17 1.0566 1.0673 0.07% 0.21% 0.23%
12-17 1.0023 1.2816 0.02% 0.01% 0.64%
12-17 1.0374 1.0374 0.01% -0.04% 0.05%
12-12 1.0218 1.1607 0.00% 0.31% 1.02%
12-12 1.0181 1.1489 -0.01% 0.26% 0.88%
12-17 1.0608 1.3343 0.04% 0.35% 1.92%
12-17 1.0602 1.1857 0.05% 0.30% 2.02%
12-17 1.0010 1.1012 0.04% 0.36% 0.73%
12-17 1.0494 1.3066 0.02% 0.46% 0.92%
12-17 1.0146 1.0146 0.04% 0.31% 0.31%
12-17 1.0398 1.0648 0.02% 0.41% 0.74%
12-17 1.0490 1.0740 0.02% 0.46% 0.91%
12-12 1.0147 1.1640 0.10% 0.80% 2.44%
12-17 1.0697 1.0697 0.38% -1.37% 1.36%
12-17 1.0525 1.0525 0.38% -1.46% 0.98%
12-17 1.1240 1.5548 0.03% 0.47% 1.51%
12-17 1.1167 1.5153 0.03% 0.42% 1.31%
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
12-17 1.3828 1.3828 0.22% 1.68% 31.34%
12-17 1.3536 1.3536 0.22% 1.58% 30.88%
12-17 1.2749 1.2749 1.60% -2.40% 26.08%
12-17 1.2635 1.2635 1.60% -2.51% 25.58%
12-17 1.8309 1.8309 2.14% -0.84% 22.43%
12-17 1.7910 1.7910 2.14% -0.93% 22.02%
12-17 2.1485 2.3035 1.62% 3.02% 19.22%
12-17 2.1098 2.1098 1.62% 2.88% 18.65%
基金名称 净值日期 万份收益 七日年化收益率
12-17 0.2675 0.962%
12-17 0.3332 1.204%
12-17 0.5514 1.283%
12-17 0.6170 1.527%
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%