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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
02-12 1.2638 1.2638 -1.07% -7.67% -1.53%
02-12 1.2370 1.2370 -1.08% -7.79% -1.58%
02-12 1.7840 1.7840 -0.78% -5.11% 1.42%
02-12 1.7300 1.7300 -0.80% -5.31% 1.35%
02-12 1.0695 1.1527 -0.11% 0.71% 1.37%
02-12 1.0446 1.1221 -0.11% 0.58% 1.31%
02-12 1.3069 1.3069 0.35% 6.72% 3.69%
02-12 1.2830 1.2830 0.35% 6.59% 3.63%
02-12 1.8290 2.4300 0.94% 8.48% 10.92%
02-12 1.7960 1.7960 0.96% 8.39% 10.86%
02-12 3.3240 4.5870 -0.30% 3.26% 3.04%
02-12 3.2210 3.2210 -0.34% 3.10% 2.94%
02-12 1.0074 1.0074 -0.12% -0.84% 0.61%
02-12 0.9994 0.9994 -0.12% -0.90% 0.57%
02-12 1.1126 1.1403 0.30% 1.93% 2.22%
02-12 1.0836 1.1094 0.30% 1.80% 2.17%
02-12 1.1910 1.2140 0.84% 6.20% 6.82%
02-12 1.1697 1.1917 0.84% 6.09% 6.76%
02-12 1.4009 1.7024 0.96% 7.67% 11.41%
02-12 1.3642 1.6557 0.95% 7.54% 11.35%
02-12 1.3253 1.3459 0.65% 13.46% 15.69%
02-12 1.2965 1.3147 0.64% 13.31% 15.61%
02-12 0.6851 0.6851 0.60% 4.23% 7.01%
02-12 0.6728 0.6728 0.58% 4.12% 6.95%
02-12 0.8209 0.8209 1.51% 9.15% 4.76%
02-12 0.8046 0.8046 1.53% 9.05% 4.72%
02-12 1.0353 1.0353 0.87% 4.99% 10.72%
02-12 1.0243 1.0243 0.87% 4.94% 10.69%
02-12 1.3731 1.5903 1.07% 7.69% 14.01%
02-12 1.3404 1.5411 1.06% 7.56% 13.94%
02-12 1.5630 1.6339 0.64% 11.35% 8.81%
02-12 1.5489 1.6170 0.64% 11.30% 8.78%
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
02-12 1.1791 1.1791 0.02% 0.51% 0.36%
02-12 1.1618 1.1618 0.02% 0.45% 0.34%
02-12 1.1909 1.1909 0.02% 0.51% 0.36%
02-12 1.9224 1.9224 0.55% 6.97% 8.49%
02-12 1.0624 1.1671 0.03% 0.61% 0.85%
02-12 1.0384 1.1802 0.03% 0.60% 0.84%
02-12 1.0689 1.1504 0.04% 0.35% 0.69%
02-11 1.0391 1.2339 0.03% 0.67% 0.46%
02-06 1.0678 1.0766 0.07% 0.53% 0.45%
02-06 1.0619 1.0707 0.07% 0.45% 0.42%
02-12 1.0630 1.3245 0.04% 0.41% 0.35%
02-12 1.0601 1.0708 0.04% 0.35% 0.33%
02-12 1.0064 1.2857 0.00% 0.37% 0.26%
02-12 1.0417 1.0417 0.00% 0.37% 0.27%
02-06 1.0250 1.1639 0.02% 0.30% 0.22%
02-06 1.0211 1.1519 0.02% 0.27% 0.21%
02-12 1.0659 1.3394 0.03% 0.53% 0.41%
02-12 1.0648 1.1903 0.02% 0.46% 0.38%
02-12 1.0013 1.1015 0.00% 0.10% 0.13%
02-12 1.0149 1.0149 0.00% 0.10% 0.13%
02-12 1.0540 1.3112 0.01% 0.46% 0.36%
02-12 1.0441 1.0691 0.02% 0.41% 0.35%
02-12 1.0536 1.0786 0.01% 0.45% 0.36%
02-06 1.0186 1.1679 0.04% 0.87% 0.24%
02-12 1.1090 1.1090 0.22% 2.45% 2.93%
02-12 1.0905 1.0905 0.22% 2.35% 2.89%
02-12 1.1338 1.5646 0.04% 0.84% 0.68%
02-12 1.1260 1.5246 0.04% 0.77% 0.65%
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
02-12 1.4666 1.4666 0.05% 0.19% 7.60%
02-12 1.4348 1.4348 0.05% 0.10% 7.55%
02-12 1.4684 1.4684 0.97% 12.13% 11.72%
02-12 1.4545 1.4545 0.97% 12.02% 11.67%
02-12 2.1292 2.1292 0.78% 13.53% 13.18%
02-12 2.0817 2.0817 0.77% 13.44% 13.14%
02-12 2.3323 2.4873 0.24% 6.94% 6.90%
02-12 2.2884 2.2884 0.24% 6.80% 6.84%
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基金名称 净值日期 万份收益 七日年化收益率
02-12 0.2334 0.865%
02-12 0.2990 1.107%
02-12 0.3187 1.199%
02-12 0.3845 1.443%