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
12-26 1.3048 1.3048 -0.08% -6.02% -1.67%
12-26 1.2780 1.2780 -0.09% -6.14% -2.17%
12-26 1.7850 1.7850 -0.61% -9.02% 11.28%
12-26 1.7320 1.7320 -0.63% -9.27% 10.32%
12-26 1.0594 1.1426 0.02% 1.69% 3.40%
12-26 1.0355 1.1130 0.02% 1.57% 2.89%
12-26 1.2718 1.2718 -0.02% 0.73% 44.60%
12-26 1.2493 1.2493 -0.02% 0.60% 43.90%
12-26 1.6500 2.2510 0.18% -0.96% 12.40%
12-26 1.6210 1.6210 0.25% -1.04% 11.95%
12-26 3.2430 4.5060 0.12% 2.21% 21.01%
12-26 3.1460 3.1460 0.13% 2.11% 20.40%
12-26 1.0020 1.0020 -0.09% 0.74% 0.89%
12-26 0.9944 0.9944 -0.09% 0.69% 0.70%
12-26 1.0896 1.1173 0.15% 1.63% 4.64%
12-26 1.0619 1.0877 0.14% 1.51% 4.12%
12-26 1.1179 1.1409 0.21% 2.85% 8.50%
12-26 1.0985 1.1205 0.20% 2.74% 8.05%
12-26 1.2587 1.5602 0.23% -3.56% 9.87%
12-26 1.2266 1.5181 0.24% -3.68% 9.33%
12-26 1.1529 1.1735 0.10% 9.35% 24.32%
12-26 1.1286 1.1468 0.10% 9.21% 23.71%
12-26 0.6466 0.6466 -0.05% -0.61% 15.86%
12-26 0.6353 0.6353 -0.05% -0.72% 15.40%
12-26 0.7891 0.7891 -0.27% 1.62% 28.14%
12-26 0.7738 0.7738 -0.26% 1.52% 27.65%
12-26 0.9364 0.9364 0.17% -4.54% 8.28%
12-26 0.9267 0.9267 0.16% -4.63% 8.01%
12-26 1.2175 1.4347 -0.06% 5.26% 31.60%
12-26 1.1893 1.3900 -0.06% 5.14% 30.94%
12-26 1.4358 1.5067 -0.24% -0.31% 39.93%
12-26 1.4232 1.4913 -0.24% -0.36% 39.65%
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
12-26 1.1747 1.1747 0.01% 0.59% 2.08%
12-26 1.1578 1.1578 0.01% 0.53% 1.82%
12-26 1.1864 1.1864 0.01% 0.58% 2.06%
12-26 1.7810 1.7810 0.14% 0.74% 8.34%
12-26 1.0539 1.1586 0.02% 0.64% 0.94%
12-26 1.0302 1.1720 0.02% 0.64% 0.83%
12-26 1.0628 1.1443 0.03% 0.54% 0.68%
12-26 1.0340 1.2288 0.02% 0.74% 1.24%
12-26 1.0628 1.0716 0.07% 0.66% 1.84%
12-26 1.0573 1.0661 0.07% 0.60% 1.60%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
12-26 1.0599 1.3214 0.00% 0.45% 0.50%
12-26 1.0573 1.0680 0.00% 0.40% 0.30%
12-26 1.0036 1.2829 0.01% 0.12% 0.77%
12-26 1.0388 1.0388 0.01% 0.09% 0.18%
12-26 1.0229 1.1618 0.01% 0.47% 1.13%
12-26 1.0192 1.1500 0.01% 0.43% 0.98%
12-26 1.0622 1.3357 0.01% 0.61% 2.05%
12-26 1.0614 1.1869 0.01% 0.55% 2.14%
12-26 1.0008 1.1010 -0.02% 0.44% 0.71%
12-26 1.0505 1.3077 0.01% 0.70% 1.03%
12-26 1.0144 1.0144 -0.02% 0.29% 0.29%
12-26 1.0408 1.0658 0.01% 0.64% 0.83%
12-26 1.0501 1.0751 0.01% 0.70% 1.02%
12-26 1.0159 1.1652 0.04% 0.83% 2.56%
12-26 1.0776 1.0776 0.08% -0.03% 2.11%
12-26 1.0601 1.0601 0.08% -0.12% 1.71%
12-26 1.1259 1.5567 0.02% 0.92% 1.68%
12-26 1.1185 1.5171 0.01% 0.87% 1.47%
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
12-26 1.3831 1.3831 -0.04% 4.99% 31.37%
12-26 1.3538 1.3538 -0.04% 4.90% 30.90%
12-26 1.3143 1.3143 0.37% 1.86% 29.97%
12-26 1.3024 1.3024 0.36% 1.75% 29.45%
12-26 1.8854 1.8854 0.33% 1.66% 26.07%
12-26 1.8441 1.8441 0.33% 1.56% 25.64%
12-26 2.1809 2.3359 -0.07% 4.49% 21.02%
12-26 2.1412 2.1412 -0.07% 4.34% 20.41%
基金名称 净值日期 万份收益 七日年化收益率
12-26 0.2595 1.014%
12-26 0.3231 1.255%
12-26 0.6503 1.382%
12-26 0.7109 1.623%
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%