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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
04-10 1.2081 1.2081 0.78% -9.67% -5.87%
04-10 1.1816 1.1816 0.78% -9.77% -5.99%
04-10 1.7230 1.7230 0.82% -9.46% -2.05%
04-10 1.6690 1.6690 0.85% -9.64% -2.23%
04-10 1.0634 1.1466 0.09% 0.33% 0.80%
04-10 1.0379 1.1154 0.10% 0.21% 0.66%
04-10 1.2909 1.2909 1.52% -1.31% 2.42%
04-10 1.2663 1.2663 1.52% -1.44% 2.28%
04-10 1.7430 2.3440 0.46% -0.80% 5.70%
04-10 1.7110 1.7110 0.53% -0.81% 5.62%
04-10 3.1260 4.3890 0.81% -5.50% -3.10%
04-10 3.0270 3.0270 0.80% -5.61% -3.26%
04-10 0.9935 0.9935 0.02% -0.61% -0.78%
04-10 0.9800 0.9800 0.02% -1.20% -1.38%
04-10 1.1001 1.1278 0.35% 0.59% 1.07%
04-10 1.0706 1.0964 0.34% 0.46% 0.94%
04-10 1.1813 1.2043 0.32% 5.00% 5.95%
04-10 1.1594 1.1814 0.31% 4.89% 5.82%
04-10 1.3342 1.6357 0.54% -0.57% 6.11%
04-10 1.2982 1.5897 0.53% -0.70% 5.96%
04-10 1.2780 1.2986 0.96% 8.00% 11.56%
04-10 1.2492 1.2674 0.95% 7.87% 11.40%
04-10 0.6523 0.6523 1.02% -5.53% 1.89%
04-10 0.6403 0.6403 1.03% -5.62% 1.78%
04-10 0.8193 0.8193 2.20% 0.02% 4.56%
04-10 0.8025 0.8025 2.20% -0.06% 4.45%
04-10 0.9787 0.9787 0.57% -0.72% 4.66%
04-10 0.9680 0.9680 0.56% -0.78% 4.60%
04-10 1.3008 1.5180 1.18% 4.21% 8.00%
04-10 1.2689 1.4696 1.19% 4.08% 7.86%
04-10 1.5456 1.6165 1.47% 0.27% 7.59%
04-10 1.5312 1.5993 1.47% 0.22% 7.54%
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
04-10 1.1501 1.1844 0.01% 0.75% 0.81%
04-10 1.1328 1.1666 0.01% 0.69% 0.75%
04-10 1.1774 1.1963 0.01% 0.75% 0.82%
04-10 1.7895 1.7895 0.32% -4.26% 0.99%
04-10 1.0707 1.1754 0.03% 1.58% 1.64%
04-10 1.0465 1.1883 0.04% 1.57% 1.63%
04-10 1.0748 1.1563 0.06% 1.31% 1.24%
04-10 1.0226 1.2399 0.01% 0.97% 1.05%
04-10 1.0443 1.0842 0.15% 1.15% 1.18%
04-10 1.0380 1.0777 0.14% 1.07% 1.09%
04-10 1.0639 1.3254 0.00% 0.53% 0.43%
04-10 1.0611 1.0718 0.00% 0.52% 0.43%
04-10 1.0117 1.2910 0.02% 0.79% 0.79%
04-10 1.0473 1.0473 0.02% 0.81% 0.81%
04-10 1.0192 1.1649 -0.01% 0.31% 0.32%
04-10 1.0184 1.1552 -0.01% 0.53% 0.53%
04-10 1.0707 1.3442 0.06% 0.89% 0.86%
04-10 1.0693 1.1948 0.06% 0.83% 0.80%
04-10 1.0032 1.1034 -0.01% 0.30% 0.32%
04-10 1.0168 1.0168 -0.01% 0.30% 0.32%
04-10 1.0586 1.3158 0.01% 0.82% 0.80%
04-10 1.0482 1.0732 0.01% 0.76% 0.74%
04-10 1.0582 1.0832 0.01% 0.82% 0.80%
04-10 1.0230 1.1723 0.05% 0.61% 0.67%
04-10 1.0950 1.0950 0.12% 0.06% 1.63%
04-10 1.0760 1.0760 0.11% -0.04% 1.52%
04-10 1.1409 1.5717 0.01% 1.24% 1.31%
04-10 1.1328 1.5314 0.01% 1.19% 1.26%
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
04-10 1.3645 1.3645 0.33% -0.31% 0.11%
04-10 1.3342 1.3342 0.33% -0.40% 0.01%
04-10 1.4101 1.4101 0.58% 0.57% 7.28%
04-10 1.3958 1.3958 0.58% 0.48% 7.16%
04-10 2.0662 2.0662 0.66% 3.26% 9.83%
04-10 2.0190 2.0190 0.66% 3.17% 9.73%
04-10 2.3099 2.4649 1.06% 2.86% 5.88%
04-10 2.2646 2.2646 1.06% 2.73% 5.73%
04-10 1.0135 1.0135 2.67% 1.35% 1.35%
04-10 1.0133 1.0133 2.66% 1.33% 1.33%
基金名称 净值日期 万份收益 七日年化收益率
04-10 0.2396 0.844%
04-10 0.3051 1.085%
04-10 0.3155 1.098%
04-10 0.3632 1.346%