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基金产品
  • 混合型
  • 债券型
  • 股票型
  • 货币型
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
04-02 1.2025 1.2025 -0.40% -6.30% -6.30%
04-02 1.1762 1.1762 -0.40% -6.42% -6.42%
04-02 1.7240 1.7240 -0.23% -1.99% -1.99%
04-02 1.6700 1.6700 -0.24% -2.17% -2.17%
04-02 1.0651 1.1483 -0.02% 0.96% 0.96%
04-02 1.0396 1.1171 -0.02% 0.82% 0.82%
04-02 1.2199 1.2199 -1.66% -3.21% -3.21%
04-02 1.1968 1.1968 -1.65% -3.34% -3.34%
04-02 1.7090 2.3100 -1.21% 3.64% 3.64%
04-02 1.6770 1.6770 -1.18% 3.52% 3.52%
04-02 3.0580 4.3210 -0.81% -5.21% -5.21%
04-02 2.9620 2.9620 -0.80% -5.34% -5.34%
04-02 0.9950 0.9950 -0.04% -0.63% -0.63%
04-02 0.9815 0.9815 -0.04% -1.23% -1.23%
04-02 1.0937 1.1214 -0.05% 0.49% 0.49%
04-02 1.0645 1.0903 -0.06% 0.37% 0.37%
04-02 1.1721 1.1951 -0.01% 5.12% 5.12%
04-02 1.1505 1.1725 -0.02% 5.01% 5.01%
04-02 1.3034 1.6049 -1.24% 3.66% 3.66%
04-02 1.2685 1.5600 -1.24% 3.53% 3.53%
04-02 1.2555 1.2761 0.07% 9.59% 9.59%
04-02 1.2274 1.2456 0.07% 9.45% 9.45%
04-02 0.6289 0.6289 -1.61% -1.77% -1.77%
04-02 0.6173 0.6173 -1.63% -1.88% -1.88%
04-02 0.7400 0.7400 -2.59% -5.56% -5.56%
04-02 0.7249 0.7249 -2.58% -5.65% -5.65%
04-02 0.9566 0.9566 -1.15% 2.30% 2.30%
04-02 0.9462 0.9462 -1.15% 2.25% 2.25%
04-02 1.2667 1.4839 -0.29% 5.17% 5.17%
04-02 1.2357 1.4364 -0.30% 5.04% 5.04%
04-02 1.4712 1.5421 -1.81% 2.42% 2.42%
04-02 1.4575 1.5256 -1.81% 2.36% 2.36%
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
04-02 1.1491 1.1834 0.01% 0.72% 0.72%
04-02 1.1318 1.1656 0.01% 0.66% 0.66%
04-02 1.1764 1.1953 0.02% 0.74% 0.74%
04-02 1.7174 1.7174 -1.45% -3.08% -3.08%
04-02 1.0688 1.1735 0.02% 1.46% 1.46%
04-02 1.0446 1.1864 0.02% 1.45% 1.45%
04-02 1.0718 1.1533 0.01% 0.96% 0.96%
03-27 1.0202 1.2375 0.02% 0.84% 0.81%
03-27 1.0722 1.0810 0.11% 0.88% 0.87%
03-27 1.0660 1.0748 0.11% 0.82% 0.80%
04-02 1.0637 1.3252 0.00% 0.42% 0.42%
04-02 1.0609 1.0716 0.00% 0.41% 0.41%
04-02 1.0102 1.2895 0.04% 0.64% 0.64%
04-02 1.0457 1.0457 0.04% 0.65% 0.65%
04-02 1.0212 1.1669 0.00% 0.52% 0.52%
04-02 1.0178 1.1546 0.00% 0.47% 0.47%
04-02 1.0690 1.3425 0.03% 0.70% 0.70%
04-02 1.0677 1.1932 0.03% 0.65% 0.65%
04-02 1.0030 1.1032 0.00% 0.30% 0.30%
04-02 1.0578 1.3150 0.01% 0.72% 0.72%
04-02 1.0166 1.0166 0.00% 0.30% 0.30%
04-02 1.0475 1.0725 0.01% 0.67% 0.67%
04-02 1.0574 1.0824 0.01% 0.72% 0.72%
03-27 1.0220 1.1713 0.04% 0.60% 0.57%
04-02 1.0890 1.0890 -0.30% 1.08% 1.08%
04-02 1.0703 1.0703 -0.30% 0.98% 0.98%
04-02 1.1389 1.5697 0.02% 1.14% 1.14%
04-02 1.1308 1.5294 0.02% 1.08% 1.08%
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
04-02 1.3393 1.3393 -0.37% -1.74% -1.74%
04-02 1.3097 1.3097 -0.37% -1.83% -1.83%
04-02 1.3749 1.3749 -1.14% 4.60% 4.60%
04-02 1.3611 1.3611 -1.15% 4.50% 4.50%
04-02 1.9977 1.9977 -1.69% 6.19% 6.19%
04-02 1.9522 1.9522 -1.69% 6.10% 6.10%
04-02 2.2544 2.4094 -0.51% 3.33% 3.33%
04-02 2.2105 2.2105 -0.51% 3.20% 3.20%
03-27 0.9996 0.9996 0.33% -0.04% -0.04%
03-27 0.9995 0.9995 0.32% -0.05% -0.05%
基金名称 净值日期 万份收益 七日年化收益率
04-02 0.2290 0.842%
04-02 0.2925 1.085%
04-02 0.2913 1.229%
04-02 0.3789 1.474%