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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
04-15 1.2225 1.2225 1.16% -8.31% -4.75%
04-15 1.1956 1.1956 1.16% -8.42% -4.88%
04-15 1.7480 1.7480 0.98% -7.95% -0.63%
04-15 1.6920 1.6920 0.95% -8.19% -0.88%
04-15 1.0637 1.1469 0.08% 0.37% 0.82%
04-15 1.0381 1.1156 0.07% 0.25% 0.68%
04-15 1.3118 1.3118 -0.43% -0.96% 4.08%
04-15 1.2867 1.2867 -0.43% -1.08% 3.93%
04-15 1.7580 2.3590 0.11% -0.34% 6.61%
04-15 1.7250 1.7250 0.12% -0.46% 6.48%
04-15 3.1360 4.3990 -0.16% -5.71% -2.79%
04-15 3.0370 3.0370 -0.16% -5.83% -2.94%
04-15 0.9932 0.9932 0.04% -0.47% -0.81%
04-15 0.9796 0.9796 0.03% -1.06% -1.42%
04-15 1.0993 1.1270 -0.11% 0.42% 1.00%
04-15 1.0698 1.0956 -0.11% 0.30% 0.87%
04-15 1.1775 1.2005 -0.27% 4.16% 5.61%
04-15 1.1556 1.1776 -0.28% 4.04% 5.48%
04-15 1.3456 1.6471 0.08% -0.17% 7.01%
04-15 1.3093 1.6008 0.08% -0.28% 6.86%
04-15 1.2785 1.2991 -0.58% 7.75% 11.60%
04-15 1.2496 1.2678 -0.59% 7.62% 11.43%
04-15 0.6593 0.6593 -0.21% -5.92% 2.98%
04-15 0.6471 0.6471 -0.20% -6.01% 2.86%
04-15 0.8475 0.8475 -0.70% 2.69% 8.15%
04-15 0.8300 0.8300 -0.71% 2.58% 8.03%
04-15 0.9853 0.9853 0.00% -0.59% 5.37%
04-15 0.9745 0.9745 0.00% -0.64% 5.31%
04-15 1.2965 1.5137 -0.51% 2.16% 7.65%
04-15 1.2645 1.4652 -0.52% 2.03% 7.49%
04-15 1.5572 1.6281 -0.29% -0.08% 8.40%
04-15 1.5427 1.6108 -0.28% -0.12% 8.34%
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
04-15 1.1505 1.1848 0.00% 0.74% 0.85%
04-15 1.1331 1.1669 0.00% 0.68% 0.78%
04-15 1.1778 1.1967 0.01% 0.75% 0.86%
04-15 1.8093 1.8093 0.41% -3.57% 2.11%
04-15 1.0713 1.1760 0.02% 1.55% 1.70%
04-15 1.0470 1.1888 0.02% 1.53% 1.68%
04-15 1.0761 1.1576 0.01% 1.32% 1.37%
04-10 1.0226 1.2399 0.01% 0.97% 1.05%
04-10 1.0443 1.0842 0.15% 1.15% 1.18%
04-10 1.0380 1.0777 0.14% 1.07% 1.09%
04-15 1.0640 1.3255 0.00% 0.47% 0.44%
04-15 1.0612 1.0719 0.01% 0.46% 0.44%
04-15 1.0117 1.2910 0.01% 0.73% 0.79%
04-15 1.0474 1.0474 0.02% 0.75% 0.82%
04-10 1.0192 1.1649 -0.01% 0.31% 0.32%
04-10 1.0184 1.1552 -0.01% 0.53% 0.53%
04-15 1.0720 1.3455 0.02% 0.93% 0.98%
04-15 1.0706 1.1961 0.02% 0.89% 0.92%
04-15 1.0034 1.1036 0.00% 0.30% 0.34%
04-15 1.0170 1.0170 0.00% 0.30% 0.34%
04-15 1.0590 1.3162 0.03% 0.78% 0.84%
04-15 1.0486 1.0736 0.03% 0.73% 0.78%
04-15 1.0586 1.0836 0.03% 0.78% 0.84%
04-10 1.0230 1.1723 0.05% 0.61% 0.67%
04-15 1.0971 1.0971 0.02% 0.12% 1.83%
04-15 1.0780 1.0780 0.01% 0.02% 1.71%
04-15 1.1418 1.5726 0.01% 1.19% 1.39%
04-15 1.1337 1.5323 0.01% 1.14% 1.34%
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
04-15 1.3572 1.3572 -0.55% -1.32% -0.43%
04-15 1.3271 1.3271 -0.54% -1.40% -0.52%
04-15 1.4221 1.4221 0.04% 0.79% 8.19%
04-15 1.4076 1.4076 0.04% 0.69% 8.07%
04-15 2.0717 2.0717 -0.13% 2.21% 10.13%
04-15 2.0242 2.0242 -0.13% 2.12% 10.02%
04-15 2.3268 2.4818 -0.09% 3.00% 6.65%
04-15 2.2811 2.2811 -0.09% 2.87% 6.50%
04-10 1.0135 1.0135 2.67% 1.35% 1.35%
04-10 1.0133 1.0133 2.66% 1.33% 1.33%
基金名称 净值日期 万份收益 七日年化收益率
04-15 0.2353 0.874%
04-15 0.3014 1.116%
04-15 0.2910 1.094%
04-15 0.3586 1.342%