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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
01-13 1.3441 1.3441 0.01% -1.17% 4.73%
01-13 1.3161 1.3161 0.01% -1.30% 4.71%
01-13 1.9170 1.9170 0.84% 1.48% 8.98%
01-13 1.8600 1.8600 0.81% 1.25% 8.96%
01-13 1.0619 1.1451 0.01% 1.24% 0.65%
01-13 1.0376 1.1151 0.01% 1.11% 0.63%
01-13 1.3028 1.3028 -2.10% 5.48% 3.36%
01-13 1.2795 1.2795 -2.10% 5.35% 3.34%
01-13 1.7650 2.3660 -0.62% 4.93% 7.03%
01-13 1.7330 1.7330 -0.63% 4.78% 6.98%
01-13 3.3260 4.5890 0.00% 5.49% 3.10%
01-13 3.2250 3.2250 0.00% 5.36% 3.07%
01-13 1.0016 1.0016 0.06% 0.28% 0.03%
01-13 0.9939 0.9939 0.07% 0.21% 0.02%
01-13 1.0947 1.1224 0.01% 1.86% 0.58%
01-13 1.0666 1.0924 0.01% 1.73% 0.57%
01-13 1.1270 1.1500 0.04% 3.29% 1.08%
01-13 1.1073 1.1293 0.05% 3.19% 1.07%
01-13 1.3456 1.6471 -0.84% 2.15% 7.01%
01-13 1.3109 1.6024 -0.84% 2.03% 6.99%
01-13 1.1922 1.2128 0.68% 11.70% 4.07%
01-13 1.1668 1.1850 0.69% 11.57% 4.05%
01-13 0.6935 0.6935 -1.35% 6.84% 8.33%
01-13 0.6813 0.6813 -1.36% 6.74% 8.30%
01-13 0.8101 0.8101 -2.37% 5.96% 3.38%
01-13 0.7942 0.7942 -2.37% 5.87% 3.37%
01-13 0.9890 0.9890 -0.64% -0.17% 5.76%
01-13 0.9787 0.9787 -0.64% -0.28% 5.76%
01-13 1.2668 1.4840 0.79% 9.23% 5.18%
01-13 1.2372 1.4379 0.80% 9.10% 5.17%
01-13 1.5492 1.6201 -1.91% 7.65% 7.85%
01-13 1.5355 1.6036 -1.90% 7.60% 7.84%
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
01-13 1.1759 1.1759 0.01% 0.55% 0.09%
01-13 1.1589 1.1589 0.01% 0.49% 0.09%
01-13 1.1877 1.1877 0.01% 0.54% 0.09%
01-13 1.8723 1.8723 -1.01% 4.27% 5.67%
01-13 1.0545 1.1592 0.01% 0.63% 0.10%
01-13 1.0307 1.1725 0.01% 0.61% 0.10%
01-13 1.0619 1.1434 0.03% 0.29% 0.03%
01-09 1.0351 1.2299 0.02% 0.72% 0.08%
01-09 1.0633 1.0721 0.03% 0.67% 0.03%
01-09 1.0577 1.0665 0.02% 0.61% 0.02%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
01-13 1.0587 1.3202 0.00% 0.20% -0.06%
01-13 1.0560 1.0667 0.00% 0.15% -0.06%
01-13 1.0040 1.2833 0.01% 0.13% 0.02%
01-13 1.0392 1.0392 0.02% 0.11% 0.03%
01-09 1.0228 1.1617 0.01% 0.39% 0.01%
01-09 1.0190 1.1498 0.01% 0.36% 0.00%
01-13 1.0618 1.3353 0.01% 0.44% 0.02%
01-13 1.0610 1.1865 0.01% 0.39% 0.02%
01-13 1.0003 1.1005 0.00% 0.27% 0.03%
01-13 1.0139 1.0139 0.00% 0.24% 0.03%
01-13 1.0504 1.3076 0.02% 0.56% 0.02%
01-13 1.0406 1.0656 0.01% 0.50% 0.01%
01-13 1.0500 1.0750 0.02% 0.56% 0.02%
01-09 1.0168 1.1661 0.06% 0.89% 0.06%
01-13 1.0951 1.0951 -0.19% 1.21% 1.64%
01-13 1.0772 1.0772 -0.19% 1.11% 1.63%
01-13 1.1277 1.5585 0.04% 0.84% 0.14%
01-13 1.1202 1.5188 0.03% 0.78% 0.13%
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
01-13 1.3732 1.3732 0.00% 1.69% 0.75%
01-13 1.3438 1.3438 -0.01% 1.59% 0.73%
01-13 1.4065 1.4065 -0.82% 6.94% 7.01%
01-13 1.3935 1.3935 -0.83% 6.83% 6.99%
01-13 2.0057 2.0057 -0.75% 5.73% 6.62%
01-13 1.9614 1.9614 -0.75% 5.63% 6.60%
01-13 2.2549 2.4099 -0.08% 4.99% 3.36%
01-13 2.2134 2.2134 -0.08% 4.85% 3.34%
基金名称 净值日期 万份收益 七日年化收益率
01-13 0.2447 0.944%
01-13 0.3103 1.188%
01-13 0.3067 1.152%
01-13 0.3725 1.390%
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%