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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
11-11 1.3649 1.3649 -0.49% 1.26% 2.86%
11-11 1.3377 1.3377 -0.49% 1.13% 2.40%
11-11 1.8720 1.8720 -0.64% -3.36% 16.71%
11-11 1.8190 1.8190 -0.60% -3.55% 15.86%
11-11 1.0721 1.1453 -0.07% 1.32% 3.65%
11-11 1.0487 1.1162 -0.07% 1.19% 3.20%
11-11 1.2272 1.2272 -1.18% 11.86% 39.53%
11-11 1.2063 1.2063 -1.18% 11.72% 38.94%
11-11 1.6970 2.2980 0.41% 6.20% 15.60%
11-11 1.6680 1.6680 0.42% 6.11% 15.19%
11-11 3.2110 4.4740 -0.46% 6.36% 19.81%
11-11 3.1160 3.1160 -0.48% 6.20% 19.25%
11-11 1.0137 1.0137 0.04% 0.76% 2.06%
11-11 1.0063 1.0063 0.04% 0.69% 1.90%
11-11 1.1001 1.1178 0.04% 2.56% 4.68%
11-11 1.0730 1.0888 0.03% 2.43% 4.23%
11-11 1.1318 1.1428 0.06% 4.18% 8.68%
11-11 1.1130 1.1230 0.06% 4.06% 8.29%
11-11 1.3212 1.6127 0.08% 4.56% 14.40%
11-11 1.2884 1.5699 0.08% 4.43% 13.90%
11-11 1.1619 1.1825 0.38% 13.05% 25.29%
11-11 1.1381 1.1563 0.38% 12.91% 24.75%
11-11 0.6582 0.6582 -0.66% 10.14% 17.94%
11-11 0.6471 0.6471 -0.66% 10.05% 17.55%
11-11 0.7626 0.7626 -1.83% 16.30% 23.84%
11-11 0.7481 0.7481 -1.84% 16.16% 23.41%
11-11 0.9902 0.9902 0.16% 3.04% 14.50%
11-11 0.9801 0.9801 0.15% 2.93% 14.23%
11-11 1.3237 1.4837 -0.09% 13.60% 36.86%
11-11 1.2881 1.4386 -0.09% 13.45% 36.25%
11-11 1.4111 1.4805 -0.84% 8.90% 37.37%
11-11 1.3976 1.4657 -0.84% 8.85% 37.14%
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
11-11 1.1729 1.1729 0.01% 0.45% 1.92%
11-11 1.1565 1.1565 0.02% 0.39% 1.71%
11-11 1.1847 1.1847 0.01% 0.45% 1.92%
11-11 1.8069 1.8069 -0.06% 3.96% 9.92%
11-11 1.0556 1.1603 0.02% 0.21% 1.11%
11-11 1.0319 1.1737 0.02% 0.20% 1.00%
11-11 1.0649 1.1464 0.03% -0.09% 0.88%
11-07 1.0319 1.2267 -0.03% 0.06% 1.03%
11-07 1.0622 1.0710 0.00% 0.04% 1.78%
11-07 1.0570 1.0658 -0.01% -0.04% 1.57%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
11-11 1.0585 1.3200 0.01% 0.06% 0.36%
11-11 1.0562 1.0669 0.01% 0.02% 0.20%
11-11 1.0025 1.2818 0.03% 0.17% 0.66%
11-11 1.0377 1.0377 0.03% 0.08% 0.08%
11-07 1.0216 1.1605 -0.03% 0.04% 1.00%
11-07 1.0181 1.1489 -0.03% 0.00% 0.88%
11-11 1.0800 1.3335 0.02% 0.17% 1.84%
11-11 1.0796 1.1851 0.02% 0.12% 1.96%
11-11 1.0002 1.1004 0.01% 0.22% 0.65%
11-11 1.0490 1.3062 0.02% 0.31% 0.88%
11-11 1.0138 1.0138 0.01% 0.23% 0.23%
11-11 1.0396 1.0646 0.01% 0.24% 0.72%
11-11 1.0486 1.0736 0.01% 0.30% 0.88%
11-07 1.0102 1.1595 0.04% 0.66% 1.99%
11-11 1.0840 1.0840 0.03% 0.75% 2.72%
11-11 1.0669 1.0669 0.02% 0.65% 2.36%
11-11 1.1242 1.5550 0.04% 0.17% 1.53%
11-11 1.1171 1.5157 0.04% 0.12% 1.34%
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
11-11 1.4410 1.4410 0.61% 10.65% 36.87%
11-11 1.4111 1.4111 0.61% 10.55% 36.44%
11-11 1.3204 1.3204 0.11% 8.38% 30.58%
11-11 1.3092 1.3092 0.11% 8.28% 30.13%
11-11 1.8849 1.8849 -0.32% 12.00% 26.04%
11-11 1.8444 1.8444 -0.32% 11.90% 25.66%
11-11 2.1885 2.3435 -0.66% 13.69% 21.44%
11-11 2.1501 2.1501 -0.66% 13.54% 20.91%
基金名称 净值日期 万份收益 七日年化收益率
11-11 0.2392 0.825%
11-11 0.3052 1.067%
11-11 0.3629 1.070%
11-11 0.4290 1.444%
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%