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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
12-30 1.2924 1.2924 -0.23% -8.20% -2.61%
12-30 1.2658 1.2658 -0.24% -8.31% -3.11%
12-30 1.7660 1.7660 -0.17% -11.17% 10.10%
12-30 1.7140 1.7140 -0.17% -11.33% 9.17%
12-30 1.0557 1.1389 -0.09% 1.23% 3.04%
12-30 1.0317 1.1092 -0.10% 1.10% 2.51%
12-30 1.2759 1.2759 0.65% -0.74% 45.07%
12-30 1.2533 1.2533 0.64% -0.86% 44.36%
12-30 1.6510 2.2520 0.24% -2.88% 12.47%
12-30 1.6220 1.6220 0.25% -2.93% 12.02%
12-30 3.2400 4.5030 0.28% 1.12% 20.90%
12-30 3.1430 3.1430 0.32% 1.03% 20.28%
12-30 1.0015 1.0015 -0.09% 0.69% 0.84%
12-30 0.9939 0.9939 -0.09% 0.63% 0.65%
12-29 1.0872 1.1149 -0.22% 1.22% 4.41%
12-29 1.0595 1.0853 -0.23% 1.09% 3.89%
12-29 1.1147 1.1377 -0.29% 2.30% 8.19%
12-29 1.0954 1.1174 -0.28% 2.20% 7.75%
12-30 1.2591 1.5606 0.23% -5.43% 9.90%
12-30 1.2268 1.5183 0.23% -5.55% 9.35%
12-29 1.1447 1.1653 -0.71% 7.45% 23.43%
12-29 1.1205 1.1387 -0.72% 7.32% 22.82%
12-29 0.6478 0.6478 0.19% -1.64% 16.07%
12-29 0.6365 0.6365 0.19% -1.73% 15.62%
12-29 0.7898 0.7898 0.09% -0.52% 28.26%
12-29 0.7745 0.7745 0.09% -0.60% 27.76%
12-29 0.9347 0.9347 -0.18% -5.52% 8.08%
12-29 0.9250 0.9250 -0.18% -5.61% 7.81%
12-29 1.2039 1.4211 -1.12% 2.84% 30.13%
12-29 1.1760 1.3767 -1.12% 2.72% 29.47%
12-30 1.4400 1.5109 0.31% -2.09% 40.34%
12-30 1.4274 1.4955 0.31% -2.13% 40.06%
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
12-30 1.1747 1.1747 0.01% 0.55% 2.08%
12-30 1.1578 1.1578 0.01% 0.49% 1.82%
12-30 1.1864 1.1864 0.00% 0.54% 2.06%
12-30 1.7730 1.7730 0.09% -1.66% 7.85%
12-30 1.0535 1.1582 -0.01% 0.67% 0.90%
12-30 1.0298 1.1716 -0.01% 0.66% 0.80%
12-30 1.0612 1.1427 0.00% 0.37% 0.53%
12-26 1.0340 1.2288 0.02% 0.74% 1.24%
12-26 1.0628 1.0716 0.07% 0.66% 1.84%
12-26 1.0573 1.0661 0.07% 0.60% 1.60%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
12-30 1.0590 1.3205 -0.02% 0.30% 0.41%
12-30 1.0563 1.0670 -0.03% 0.26% 0.20%
12-30 1.0037 1.2830 0.00% 0.12% 0.78%
12-30 1.0389 1.0389 0.01% 0.09% 0.19%
12-26 1.0229 1.1618 0.01% 0.47% 1.13%
12-26 1.0192 1.1500 0.01% 0.43% 0.98%
12-30 1.0615 1.3350 0.00% 0.49% 1.98%
12-30 1.0607 1.1862 -0.01% 0.43% 2.07%
12-30 1.0000 1.1002 -0.02% 0.32% 0.63%
12-30 1.0136 1.0136 -0.02% 0.21% 0.21%
12-30 1.0502 1.3074 0.00% 0.62% 1.00%
12-30 1.0405 1.0655 0.00% 0.57% 0.80%
12-30 1.0498 1.0748 0.00% 0.62% 0.99%
12-26 1.0159 1.1652 0.04% 0.83% 2.56%
12-29 1.0770 1.0770 -0.06% -0.34% 2.06%
12-29 1.0595 1.0595 -0.06% -0.44% 1.65%
12-30 1.1257 1.5565 0.02% 0.85% 1.66%
12-30 1.1183 1.5169 0.01% 0.79% 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
12-29 1.3679 1.3679 -1.10% 2.64% 29.93%
12-29 1.3389 1.3389 -1.10% 2.55% 29.46%
12-30 1.3149 1.3149 0.24% -1.35% 30.03%
12-30 1.3030 1.3030 0.23% -1.45% 29.51%
12-30 1.8848 1.8848 0.47% -1.23% 26.03%
12-30 1.8435 1.8435 0.47% -1.32% 25.60%
12-30 2.1816 2.3366 0.26% 1.86% 21.06%
12-30 2.1419 2.1419 0.26% 1.73% 20.45%
基金名称 净值日期 万份收益 七日年化收益率
12-30 0.2609 1.008%
12-30 0.3267 1.248%
12-30 0.4171 1.431%
12-30 0.4831 1.672%
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%