400-067-9908
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
02-24 1.2365 1.2365 -1.05% -7.23% -3.65%
02-24 1.2101 1.2101 -1.06% -7.35% -3.72%
02-24 1.7460 1.7460 -0.96% -3.22% -0.74%
02-24 1.6930 1.6930 -0.99% -3.37% -0.82%
02-24 1.0674 1.1506 0.26% 1.64% 1.18%
02-24 1.0424 1.1199 0.25% 1.51% 1.10%
02-24 1.3122 1.3122 0.99% 13.33% 4.11%
02-24 1.2880 1.2880 0.98% 13.19% 4.03%
02-24 1.8180 2.4190 1.17% 13.70% 10.25%
02-24 1.7840 1.7840 1.13% 13.49% 10.12%
02-24 3.3100 4.5730 0.49% 6.12% 2.60%
02-24 3.2080 3.2080 0.47% 6.01% 2.52%
02-24 1.0065 1.0065 0.15% 0.42% 0.52%
02-24 0.9985 0.9985 0.15% 0.36% 0.48%
02-24 1.1146 1.1423 0.54% 3.14% 2.41%
02-24 1.0853 1.1111 0.52% 3.00% 2.33%
02-24 1.1954 1.2184 1.23% 8.15% 7.21%
02-24 1.1738 1.1958 1.21% 8.03% 7.14%
02-24 1.3918 1.6933 1.19% 14.12% 10.69%
02-24 1.3551 1.6466 1.17% 13.98% 10.60%
02-24 1.3182 1.3388 0.95% 17.91% 15.07%
02-24 1.2893 1.3075 0.93% 17.76% 14.97%
02-24 0.6821 0.6821 0.44% 8.39% 6.54%
02-24 0.6698 0.6698 0.42% 8.28% 6.47%
02-24 0.8216 0.8216 0.91% 18.11% 4.85%
02-24 0.8051 0.8051 0.89% 17.98% 4.79%
02-24 1.0304 1.0304 1.27% 11.36% 10.19%
02-24 1.0194 1.0194 1.26% 11.30% 10.16%
02-24 1.3750 1.5922 1.57% 11.96% 14.16%
02-24 1.3420 1.5427 1.55% 11.83% 14.08%
02-24 1.5672 1.6381 0.31% 16.43% 9.10%
02-24 1.5530 1.6211 0.30% 16.36% 9.07%
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
02-24 1.1799 1.1799 0.06% 0.54% 0.43%
02-24 1.1625 1.1625 0.05% 0.48% 0.40%
02-24 1.1917 1.1917 0.06% 0.53% 0.43%
02-24 1.9213 1.9213 1.06% 10.64% 8.43%
02-24 1.0639 1.1686 0.09% 0.73% 1.00%
02-24 1.0399 1.1817 0.10% 0.72% 0.99%
02-24 1.0698 1.1513 0.07% 0.46% 0.77%
02-13 1.0394 1.2342 0.00% 0.68% 0.49%
02-13 1.0695 1.0783 0.16% 0.61% 0.61%
02-13 1.0636 1.0724 0.16% 0.55% 0.58%
02-24 1.0633 1.3248 0.03% 0.41% 0.38%
02-24 1.0604 1.0711 0.03% 0.36% 0.36%
02-24 1.0071 1.2864 0.06% 0.39% 0.33%
02-24 1.0424 1.0424 0.06% 0.39% 0.34%
02-13 1.0260 1.1649 0.01% 0.38% 0.32%
02-13 1.0221 1.1529 0.02% 0.34% 0.30%
02-24 1.0663 1.3398 0.04% 0.50% 0.44%
02-24 1.0652 1.1907 0.03% 0.45% 0.41%
02-24 1.0017 1.1019 0.04% 0.10% 0.17%
02-24 1.0545 1.3117 0.04% 0.45% 0.41%
02-24 1.0153 1.0153 0.04% 0.10% 0.17%
02-24 1.0444 1.0694 0.03% 0.39% 0.37%
02-24 1.0541 1.0791 0.04% 0.45% 0.41%
02-13 1.0192 1.1685 0.06% 0.89% 0.30%
02-24 1.1075 1.1075 0.27% 3.58% 2.79%
02-24 1.0889 1.0889 0.26% 3.49% 2.74%
02-24 1.1345 1.5653 0.07% 0.84% 0.75%
02-24 1.1267 1.5253 0.06% 0.80% 0.72%
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
02-24 1.4766 1.4766 1.56% 4.55% 8.33%
02-24 1.4445 1.4445 1.55% 4.45% 8.28%
02-24 1.4598 1.4598 1.28% 16.17% 11.06%
02-24 1.4458 1.4458 1.27% 16.06% 11.00%
02-24 2.1202 2.1202 1.52% 17.62% 12.70%
02-24 2.0725 2.0725 1.51% 17.51% 12.64%
02-24 2.3260 2.4810 1.45% 10.90% 6.61%
02-24 2.2819 2.2819 1.44% 10.76% 6.54%
-- -- -- -- -- --
-- -- -- -- -- --
基金名称 净值日期 万份收益 七日年化收益率
02-24 0.2357 0.903%
02-24 0.3010 1.145%
02-24 0.3156 1.170%
02-24 0.3813 1.414%