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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
09-30 1.4078 1.4078 0.59% 7.39% 6.09%
09-30 1.3805 1.3805 0.59% 7.26% 5.67%
09-30 1.9880 1.9880 1.27% 10.26% 23.94%
09-30 1.9330 1.9330 1.20% 9.95% 23.12%
09-30 1.0528 1.1260 -0.02% 0.57% 1.79%
09-30 1.0304 1.0979 -0.03% 0.44% 1.40%
09-30 1.2854 1.2854 -0.06% 29.92% 46.15%
09-30 1.2642 1.2642 -0.06% 29.75% 45.61%
09-30 1.7000 2.3010 0.95% 11.77% 15.80%
09-30 1.6710 1.6710 0.91% 11.62% 15.40%
09-30 3.2040 4.4670 0.19% 10.33% 19.55%
09-30 3.1110 3.1110 0.16% 10.16% 19.06%
09-30 0.9946 0.9946 -0.01% -0.91% 0.14%
09-30 0.9877 0.9877 0.00% -0.96% 0.02%
09-30 1.0849 1.1026 0.08% 2.52% 3.24%
09-30 1.0588 1.0746 0.08% 2.40% 2.85%
09-30 1.1021 1.1131 0.06% 4.30% 5.83%
09-30 1.0843 1.0943 0.06% 4.18% 5.50%
09-30 1.3421 1.6336 0.88% 12.41% 16.21%
09-30 1.3096 1.5911 0.88% 12.27% 15.77%
09-30 1.0633 1.0839 -0.19% 11.06% 14.65%
09-30 1.0422 1.0604 -0.18% 10.92% 14.24%
09-30 0.6672 0.6672 1.31% 22.13% 19.55%
09-30 0.6562 0.6562 1.31% 22.02% 19.20%
09-30 0.7914 0.7914 -0.31% 27.58% 28.52%
09-30 0.7767 0.7767 -0.32% 27.43% 28.13%
09-30 0.9990 0.9990 0.98% 11.55% 15.52%
09-30 0.9896 0.9896 0.98% 11.48% 15.34%
09-30 1.2285 1.3885 0.38% 12.18% 27.02%
09-30 1.1961 1.3466 0.38% 12.03% 26.52%
09-30 1.4723 1.5417 1.13% 28.03% 43.33%
09-30 1.4585 1.5266 1.12% 27.96% 43.12%
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
09-30 1.1683 1.1683 0.03% 0.25% 1.52%
09-30 1.1522 1.1522 0.03% 0.19% 1.33%
09-30 1.1800 1.1800 0.02% 0.25% 1.51%
09-30 1.8030 1.8030 0.88% 8.69% 9.68%
09-30 1.0774 1.1511 -0.04% -0.85% 0.23%
09-30 1.0410 1.1648 -0.03% -0.86% 0.13%
09-30 1.0573 1.1388 0.07% -0.89% 0.16%
09-30 1.0269 1.2217 0.03% -0.29% 0.54%
09-30 1.0562 1.0650 0.04% -0.46% 1.21%
09-30 1.0513 1.0601 0.03% -0.53% 1.02%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
09-30 1.0558 1.3173 0.07% -0.46% 0.11%
09-30 1.0536 1.0643 0.07% -0.52% -0.05%
09-30 1.0025 1.2818 -0.01% 0.20% 0.66%
09-30 1.0380 1.0380 0.00% 0.11% 0.11%
09-30 1.0493 1.1572 0.02% -0.12% 0.68%
09-30 1.0460 1.1458 0.02% -0.16% 0.58%
09-30 1.0763 1.3298 0.07% -0.24% 1.49%
09-30 1.0761 1.1816 0.07% -0.30% 1.63%
09-30 1.0104 1.0970 0.03% -0.13% 0.31%
09-30 1.0437 1.3009 0.04% -0.11% 0.38%
09-30 1.0346 1.0596 0.04% -0.15% 0.23%
09-30 1.0433 1.0683 0.04% -0.11% 0.37%
09-30 1.0078 1.1571 0.03% 0.63% 1.75%
09-30 1.0833 1.0833 0.24% 1.39% 2.65%
09-30 1.0667 1.0667 0.23% 1.28% 2.34%
09-30 1.1162 1.5470 0.03% -0.44% 0.80%
09-30 1.1095 1.5081 0.04% -0.48% 0.65%
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
09-30 1.3334 1.3334 0.05% 9.56% 26.65%
09-30 1.3062 1.3062 0.05% 9.45% 26.30%
09-30 1.3329 1.3329 1.91% 19.35% 31.81%
09-30 1.3222 1.3222 1.91% 19.22% 31.42%
09-30 1.9083 1.9083 1.35% 22.28% 27.60%
09-30 1.8681 1.8681 1.36% 22.17% 27.27%
09-30 2.1417 2.2967 1.02% 16.55% 18.84%
09-30 2.1055 2.1055 1.02% 16.40% 18.41%
基金名称 净值日期 万份收益 七日年化收益率
09-30 0.2412 0.866%
09-30 0.3084 1.110%
09-30 0.6223 1.553%
09-30 0.6883 1.802%
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%