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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
07-11 1.3219 1.3219 0.65% -1.19% -0.38%
07-11 1.2978 1.2978 0.66% -1.32% -0.66%
07-11 2.9360 4.1990 0.34% 4.30% 9.55%
07-11 2.8550 2.8550 0.35% 4.20% 9.26%
07-11 1.8120 1.8120 1.06% 12.20% 12.97%
07-11 1.7650 1.7650 1.03% 11.92% 12.42%
07-11 1.0020 1.0020 0.63% 7.35% 13.93%
07-11 0.9866 0.9866 0.63% 7.23% 13.64%
07-11 1.5280 2.1290 0.33% 6.63% 4.09%
07-11 1.5040 1.5040 0.33% 6.52% 3.87%
07-11 1.0547 1.1279 -0.03% 2.37% 1.97%
07-11 1.0334 1.1009 -0.04% 2.24% 1.69%
07-11 1.1539 1.2233 0.80% 5.68% 12.33%
07-11 1.1436 1.2117 0.81% 5.62% 12.22%
07-11 0.9089 0.9089 0.25% 8.16% 5.10%
07-11 0.9007 0.9007 0.24% 8.10% 4.98%
07-11 1.1085 1.2685 0.49% 14.80% 14.61%
07-11 1.0806 1.2311 0.49% 14.65% 14.30%
07-11 1.0612 1.0789 0.04% 2.15% 0.98%
07-11 1.0369 1.0527 0.04% 2.02% 0.72%
07-11 1.2191 1.5106 0.52% 8.88% 5.56%
07-11 1.1910 1.4725 0.52% 8.75% 5.29%
07-11 0.6186 0.6186 0.45% 4.37% 0.45%
07-11 0.6077 0.6077 0.46% 4.27% 0.25%
07-11 0.9717 0.9923 0.26% 8.28% 4.78%
07-11 0.9534 0.9716 0.25% 8.14% 4.51%
07-11 1.0669 1.0779 0.09% 3.71% 2.45%
07-11 1.0508 1.0608 0.10% 3.62% 2.24%
07-11 0.5551 0.5551 1.11% 8.89% -0.54%
07-11 0.5465 0.5465 1.11% 8.78% -0.73%
07-11 1.0084 1.0084 -0.14% 2.31% 1.53%
07-11 1.0019 1.0019 -0.14% 2.25% 1.46%
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 1.0585 1.0673 -0.07% 1.19% 1.71%
07-11 1.0369 1.0619 -0.01% 0.55% 0.46%
07-11 1.0451 1.0701 -0.02% 0.59% 0.54%
07-11 1.0627 1.0715 -0.08% 1.24% 1.83%
07-11 1.0680 1.1495 -0.03% 0.82% 1.17%
07-11 1.0401 1.1514 0.04% 0.57% 1.18%
07-11 1.0311 1.2259 -0.01% 0.60% 0.95%
07-11 1.0641 1.3271 0.00% 0.48% 0.97%
07-11 1.0124 1.0990 -0.02% 0.42% 0.51%
07-11 1.0855 1.2799 -0.01% 0.37% 0.47%
07-11 1.0455 1.3027 -0.02% 0.60% 0.55%
07-11 1.6892 1.6892 0.05% 5.05% 2.76%
07-11 1.0605 1.3220 -0.01% 0.26% 0.55%
07-11 1.0589 1.0696 -0.01% 0.22% 0.45%
07-11 1.0792 1.3327 -0.01% 0.48% 1.76%
07-11 1.0795 1.1850 -0.01% 0.44% 1.96%
07-11 1.1668 1.1668 0.00% 0.68% 1.39%
07-11 1.1513 1.1513 -0.01% 0.61% 1.25%
07-11 1.1785 1.1785 -0.01% 0.68% 1.39%
07-11 1.0868 1.1605 -0.02% 0.38% 1.11%
07-11 1.0501 1.1739 -0.03% 0.36% 1.01%
07-11 1.0516 1.1595 -0.04% 0.52% 0.90%
07-11 1.0487 1.1485 -0.03% 0.48% 0.84%
07-11 1.1228 1.5536 -0.02% 0.88% 1.40%
07-11 1.1165 1.5151 -0.02% 0.83% 1.29%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
07-11 1.0709 1.0709 0.02% 1.39% 1.48%
07-11 1.0555 1.0555 0.02% 1.29% 1.27%
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 1.2496 1.2496 -0.03% 19.10% 18.69%
07-11 1.2251 1.2251 -0.04% 19.00% 18.46%
07-11 1.5947 1.5947 0.66% 9.23% 6.63%
07-11 1.5624 1.5624 0.66% 9.14% 6.45%
07-11 1.1431 1.1431 0.87% 13.22% 13.04%
07-11 1.1349 1.1349 0.87% 13.11% 12.80%
07-11 1.8478 1.8478 0.38% 8.12% 3.91%
07-11 1.8776 2.0326 0.38% 8.26% 4.19%
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
07-11 0.2891 0.998%
07-11 0.2231 0.757%
07-11 0.3724 1.217%
07-11 0.3967 1.471%
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
07-09 1.0722 1.0722 0.03% 1.63% 2.52%