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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
04-30 1.1844 1.1844 -0.17% -7.25% -7.71%
04-30 1.1581 1.1581 -0.17% -7.36% -7.86%
04-30 1.6890 1.6890 0.24% -5.70% -3.98%
04-30 1.6350 1.6350 0.25% -5.93% -4.22%
04-30 1.0633 1.1465 -0.28% -0.14% 0.79%
04-30 1.0375 1.1150 -0.28% -0.27% 0.62%
04-30 1.3760 1.3760 0.03% 3.58% 9.17%
04-30 1.3493 1.3493 0.02% 3.44% 8.98%
04-30 1.7890 2.3900 0.68% -0.45% 8.49%
04-30 1.7550 1.7550 0.69% -0.57% 8.33%
04-30 3.1680 4.4310 -0.35% -5.09% -1.80%
04-30 3.0670 3.0670 -0.36% -5.22% -1.98%
04-30 0.9894 0.9894 -0.09% -1.50% -1.19%
04-30 0.9758 0.9758 -0.09% -2.09% -1.80%
04-30 1.1025 1.1302 -0.24% -0.36% 1.30%
04-30 1.0726 1.0984 -0.25% -0.49% 1.13%
04-30 1.1816 1.2046 -0.51% 1.21% 5.97%
04-30 1.1594 1.1814 -0.52% 1.10% 5.82%
04-30 1.3732 1.6747 0.82% -0.28% 9.21%
04-30 1.3358 1.6273 0.82% -0.40% 9.03%
04-30 1.2792 1.2998 -1.29% -0.47% 11.66%
04-30 1.2500 1.2682 -1.30% -0.60% 11.47%
04-30 0.6725 0.6725 0.04% -0.44% 5.05%
04-30 0.6600 0.6600 0.06% -0.53% 4.91%
04-30 0.9431 0.9431 0.57% 12.49% 20.35%
04-30 0.9235 0.9235 0.57% 12.38% 20.20%
04-30 1.0039 1.0039 0.59% -0.91% 7.36%
04-30 0.9928 0.9928 0.58% -0.96% 7.28%
04-30 1.2978 1.5150 -1.16% -3.16% 7.75%
04-30 1.2656 1.4663 -1.16% -3.28% 7.58%
04-30 1.6441 1.7150 2.12% 4.55% 14.45%
04-30 1.6286 1.6967 2.12% 4.50% 14.38%
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
04-30 1.1518 1.1861 0.01% 0.73% 0.96%
04-30 1.1343 1.1681 0.01% 0.67% 0.89%
04-30 1.1791 1.1980 0.01% 0.73% 0.97%
04-30 1.8480 1.8480 0.36% -2.37% 4.29%
04-30 1.0728 1.1775 -0.01% 1.26% 1.84%
04-30 1.0489 1.1907 -0.01% 1.29% 1.86%
04-30 1.0770 1.1585 -0.04% 1.07% 1.45%
04-30 1.0245 1.2418 -0.01% 0.94% 1.24%
04-30 1.0461 1.0860 0.01% 0.97% 1.35%
04-30 1.0397 1.0794 0.01% 0.90% 1.25%
04-30 1.0644 1.3259 0.00% 0.36% 0.48%
04-30 1.0616 1.0723 0.00% 0.36% 0.47%
04-30 1.0129 1.2922 0.02% 0.72% 0.91%
04-30 1.0485 1.0485 0.02% 0.73% 0.92%
04-30 1.0197 1.1654 0.00% 0.19% 0.37%
04-30 1.0189 1.1557 0.00% 0.42% 0.58%
04-30 1.0741 1.3476 -0.04% 0.97% 1.18%
04-30 1.0726 1.1981 -0.03% 0.92% 1.11%
04-30 1.0040 1.1042 0.00% 0.32% 0.40%
04-30 1.0176 1.0176 0.00% 0.32% 0.39%
04-30 1.0603 1.3175 -0.02% 0.73% 0.96%
04-30 1.0498 1.0748 -0.02% 0.68% 0.89%
04-30 1.0599 1.0849 -0.02% 0.73% 0.96%
04-30 1.0243 1.1736 0.04% 0.60% 0.80%
04-30 1.1016 1.1016 0.19% 0.02% 2.25%
04-30 1.0823 1.0823 0.19% -0.08% 2.11%
04-30 1.1108 1.5747 0.00% 1.21% 1.59%
04-30 1.1027 1.5342 -0.01% 1.15% 1.52%
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
04-30 1.3612 1.3612 -1.18% -4.38% -0.13%
04-30 1.3307 1.3307 -1.19% -4.47% -0.25%
04-30 1.4537 1.4537 0.79% 0.71% 10.60%
04-30 1.4387 1.4387 0.79% 0.62% 10.46%
04-30 2.1406 2.1406 0.15% 0.91% 13.79%
04-30 2.0912 2.0912 0.15% 0.82% 13.66%
04-30 2.4054 2.5604 0.53% 4.36% 10.25%
04-30 2.3577 2.3577 0.53% 4.24% 10.08%
04-30 1.0794 1.0794 0.83% 7.94% 7.94%
04-30 1.0792 1.0792 0.83% 7.92% 7.92%
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基金名称 净值日期 万份收益 七日年化收益率
04-30 0.2305 0.839%
04-30 0.2963 1.081%
04-30 0.2872 1.046%
04-30 0.3527 1.290%