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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
02-06 1.2642 1.2642 -0.68% -6.50% -1.50%
02-06 1.2375 1.2375 -0.68% -6.62% -1.54%
02-06 1.7790 1.7790 -0.11% -5.17% 1.14%
02-06 1.7250 1.7250 -0.17% -5.38% 1.05%
02-06 1.0673 1.1505 -0.07% 0.75% 1.17%
02-06 1.0426 1.1201 -0.08% 0.62% 1.12%
02-06 1.2759 1.2759 -0.50% 1.11% 1.23%
02-06 1.2527 1.2527 -0.49% 0.99% 1.18%
02-06 1.7600 2.3610 -0.17% 4.02% 6.73%
02-06 1.7280 1.7280 -0.17% 3.91% 6.67%
02-06 3.3030 4.5660 -0.42% 2.90% 2.39%
02-06 3.2020 3.2020 -0.44% 2.76% 2.33%
02-06 1.0043 1.0043 -0.14% -0.53% 0.30%
02-06 0.9964 0.9964 -0.14% -0.59% 0.27%
02-06 1.1017 1.1294 -0.13% 1.29% 1.22%
02-06 1.0731 1.0989 -0.12% 1.16% 1.18%
02-06 1.1655 1.1885 -0.33% 4.45% 4.53%
02-06 1.1447 1.1667 -0.34% 4.33% 4.48%
02-06 1.3463 1.6478 -0.16% 2.34% 7.07%
02-06 1.3111 1.6026 -0.17% 2.21% 7.01%
02-06 1.2910 1.3116 -0.91% 11.91% 12.69%
02-06 1.2630 1.2812 -0.91% 11.77% 12.63%
02-06 0.6646 0.6646 -0.26% -0.36% 3.81%
02-06 0.6527 0.6527 -0.26% -0.47% 3.75%
02-06 0.7873 0.7873 -0.77% -0.08% 0.47%
02-06 0.7716 0.7716 -0.78% -0.18% 0.43%
02-06 0.9965 0.9965 -0.21% 0.52% 6.57%
02-06 0.9859 0.9859 -0.22% 0.42% 6.54%
02-06 1.3235 1.5407 -1.43% 3.94% 9.89%
02-06 1.2921 1.4928 -1.43% 3.82% 9.84%
02-06 1.5214 1.5923 -0.59% 5.82% 5.91%
02-06 1.5078 1.5759 -0.58% 5.77% 5.89%
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
02-06 1.1783 1.1783 0.03% 0.48% 0.29%
02-06 1.1610 1.1610 0.02% 0.41% 0.27%
02-06 1.1901 1.1901 0.03% 0.47% 0.29%
02-06 1.8729 1.8729 0.31% 3.64% 5.70%
02-06 1.0605 1.1652 0.04% 0.46% 0.67%
02-06 1.0365 1.1783 0.03% 0.45% 0.66%
02-06 1.0674 1.1489 0.09% 0.25% 0.55%
02-06 1.0381 1.2329 0.05% 0.57% 0.37%
02-06 1.0678 1.0766 0.07% 0.53% 0.45%
02-06 1.0619 1.0707 0.07% 0.45% 0.42%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
02-06 1.0622 1.3237 0.07% 0.36% 0.27%
02-06 1.0594 1.0701 0.07% 0.31% 0.27%
02-06 1.0058 1.2851 0.02% 0.39% 0.20%
02-06 1.0411 1.0411 0.02% 0.39% 0.21%
02-06 1.0250 1.1639 0.02% 0.30% 0.22%
02-06 1.0211 1.1519 0.02% 0.27% 0.21%
02-06 1.0650 1.3385 0.06% 0.47% 0.32%
02-06 1.0640 1.1895 0.06% 0.42% 0.30%
02-06 1.0011 1.1013 0.00% 0.11% 0.11%
02-06 1.0535 1.3107 0.03% 0.44% 0.31%
02-06 1.0147 1.0147 0.00% 0.11% 0.11%
02-06 1.0435 1.0685 0.02% 0.38% 0.29%
02-06 1.0531 1.0781 0.03% 0.44% 0.31%
02-06 1.0186 1.1679 0.04% 0.87% 0.24%
02-06 1.0972 1.0972 -0.05% 1.15% 1.84%
02-06 1.0790 1.0790 -0.04% 1.06% 1.80%
02-06 1.1314 1.5622 0.07% 0.67% 0.47%
02-06 1.1238 1.5224 0.07% 0.62% 0.46%
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
02-06 1.4387 1.4387 -0.19% 1.56% 5.55%
02-06 1.4077 1.4077 -0.19% 1.48% 5.52%
02-06 1.4104 1.4104 -0.18% 6.91% 7.30%
02-06 1.3971 1.3971 -0.17% 6.80% 7.26%
02-06 2.0554 2.0554 0.19% 8.75% 9.26%
02-06 2.0096 2.0096 0.19% 8.65% 9.22%
02-06 2.2742 2.4292 -0.17% 3.77% 4.24%
02-06 2.2316 2.2316 -0.17% 3.64% 4.19%
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基金名称 净值日期 万份收益 七日年化收益率
02-06 0.2516 0.920%
02-06 0.3170 1.161%
02-06 0.3322 1.164%
02-06 0.3879 1.415%