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
01-06 1.3222 1.3222 0.62% -6.08% 3.02%
01-06 1.2948 1.2948 0.61% -6.21% 3.02%
01-06 1.8290 1.8290 0.55% -8.00% 3.98%
01-06 1.7750 1.7750 0.51% -8.17% 3.98%
01-06 1.0611 1.1443 0.31% 1.74% 0.58%
01-06 1.0370 1.1145 0.32% 1.62% 0.57%
01-06 1.2974 1.2974 0.50% 0.93% 2.94%
01-06 1.2743 1.2743 0.50% 0.80% 2.92%
01-06 1.7050 2.3060 1.25% 0.29% 3.40%
01-06 1.6750 1.6750 1.27% 0.24% 3.40%
01-06 3.3100 4.5730 1.25% 3.31% 2.60%
01-06 3.2100 3.2100 1.26% 3.18% 2.59%
01-06 1.0027 1.0027 0.12% 0.81% 0.14%
01-06 0.9950 0.9950 0.12% 0.74% 0.13%
01-06 1.0940 1.1217 0.36% 1.77% 0.51%
01-06 1.0660 1.0918 0.35% 1.63% 0.51%
01-06 1.1240 1.1470 0.52% 3.09% 0.81%
01-06 1.1044 1.1264 0.52% 2.97% 0.80%
01-06 1.3014 1.6029 1.30% -2.25% 3.50%
01-06 1.2680 1.5595 1.30% -2.37% 3.49%
01-06 1.1842 1.2048 1.90% 11.37% 3.37%
01-06 1.1591 1.1773 1.90% 11.22% 3.36%
01-06 0.6802 0.6802 1.64% 1.95% 6.25%
01-06 0.6683 0.6683 1.64% 1.84% 6.23%
01-06 0.8102 0.8102 0.62% 2.38% 3.39%
01-06 0.7943 0.7943 0.61% 2.27% 3.38%
01-06 0.9619 0.9619 1.14% -3.71% 2.87%
01-06 0.9519 0.9519 1.14% -3.81% 2.86%
01-06 1.2413 1.4585 1.25% 5.63% 3.06%
01-06 1.2124 1.4131 1.25% 5.50% 3.06%
01-06 1.4830 1.5539 0.58% 0.84% 3.24%
01-06 1.4699 1.5380 0.57% 0.78% 3.23%
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
01-06 1.1753 1.1753 0.00% 0.60% 0.03%
01-06 1.1583 1.1583 -0.01% 0.53% 0.03%
01-06 1.1870 1.1870 -0.01% 0.59% 0.03%
01-06 1.8226 1.8226 1.22% 1.09% 2.86%
01-06 1.0541 1.1588 0.00% 0.73% 0.07%
01-06 1.0304 1.1722 0.01% 0.72% 0.07%
01-06 1.0606 1.1421 -0.08% 0.31% -0.09%
12-31 1.0343 1.2291 0.03% 0.72% 1.27%
12-31 1.0630 1.0718 0.02% 0.64% 1.86%
12-31 1.0575 1.0663 0.02% 0.59% 1.61%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
01-06 1.0577 1.3192 -0.12% 0.18% -0.15%
01-06 1.0551 1.0658 -0.12% 0.14% -0.14%
01-06 1.0039 1.2832 -0.01% 0.14% 0.01%
01-06 1.0391 1.0391 -0.01% 0.11% 0.02%
12-31 1.0227 1.1616 0.01% 0.42% 1.11%
12-31 1.0190 1.1498 0.01% 0.39% 0.96%
01-06 1.0608 1.3343 -0.07% 0.42% -0.08%
01-06 1.0600 1.1855 -0.07% 0.36% -0.08%
01-06 1.0001 1.1003 0.00% 0.33% 0.01%
01-06 1.0137 1.0137 0.00% 0.22% 0.01%
01-06 1.0496 1.3068 -0.06% 0.57% -0.06%
01-06 1.0399 1.0649 -0.06% 0.51% -0.06%
01-06 1.0493 1.0743 -0.05% 0.58% -0.05%
12-31 1.0162 1.1655 0.03% 0.83% 2.59%
01-06 1.0861 1.0861 0.30% 0.26% 0.81%
01-06 1.0684 1.0684 0.30% 0.16% 0.80%
01-06 1.1264 1.5572 -0.04% 0.91% 0.03%
01-06 1.1190 1.5176 -0.03% 0.86% 0.03%
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
01-06 1.3713 1.3713 0.47% 2.84% 0.61%
01-06 1.3421 1.3421 0.47% 2.75% 0.60%
01-06 1.3602 1.3602 1.28% 2.05% 3.48%
01-06 1.3478 1.3478 1.28% 1.94% 3.48%
01-06 1.9624 1.9624 2.16% 2.83% 4.32%
01-06 1.9192 1.9192 2.16% 2.74% 4.31%
01-06 2.2393 2.3943 1.44% 4.56% 2.64%
01-06 2.1983 2.1983 1.44% 4.41% 2.63%
基金名称 净值日期 万份收益 七日年化收益率
01-06 0.2325 0.968%
01-06 0.3022 1.211%
01-06 0.3074 1.214%
01-06 0.3728 1.457%
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%