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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
05-12 1.1795 1.1795 -0.62% -6.67% -8.10%
05-12 1.1531 1.1531 -0.62% -6.78% -8.26%
05-12 1.6920 1.6920 -0.53% -5.16% -3.81%
05-12 1.6380 1.6380 -0.49% -5.32% -4.04%
05-12 1.0643 1.1475 -0.11% -0.49% 0.88%
05-12 1.0382 1.1157 -0.13% -0.61% 0.69%
05-12 1.4556 1.4556 0.71% 11.38% 15.49%
05-12 1.4272 1.4272 0.71% 11.24% 15.27%
05-12 1.8750 2.4760 -0.27% 2.52% 13.71%
05-12 1.8400 1.8400 -0.22% 2.45% 13.58%
05-12 3.2090 4.4720 -0.43% -3.46% -0.53%
05-12 3.1070 3.1070 -0.42% -3.54% -0.70%
05-12 0.9872 0.9872 -0.08% -2.01% -1.41%
05-12 0.9736 0.9736 -0.07% -2.58% -2.02%
05-12 1.1044 1.1321 -0.06% -0.74% 1.47%
05-12 1.0743 1.1001 -0.07% -0.86% 1.29%
05-12 1.1895 1.2125 0.00% -0.13% 6.68%
05-12 1.1670 1.1890 0.00% -0.23% 6.52%
05-12 1.4595 1.7610 0.00% 4.18% 16.07%
05-12 1.4195 1.7110 0.00% 4.05% 15.86%
05-12 1.2801 1.3007 -0.31% -3.41% 11.74%
05-12 1.2508 1.2690 -0.31% -3.52% 11.54%
05-12 0.6960 0.6960 -0.59% 1.59% 8.72%
05-12 0.6830 0.6830 -0.57% 1.52% 8.57%
05-12 1.0361 1.0361 0.40% 26.22% 32.22%
05-12 1.0144 1.0144 0.40% 26.08% 32.03%
05-12 1.0604 1.0604 -0.15% 2.42% 13.40%
05-12 1.0487 1.0487 -0.15% 2.38% 13.32%
05-12 1.3114 1.5286 -0.12% -4.49% 8.88%
05-12 1.2786 1.4793 -0.12% -4.61% 8.69%
05-12 1.7302 1.8011 -0.69% 10.70% 20.45%
05-12 1.7138 1.7819 -0.70% 10.65% 20.36%
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
05-12 1.1525 1.1868 0.03% 0.66% 1.02%
05-12 1.1349 1.1687 0.03% 0.60% 0.94%
05-12 1.1798 1.1987 0.03% 0.66% 1.03%
05-12 1.9085 1.9085 -0.98% -0.72% 7.71%
05-12 1.0727 1.1774 0.05% 0.97% 1.83%
05-12 1.0487 1.1905 0.04% 0.99% 1.85%
05-12 1.0774 1.1589 0.06% 0.80% 1.49%
05-12 1.0254 1.2427 0.04% 0.83% 1.33%
05-08 1.0458 1.0857 -0.03% 0.87% 1.32%
05-08 1.0393 1.0790 -0.04% 0.79% 1.21%
05-12 1.0647 1.3262 0.00% 0.16% 0.51%
05-12 1.0618 1.0725 0.00% 0.16% 0.49%
05-12 1.0136 1.2929 0.02% 0.72% 0.98%
05-12 1.0493 1.0493 0.02% 0.73% 1.00%
05-08 1.0199 1.1656 0.00% 0.17% 0.39%
05-08 1.0190 1.1558 0.00% 0.38% 0.59%
05-12 1.0747 1.3482 0.02% 0.83% 1.23%
05-12 1.0731 1.1986 0.02% 0.78% 1.16%
05-12 1.0044 1.1046 0.00% 0.31% 0.44%
05-12 1.0180 1.0180 0.00% 0.31% 0.43%
05-12 1.0612 1.3184 0.03% 0.68% 1.05%
05-12 1.0506 1.0756 0.02% 0.62% 0.97%
05-12 1.0608 1.0858 0.03% 0.68% 1.05%
05-08 1.0248 1.1741 0.05% 0.61% 0.85%
05-12 1.1170 1.1170 -0.01% 0.72% 3.68%
05-12 1.0973 1.0973 -0.01% 0.62% 3.53%
05-12 1.1120 1.5759 0.04% 1.01% 1.70%
05-12 1.1038 1.5353 0.04% 0.96% 1.62%
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
05-12 1.3855 1.3855 -0.24% -5.53% 1.65%
05-12 1.3543 1.3543 -0.24% -5.61% 1.51%
05-12 1.5453 1.5453 -0.08% 5.24% 17.57%
05-12 1.5291 1.5291 -0.09% 5.13% 17.40%
05-12 2.2846 2.2846 0.11% 7.30% 21.44%
05-12 2.2316 2.2316 0.11% 7.20% 21.29%
05-12 2.4985 2.6535 -0.09% 7.13% 14.52%
05-12 2.4486 2.4486 -0.09% 7.00% 14.32%
05-12 1.1422 1.1422 -0.25% 14.22% 14.22%
05-12 1.1418 1.1418 -0.26% 14.18% 14.18%
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基金名称 净值日期 万份收益 七日年化收益率
05-12 0.2288 0.842%
05-12 0.2945 1.084%
05-12 0.2840 1.035%
05-12 0.3497 1.277%