基金产品
| 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 |
|
|
12-01 |
1.3428 |
1.3428 |
-0.10% |
-4.34% |
1.19% |
|
|
12-01 |
1.3157 |
1.3157 |
-0.11% |
-4.45% |
0.71% |
|
|
12-01 |
1.8270 |
1.8270 |
-0.22% |
-10.35% |
13.90% |
|
|
12-01 |
1.7740 |
1.7740 |
-0.22% |
-10.54% |
12.99% |
|
|
12-01 |
1.0578 |
1.1410 |
0.43% |
0.84% |
3.24% |
|
|
12-01 |
1.0342 |
1.1117 |
0.42% |
0.71% |
2.76% |
|
|
12-01 |
1.2174 |
1.2174 |
0.82% |
-1.45% |
38.42% |
|
|
12-01 |
1.1963 |
1.1963 |
0.82% |
-1.57% |
37.79% |
|
|
12-01 |
1.6390 |
2.2400 |
0.12% |
-3.36% |
11.65% |
|
|
12-01 |
1.6110 |
1.6110 |
0.12% |
-3.48% |
11.26% |
|
|
12-01 |
3.1790 |
4.4420 |
0.73% |
1.15% |
18.62% |
|
|
12-01 |
3.0840 |
3.0840 |
0.72% |
1.02% |
18.03% |
|
|
12-01 |
1.0075 |
1.0075 |
0.42% |
0.56% |
1.44% |
|
|
12-01 |
1.0000 |
1.0000 |
0.41% |
0.49% |
1.27% |
|
|
12-01 |
1.0870 |
1.1147 |
0.32% |
1.83% |
4.39% |
|
|
12-01 |
1.0598 |
1.0856 |
0.33% |
1.71% |
3.92% |
|
|
12-01 |
1.1144 |
1.1374 |
0.41% |
2.71% |
8.16% |
|
|
12-01 |
1.0954 |
1.1174 |
0.40% |
2.59% |
7.75% |
|
|
12-01 |
1.2591 |
1.5506 |
0.10% |
-4.27% |
9.02% |
|
|
12-01 |
1.2276 |
1.5091 |
0.10% |
-4.39% |
8.52% |
|
|
12-01 |
1.1428 |
1.1634 |
1.33% |
8.68% |
23.23% |
|
|
12-01 |
1.1191 |
1.1373 |
1.32% |
8.55% |
22.67% |
|
|
12-01 |
0.6408 |
0.6408 |
0.14% |
0.06% |
14.82% |
|
|
12-01 |
0.6298 |
0.6298 |
0.13% |
-0.03% |
14.41% |
|
|
12-01 |
0.7410 |
0.7410 |
1.37% |
-6.70% |
20.33% |
|
|
12-01 |
0.7268 |
0.7268 |
1.37% |
-6.78% |
19.89% |
|
|
12-01 |
0.9444 |
0.9444 |
0.16% |
-3.88% |
9.20% |
|
|
12-01 |
0.9348 |
0.9348 |
0.16% |
-3.97% |
8.95% |
|
|
12-01 |
1.3007 |
1.4607 |
1.14% |
9.63% |
34.48% |
|
|
12-01 |
1.2653 |
1.4158 |
1.14% |
9.48% |
33.84% |
|
|
12-01 |
1.3917 |
1.4626 |
0.53% |
-0.99% |
35.63% |
|
|
12-01 |
1.3797 |
1.4478 |
0.52% |
-1.05% |
35.38% |
| 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 |
|
|
12-01 |
1.1735 |
1.1735 |
0.02% |
0.46% |
1.97% |
|
|
12-01 |
1.1568 |
1.1568 |
0.01% |
0.40% |
1.73% |
|
|
12-01 |
1.1852 |
1.1852 |
0.01% |
0.45% |
1.96% |
|
|
12-01 |
1.7459 |
1.7459 |
0.18% |
-0.12% |
6.20% |
|
|
12-01 |
1.0547 |
1.1594 |
0.00% |
0.51% |
1.02% |
|
|
12-01 |
1.0310 |
1.1728 |
0.01% |
0.51% |
0.91% |
|
|
12-01 |
1.0633 |
1.1448 |
0.00% |
0.08% |
0.73% |
|
|
11-28 |
1.0320 |
1.2268 |
0.02% |
0.28% |
1.04% |
|
|
11-28 |
1.0620 |
1.0708 |
-0.10% |
0.34% |
1.76% |
|
|
11-28 |
1.0567 |
1.0655 |
-0.10% |
0.28% |
1.54% |
|
|
01-03 |
1.0314 |
1.1252 |
0.00% |
1.46% |
0.00% |
|
|
12-01 |
1.0585 |
1.3200 |
0.02% |
0.19% |
0.36% |
|
|
12-01 |
1.0561 |
1.0668 |
0.02% |
0.15% |
0.19% |
|
|
12-01 |
1.0028 |
1.2821 |
0.00% |
0.16% |
0.69% |
|
|
12-01 |
1.0380 |
1.0380 |
0.00% |
0.08% |
0.11% |
|
|
11-28 |
1.0217 |
1.1606 |
0.02% |
0.23% |
1.01% |
|
|
11-28 |
1.0181 |
1.1489 |
0.02% |
0.18% |
0.88% |
|
|
12-01 |
1.0806 |
1.3341 |
0.03% |
0.36% |
1.90% |
|
|
12-01 |
1.0800 |
1.1855 |
0.02% |
0.31% |
2.00% |
|
|
12-01 |
1.0006 |
1.1008 |
0.01% |
0.32% |
0.69% |
|
|
12-01 |
1.0493 |
1.3065 |
0.01% |
0.47% |
0.91% |
|
|
12-01 |
1.0142 |
1.0142 |
0.01% |
0.27% |
0.27% |
|
|
12-01 |
1.0398 |
1.0648 |
0.01% |
0.42% |
0.74% |
|
|
12-01 |
1.0489 |
1.0739 |
0.01% |
0.47% |
0.90% |
|
|
11-28 |
1.0132 |
1.1625 |
0.11% |
0.82% |
2.29% |
|
|
12-01 |
1.0744 |
1.0744 |
0.01% |
-0.19% |
1.81% |
|
|
12-01 |
1.0573 |
1.0573 |
0.01% |
-0.28% |
1.44% |
|
|
12-01 |
1.1240 |
1.5548 |
0.01% |
0.38% |
1.51% |
|
|
12-01 |
1.1168 |
1.5154 |
0.01% |
0.32% |
1.32% |
| 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 |
|
|
12-01 |
1.4195 |
1.4195 |
0.71% |
7.73% |
34.83% |
|
|
12-01 |
1.3897 |
1.3897 |
0.70% |
7.62% |
34.37% |
|
|
12-01 |
1.2884 |
1.2884 |
0.31% |
-0.64% |
27.41% |
|
|
12-01 |
1.2772 |
1.2772 |
0.31% |
-0.73% |
26.95% |
|
|
12-01 |
1.8383 |
1.8383 |
0.50% |
0.40% |
22.92% |
|
|
12-01 |
1.7985 |
1.7985 |
0.50% |
0.31% |
22.53% |
|
|
12-01 |
2.1410 |
2.2960 |
0.56% |
3.42% |
18.81% |
|
|
12-01 |
2.1029 |
2.1029 |
0.55% |
3.29% |
18.26% |
| 基金名称 |
净值日期 |
万份收益 |
七日年化收益率 |
|
|
12-01 |
0.2633 |
0.962% |
|
|
12-01 |
0.3287 |
1.205% |
|
|
12-01 |
0.2982 |
1.186% |
|
|
12-01 |
0.3641 |
1.430% |
| 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% |