400-067-9908
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
12-10 1.3094 1.3094 0.31% -6.96% -1.33%
12-10 1.2827 1.2827 0.30% -7.08% -1.81%
12-10 1.7930 1.7930 0.17% -9.40% 11.78%
12-10 1.7410 1.7410 0.17% -9.61% 10.89%
12-10 1.0527 1.1359 0.06% 0.44% 2.74%
12-10 1.0291 1.1066 0.06% 0.31% 2.25%
12-10 1.2447 1.2447 -0.26% 4.10% 41.52%
12-10 1.2230 1.2230 -0.27% 3.97% 40.87%
12-10 1.6350 2.2360 0.25% -1.98% 11.38%
12-10 1.6060 1.6060 0.25% -2.13% 10.91%
12-10 3.1930 4.4560 0.03% 1.30% 19.14%
12-10 3.0970 3.0970 0.03% 1.14% 18.52%
12-10 0.9970 0.9970 -0.08% -0.28% 0.38%
12-10 0.9896 0.9896 -0.08% -0.33% 0.21%
12-10 1.0859 1.1136 0.20% 1.15% 4.28%
12-10 1.0585 1.0843 0.20% 1.02% 3.79%
12-10 1.1137 1.1367 0.33% 2.00% 8.10%
12-10 1.0947 1.1167 0.34% 1.89% 7.68%
12-10 1.2489 1.5504 0.38% -3.76% 9.01%
12-10 1.2173 1.5088 0.38% -3.88% 8.50%
12-10 1.1443 1.1649 1.00% 6.98% 23.39%
12-10 1.1204 1.1386 0.99% 6.85% 22.81%
12-10 0.6354 0.6354 -0.94% -2.11% 13.85%
12-10 0.6245 0.6245 -0.92% -2.21% 13.44%
12-10 0.7751 0.7751 0.47% 6.79% 25.87%
12-10 0.7601 0.7601 0.46% 6.68% 25.39%
12-10 0.9375 0.9375 0.10% -6.55% 8.41%
12-10 0.9279 0.9279 0.10% -6.64% 8.15%
12-10 1.2400 1.4572 1.26% 6.71% 34.03%
12-10 1.2115 1.4122 1.25% 6.57% 33.38%
12-10 1.4031 1.4740 -0.05% 3.98% 36.74%
12-10 1.3910 1.4591 -0.04% 3.93% 36.49%
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
12-10 1.1733 1.1733 0.01% 0.45% 1.96%
12-10 1.1566 1.1566 0.01% 0.40% 1.71%
12-10 1.1851 1.1851 0.01% 0.46% 1.95%
12-10 1.7465 1.7465 0.38% -0.86% 6.24%
12-10 1.0530 1.1577 0.00% 0.41% 0.86%
12-10 1.0293 1.1711 0.00% 0.39% 0.75%
12-10 1.0612 1.1427 0.05% 0.21% 0.53%
12-05 1.0315 1.2263 0.02% 0.17% 0.99%
12-05 1.0607 1.0695 -0.12% 0.17% 1.64%
12-05 1.0553 1.0641 -0.13% 0.10% 1.40%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
12-10 1.0586 1.3201 0.02% 0.40% 0.37%
12-10 1.0561 1.0668 0.03% 0.35% 0.19%
12-10 1.0019 1.2812 0.01% -0.02% 0.60%
12-10 1.0370 1.0370 0.01% -0.06% 0.01%
12-05 1.0212 1.1601 0.01% 0.13% 0.96%
12-05 1.0176 1.1484 0.01% 0.09% 0.83%
12-10 1.0604 1.3339 0.02% 0.49% 1.88%
12-10 1.0598 1.1853 0.02% 0.45% 1.98%
12-10 1.0006 1.1008 0.02% 0.39% 0.69%
12-10 1.0490 1.3062 0.02% 0.51% 0.88%
12-10 1.0142 1.0142 0.02% 0.27% 0.27%
12-10 1.0394 1.0644 0.02% 0.44% 0.70%
12-10 1.0486 1.0736 0.02% 0.50% 0.88%
12-05 1.0137 1.1630 0.05% 0.76% 2.34%
12-10 1.0736 1.0736 0.02% -0.25% 1.73%
12-10 1.0564 1.0564 0.02% -0.35% 1.35%
12-10 1.1235 1.5543 0.03% 0.47% 1.46%
12-10 1.1162 1.5148 0.03% 0.42% 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
12-10 1.4039 1.4039 0.54% 3.79% 33.35%
12-10 1.3744 1.3744 0.54% 3.70% 32.89%
12-10 1.2902 1.2902 0.80% 2.79% 27.59%
12-10 1.2788 1.2788 0.80% 2.69% 27.10%
12-10 1.8343 1.8343 0.74% 2.38% 22.65%
12-10 1.7944 1.7944 0.73% 2.29% 22.25%
12-10 2.1405 2.2955 0.07% 5.05% 18.78%
12-10 2.1021 2.1021 0.06% 4.91% 18.22%
基金名称 净值日期 万份收益 七日年化收益率
12-10 0.2447 0.954%
12-10 0.3098 1.195%
12-10 0.2939 1.204%
12-10 0.3596 1.446%
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%