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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
04-09 1.1988 1.1988 -1.13% -10.36% -6.59%
04-09 1.1724 1.1724 -1.14% -10.48% -6.72%
04-09 1.7090 1.7090 -1.44% -10.19% -2.84%
04-09 1.6550 1.6550 -1.43% -10.40% -3.05%
04-09 1.0624 1.1456 -0.24% 0.24% 0.70%
04-09 1.0369 1.1144 -0.25% 0.12% 0.56%
04-09 1.2716 1.2716 -0.36% -2.79% 0.89%
04-09 1.2473 1.2473 -0.37% -2.92% 0.74%
04-09 1.7350 2.3360 -1.08% -1.25% 5.22%
04-09 1.7020 1.7020 -1.10% -1.33% 5.06%
04-09 3.1010 4.3640 -0.61% -6.26% -3.87%
04-09 3.0030 3.0030 -0.63% -6.36% -4.03%
04-09 0.9933 0.9933 -0.16% -0.63% -0.80%
04-09 0.9798 0.9798 -0.15% -1.22% -1.40%
04-09 1.0963 1.1240 -0.12% 0.24% 0.73%
04-09 1.0670 1.0928 -0.11% 0.12% 0.60%
04-09 1.1775 1.2005 -0.03% 4.66% 5.61%
04-09 1.1558 1.1778 -0.03% 4.56% 5.49%
04-09 1.3271 1.6286 -1.10% -1.10% 5.54%
04-09 1.2914 1.5829 -1.10% -1.22% 5.40%
04-09 1.2659 1.2865 -0.50% 6.98% 10.50%
04-09 1.2374 1.2556 -0.50% 6.85% 10.34%
04-09 0.6457 0.6457 -0.78% -6.49% 0.86%
04-09 0.6338 0.6338 -0.78% -6.57% 0.75%
04-09 0.8017 0.8017 0.93% -2.12% 2.31%
04-09 0.7852 0.7852 0.93% -2.22% 2.20%
04-09 0.9732 0.9732 -0.99% -1.28% 4.07%
04-09 0.9626 0.9626 -0.99% -1.33% 4.02%
04-09 1.2856 1.5028 -0.59% 2.99% 6.74%
04-09 1.2540 1.4547 -0.59% 2.86% 6.60%
04-09 1.5232 1.5941 -0.75% -1.18% 6.04%
04-09 1.5090 1.5771 -0.76% -1.23% 5.98%
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
04-09 1.1500 1.1843 0.00% 0.74% 0.80%
04-09 1.1327 1.1665 0.00% 0.68% 0.74%
04-09 1.1773 1.1962 0.00% 0.74% 0.81%
04-09 1.7838 1.7838 -0.27% -4.56% 0.67%
04-09 1.0704 1.1751 0.02% 1.56% 1.61%
04-09 1.0461 1.1879 0.01% 1.53% 1.59%
04-09 1.0742 1.1557 0.00% 1.25% 1.19%
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%
04-09 1.0639 1.3254 0.00% 0.53% 0.43%
04-09 1.0611 1.0718 0.00% 0.52% 0.43%
04-09 1.0115 1.2908 0.01% 0.77% 0.77%
04-09 1.0471 1.0471 0.01% 0.79% 0.79%
04-09 1.0193 1.1650 -0.21% 0.32% 0.33%
04-09 1.0185 1.1553 0.06% 0.54% 0.54%
04-09 1.0701 1.3436 -0.03% 0.83% 0.80%
04-09 1.0687 1.1942 -0.03% 0.77% 0.74%
04-09 1.0033 1.1035 0.00% 0.31% 0.33%
04-09 1.0585 1.3157 -0.01% 0.81% 0.79%
04-09 1.0169 1.0169 0.00% 0.31% 0.33%
04-09 1.0481 1.0731 -0.01% 0.75% 0.73%
04-09 1.0581 1.0831 -0.01% 0.81% 0.79%
04-03 1.0225 1.1718 0.05% 0.62% 0.62%
04-09 1.0937 1.0937 -0.26% -0.05% 1.51%
04-09 1.0748 1.0748 -0.25% -0.15% 1.41%
04-09 1.1408 1.5716 -0.01% 1.23% 1.31%
04-09 1.1327 1.5313 -0.01% 1.18% 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
04-09 1.3600 1.3600 0.15% -0.64% -0.22%
04-09 1.3298 1.3298 0.14% -0.73% -0.32%
04-09 1.4019 1.4019 -1.17% -0.01% 6.66%
04-09 1.3877 1.3877 -1.18% -0.11% 6.54%
04-09 2.0526 2.0526 -0.55% 2.58% 9.11%
04-09 2.0057 2.0057 -0.55% 2.49% 9.01%
04-09 2.2856 2.4406 -0.22% 1.78% 4.76%
04-09 2.2409 2.2409 -0.22% 1.66% 4.62%
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
04-09 0.2398 0.836%
04-09 0.3056 1.078%
04-09 0.2708 1.104%
04-09 0.3629 1.352%