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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
11-27 1.3404 1.3404 -0.24% -4.13% 1.01%
11-27 1.3134 1.3134 -0.24% -4.25% 0.54%
11-27 1.8220 1.8220 -0.38% -6.32% 13.59%
11-27 1.7700 1.7700 -0.39% -6.50% 12.74%
11-27 1.0529 1.1361 0.05% 0.32% 2.76%
11-27 1.0295 1.1070 0.05% 0.19% 2.29%
11-27 1.1976 1.1976 0.04% 0.55% 36.17%
11-27 1.1769 1.1769 0.03% 0.42% 35.56%
11-27 1.6240 2.2250 0.74% -3.16% 10.63%
11-27 1.5960 1.5960 0.76% -3.27% 10.22%
11-27 3.1480 4.4110 -0.03% 1.71% 17.46%
11-27 3.0540 3.0540 -0.03% 1.56% 16.88%
11-27 1.0034 1.0034 0.07% 0.02% 1.03%
11-27 0.9960 0.9960 0.07% -0.03% 0.86%
11-27 1.0825 1.1102 0.00% 1.62% 3.96%
11-27 1.0554 1.0812 -0.01% 1.49% 3.48%
11-27 1.1081 1.1311 -0.01% 2.47% 7.55%
11-27 1.0892 1.1112 -0.02% 2.35% 7.14%
11-27 1.2478 1.5393 0.78% -4.23% 8.04%
11-27 1.2167 1.4982 0.78% -4.35% 7.56%
11-27 1.1264 1.1470 -0.12% 7.87% 21.46%
11-27 1.1031 1.1213 -0.12% 7.74% 20.91%
11-27 0.6425 0.6425 0.08% 4.71% 15.12%
11-27 0.6315 0.6315 0.06% 4.59% 14.71%
11-27 0.7251 0.7251 -0.18% -3.05% 17.75%
11-27 0.7112 0.7112 -0.18% -3.15% 17.32%
11-27 0.9378 0.9378 0.70% -3.92% 8.44%
11-27 0.9282 0.9282 0.69% -4.02% 8.18%
11-27 1.2872 1.4472 -0.46% 9.74% 33.09%
11-27 1.2523 1.4028 -0.45% 9.58% 32.46%
11-27 1.3697 1.4406 0.34% 0.05% 33.49%
11-27 1.3580 1.4261 0.35% 0.01% 33.25%
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
11-27 1.1731 1.1731 -0.01% 0.45% 1.94%
11-27 1.1565 1.1565 -0.01% 0.39% 1.71%
11-27 1.1849 1.1849 -0.01% 0.45% 1.94%
11-27 1.7330 1.7330 -0.03% -1.16% 5.42%
11-27 1.0547 1.1594 -0.07% 0.51% 1.02%
11-27 1.0310 1.1728 -0.07% 0.50% 0.91%
11-27 1.0628 1.1443 -0.04% 0.01% 0.68%
11-21 1.0328 1.2276 -0.01% 0.40% 1.12%
11-21 1.0631 1.0719 -0.01% 0.25% 1.87%
11-21 1.0578 1.0666 -0.02% 0.17% 1.64%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
11-27 1.0579 1.3194 -0.02% 0.12% 0.31%
11-27 1.0554 1.0661 -0.03% 0.07% 0.12%
11-27 1.0027 1.2820 -0.01% 0.16% 0.68%
11-27 1.0379 1.0379 -0.01% 0.08% 0.10%
11-21 1.0225 1.1614 -0.01% 0.38% 1.09%
11-21 1.0190 1.1498 -0.01% 0.34% 0.96%
11-27 1.0800 1.3335 -0.03% 0.29% 1.84%
11-27 1.0795 1.1850 -0.02% 0.24% 1.96%
11-27 1.0002 1.1004 -0.02% 0.30% 0.65%
11-27 1.0491 1.3063 -0.03% 0.49% 0.89%
11-27 1.0138 1.0138 -0.02% 0.23% 0.23%
11-27 1.0396 1.0646 -0.03% 0.43% 0.72%
11-27 1.0487 1.0737 -0.03% 0.48% 0.89%
11-21 1.0121 1.1614 0.10% 0.76% 2.18%
11-27 1.0729 1.0729 0.16% -0.33% 1.67%
11-27 1.0558 1.0558 0.15% -0.43% 1.30%
11-27 1.1237 1.5545 -0.01% 0.34% 1.48%
11-27 1.1165 1.5151 -0.01% 0.28% 1.29%
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
11-27 1.4147 1.4147 -0.29% 8.09% 34.38%
11-27 1.3851 1.3851 -0.29% 7.99% 33.93%
11-27 1.2729 1.2729 0.58% -0.80% 25.88%
11-27 1.2619 1.2619 0.58% -0.90% 25.42%
11-27 1.8130 1.8130 0.12% 1.47% 21.23%
11-27 1.7738 1.7738 0.11% 1.37% 20.85%
11-27 2.1196 2.2746 0.16% 5.10% 17.62%
11-27 2.0819 2.0819 0.15% 4.96% 17.08%
基金名称 净值日期 万份收益 七日年化收益率
11-27 0.2648 0.965%
11-27 0.3310 1.208%
11-27 0.2970 1.161%
11-27 0.3629 1.404%
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%