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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
03-03 1.1859 1.1859 -1.98% -10.47% -7.60%
03-03 1.1605 1.1605 -1.97% -10.58% -7.67%
03-03 1.6710 1.6710 -2.11% -6.44% -5.00%
03-03 1.6190 1.6190 -2.18% -6.63% -5.16%
03-03 1.0709 1.1541 -0.07% 1.24% 1.51%
03-03 1.0457 1.1232 -0.09% 1.11% 1.42%
03-03 1.2663 1.2663 -3.37% 5.53% 0.47%
03-03 1.2428 1.2428 -3.37% 5.40% 0.38%
03-03 1.8150 2.4160 -3.35% 11.83% 10.07%
03-03 1.7810 1.7810 -3.42% 11.66% 9.94%
03-03 3.1930 4.4560 -2.03% 0.73% -1.02%
03-03 3.0940 3.0940 -2.03% 0.62% -1.12%
03-03 1.0054 1.0054 -0.13% -0.04% 0.41%
03-03 0.9973 0.9973 -0.14% -0.11% 0.36%
03-03 1.1053 1.1330 -0.69% 1.64% 1.55%
03-03 1.0763 1.1021 -0.68% 1.52% 1.48%
03-03 1.1860 1.2090 -0.89% 6.38% 6.37%
03-03 1.1645 1.1865 -0.90% 6.27% 6.29%
03-03 1.3882 1.6897 -3.54% 12.27% 10.40%
03-03 1.3515 1.6430 -3.53% 12.14% 10.31%
03-03 1.2741 1.2947 -1.95% 11.26% 11.22%
03-03 1.2461 1.2643 -1.94% 11.12% 11.12%
03-03 0.6608 0.6608 -3.34% 6.22% 3.22%
03-03 0.6488 0.6488 -3.34% 6.10% 3.13%
03-03 0.8078 0.8078 -4.06% 10.23% 3.09%
03-03 0.7915 0.7915 -4.07% 10.11% 3.02%
03-03 1.0213 1.0213 -3.71% 9.00% 9.22%
03-03 1.0103 1.0103 -3.72% 8.94% 9.17%
03-03 1.2985 1.5157 -2.18% 4.71% 7.81%
03-03 1.2673 1.4680 -2.17% 4.60% 7.73%
03-03 1.5042 1.5751 -4.06% 10.03% 4.71%
03-03 1.4905 1.5586 -4.06% 9.98% 4.68%
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
03-03 1.1804 1.1804 0.01% 0.60% 0.47%
03-03 1.1629 1.1629 0.01% 0.54% 0.43%
03-03 1.1922 1.1922 0.01% 0.60% 0.47%
03-03 1.8671 1.8671 -3.24% 7.99% 5.37%
03-03 1.0645 1.1692 0.04% 0.96% 1.05%
03-03 1.0404 1.1822 0.03% 0.94% 1.04%
03-03 1.0696 1.1511 0.02% 0.73% 0.75%
02-27 1.0395 1.2343 0.02% 0.75% 0.50%
02-27 1.0690 1.0778 -0.05% 0.55% 0.56%
02-27 1.0629 1.0717 -0.07% 0.48% 0.51%
03-03 1.0636 1.3251 0.02% 0.52% 0.41%
03-03 1.0606 1.0713 0.02% 0.47% 0.38%
03-03 1.0069 1.2862 -0.02% 0.41% 0.31%
03-03 1.0422 1.0422 -0.02% 0.40% 0.32%
02-27 1.0263 1.1652 0.01% 0.47% 0.35%
02-27 1.0223 1.1531 0.01% 0.43% 0.32%
03-03 1.0664 1.3399 0.01% 0.59% 0.45%
03-03 1.0653 1.1908 0.02% 0.55% 0.42%
03-03 1.0020 1.1022 0.01% 0.17% 0.20%
03-03 1.0549 1.3121 0.02% 0.54% 0.45%
03-03 1.0156 1.0156 0.01% 0.17% 0.20%
03-03 1.0448 1.0698 0.02% 0.49% 0.41%
03-03 1.0546 1.0796 0.03% 0.55% 0.46%
02-27 1.0201 1.1694 0.09% 0.79% 0.38%
03-03 1.1070 1.1070 -0.83% 3.26% 2.75%
03-03 1.0883 1.0883 -0.83% 3.17% 2.68%
03-03 1.1344 1.5652 0.01% 0.94% 0.74%
03-03 1.1265 1.5251 0.01% 0.89% 0.70%
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
03-03 1.4292 1.4292 -1.53% 0.19% 4.86%
03-03 1.3980 1.3980 -1.54% 0.10% 4.79%
03-03 1.4587 1.4587 -3.57% 14.38% 10.98%
03-03 1.4446 1.4446 -3.56% 14.28% 10.91%
03-03 2.1282 2.1282 -3.92% 16.63% 13.13%
03-03 2.0803 2.0803 -3.93% 16.53% 13.07%
03-03 2.3326 2.4876 -2.18% 9.59% 6.92%
03-03 2.2881 2.2881 -2.18% 9.45% 6.83%
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基金名称 净值日期 万份收益 七日年化收益率
03-03 0.2321 0.858%
03-03 0.2966 1.100%
03-03 0.3156 1.165%
03-03 0.3821 1.407%