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
04-03 1.1930 1.1930 -0.79% -7.04% -7.04%
04-03 1.1669 1.1669 -0.79% -7.16% -7.16%
04-07 1.7020 1.7020 0.18% -8.45% -3.24%
04-07 1.6480 1.6480 0.12% -8.65% -3.46%
04-03 1.0610 1.1442 -0.38% 0.57% 0.57%
04-03 1.0356 1.1131 -0.38% 0.44% 0.44%
04-03 1.2119 1.2119 -0.66% -3.85% -3.85%
04-03 1.1889 1.1889 -0.66% -3.97% -3.97%
04-07 1.6930 2.2940 0.95% -1.23% 2.67%
04-07 1.6610 1.6610 0.97% -1.31% 2.53%
04-07 3.0380 4.3010 0.00% -8.02% -5.83%
04-07 2.9420 2.9420 0.00% -8.15% -5.98%
04-03 0.9932 0.9932 -0.18% -0.81% -0.81%
04-03 0.9797 0.9797 -0.18% -1.41% -1.41%
04-03 1.0917 1.1194 -0.18% 0.30% 0.30%
04-03 1.0626 1.0884 -0.18% 0.19% 0.19%
04-03 1.1694 1.1924 -0.23% 4.88% 4.88%
04-03 1.1479 1.1699 -0.23% 4.77% 4.77%
04-07 1.2911 1.5926 0.96% -1.30% 2.68%
04-07 1.2563 1.5478 0.95% -1.42% 2.54%
04-03 1.2489 1.2695 -0.53% 9.02% 9.02%
04-03 1.2210 1.2392 -0.52% 8.88% 8.88%
04-03 0.6203 0.6203 -1.37% -3.11% -3.11%
04-03 0.6089 0.6089 -1.36% -3.21% -3.21%
04-03 0.7432 0.7432 0.43% -5.16% -5.16%
04-03 0.7280 0.7280 0.43% -5.25% -5.25%
04-07 0.9485 0.9485 0.84% -1.76% 1.43%
04-07 0.9381 0.9381 0.83% -1.81% 1.37%
04-03 1.2660 1.4832 -0.06% 5.11% 5.11%
04-03 1.2350 1.4357 -0.06% 4.98% 4.98%
04-07 1.4672 1.5381 0.91% -1.87% 2.14%
04-07 1.4536 1.5217 0.92% -1.91% 2.09%
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
04-07 1.1499 1.1842 0.03% 0.77% 0.79%
04-07 1.1326 1.1664 0.04% 0.70% 0.74%
04-07 1.1771 1.1960 0.03% 0.76% 0.80%
04-07 1.7167 1.7167 0.73% -6.25% -3.12%
04-07 1.0698 1.1745 0.05% 1.50% 1.56%
04-07 1.0455 1.1873 0.04% 1.49% 1.53%
04-07 1.0735 1.1550 0.09% 1.28% 1.12%
04-03 1.0217 1.2390 0.07% 0.96% 0.96%
04-03 1.0427 1.0826 -2.75% 1.02% 1.02%
04-03 1.0365 1.0762 -2.77% 0.94% 0.94%
04-07 1.0639 1.3254 0.00% 0.63% 0.43%
04-07 1.0612 1.0719 0.01% 0.64% 0.44%
04-07 1.0111 1.2904 0.06% 0.73% 0.73%
04-07 1.0467 1.0467 0.07% 0.74% 0.75%
04-07 1.0214 1.1671 0.01% 0.56% 0.54%
04-07 1.0179 1.1547 0.00% 0.50% 0.48%
04-07 1.0701 1.3436 0.05% 0.91% 0.80%
04-07 1.0688 1.1943 0.05% 0.86% 0.75%
04-07 1.0032 1.1034 0.01% 0.31% 0.32%
04-07 1.0586 1.3158 0.03% 0.87% 0.80%
04-07 1.0168 1.0168 0.01% 0.31% 0.32%
04-07 1.0483 1.0733 0.03% 0.82% 0.75%
04-07 1.0582 1.0832 0.03% 0.86% 0.80%
04-03 1.0225 1.1718 0.05% 0.62% 0.62%
04-07 1.0862 1.0862 0.24% -0.11% 0.82%
04-07 1.0675 1.0675 0.24% -0.21% 0.72%
04-07 1.1408 1.5716 0.09% 1.28% 1.31%
04-07 1.1327 1.5313 0.09% 1.23% 1.25%
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
04-03 1.3402 1.3402 0.07% -1.67% -1.67%
04-03 1.3106 1.3106 0.07% -1.76% -1.76%
04-07 1.3621 1.3621 0.89% -0.35% 3.63%
04-07 1.3484 1.3484 0.88% -0.44% 3.52%
04-07 1.9785 1.9785 0.37% 0.33% 5.17%
04-07 1.9333 1.9333 0.36% 0.24% 5.08%
04-07 2.2215 2.3765 -0.26% -0.72% 1.82%
04-07 2.1781 2.1781 -0.27% -0.84% 1.69%
04-03 0.9871 0.9871 -1.25% -1.29% -1.29%
04-03 0.9870 0.9870 -1.25% -1.30% -1.30%
基金名称 净值日期 万份收益 七日年化收益率
04-07 0.2259 0.823%
04-07 0.2914 1.064%
04-07 0.2989 1.125%
04-07 0.3646 1.371%