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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
03-05 1.1743 1.1743 0.29% -11.63% -8.50%
03-05 1.1491 1.1491 0.30% -11.74% -8.58%
03-05 1.6660 1.6660 0.73% -7.44% -5.29%
03-05 1.6140 1.6140 0.62% -7.67% -5.45%
03-05 1.0685 1.1517 0.14% 1.14% 1.28%
03-05 1.0433 1.1208 0.13% 1.01% 1.18%
03-05 1.2787 1.2787 1.82% 4.97% 1.45%
03-05 1.2549 1.2549 1.82% 4.84% 1.36%
03-05 1.8160 2.4170 1.06% 12.03% 10.13%
03-05 1.7820 1.7820 1.08% 11.86% 10.00%
03-05 3.1890 4.4520 0.76% -0.13% -1.15%
03-05 3.0900 3.0900 0.75% -0.26% -1.25%
03-05 0.9998 0.9998 0.14% -0.23% -0.15%
03-05 0.9864 0.9864 0.13% -0.82% -0.73%
03-05 1.1051 1.1328 0.22% 1.39% 1.53%
03-05 1.0760 1.1018 0.21% 1.27% 1.45%
03-05 1.1871 1.2101 0.47% 6.09% 6.47%
03-05 1.1656 1.1876 0.47% 5.97% 6.39%
03-05 1.3891 1.6906 1.06% 12.39% 10.47%
03-05 1.3523 1.6438 1.05% 12.24% 10.37%
03-05 1.2649 1.2855 0.51% 9.16% 10.41%
03-05 1.2371 1.2553 0.51% 9.02% 10.32%
03-05 0.6616 0.6616 1.19% 4.73% 3.34%
03-05 0.6497 0.6497 1.20% 4.66% 3.27%
03-05 0.8138 0.8138 1.52% 9.60% 3.85%
03-05 0.7974 0.7974 1.51% 9.49% 3.79%
03-05 1.0202 1.0202 1.01% 9.12% 9.10%
03-05 1.0093 1.0093 1.01% 9.08% 9.07%
03-05 1.2836 1.5008 0.13% 1.99% 6.58%
03-05 1.2527 1.4534 0.13% 1.88% 6.49%
03-05 1.5132 1.5841 1.18% 9.00% 5.34%
03-05 1.4994 1.5675 1.17% 8.94% 5.30%
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
03-05 1.1808 1.1808 0.01% 0.66% 0.50%
03-05 1.1633 1.1633 0.01% 0.61% 0.47%
03-05 1.1926 1.1926 0.01% 0.67% 0.51%
03-05 1.8608 1.8608 0.28% 7.11% 5.02%
03-05 1.0650 1.1697 0.03% 1.10% 1.10%
03-05 1.0409 1.1827 0.03% 1.09% 1.09%
03-05 1.0701 1.1516 0.01% 0.92% 0.80%
02-27 1.0395 1.2343 0.02% 0.75% 0.50%
02-27 1.0690 1.0778 -0.05% 0.55% 0.56%
02-27 1.0629 1.0717 -0.07% 0.48% 0.51%
03-05 1.0644 1.3259 0.01% 0.62% 0.48%
03-05 1.0614 1.0721 0.01% 0.58% 0.45%
03-05 1.0073 1.2866 0.02% 0.55% 0.35%
03-05 1.0426 1.0426 0.02% 0.55% 0.36%
02-27 1.0263 1.1652 0.01% 0.47% 0.35%
02-27 1.0223 1.1531 0.01% 0.43% 0.32%
03-05 1.0672 1.3407 0.02% 0.71% 0.53%
03-05 1.0660 1.1915 0.01% 0.65% 0.49%
03-05 1.0021 1.1023 0.00% 0.21% 0.21%
03-05 1.0157 1.0157 0.00% 0.21% 0.21%
03-05 1.0553 1.3125 0.00% 0.64% 0.49%
03-05 1.0452 1.0702 0.00% 0.59% 0.45%
03-05 1.0550 1.0800 0.01% 0.64% 0.50%
02-27 1.0201 1.1694 0.09% 0.79% 0.38%
03-05 1.1069 1.1069 0.23% 3.27% 2.74%
03-05 1.0882 1.0882 0.23% 3.18% 2.67%
03-05 1.1349 1.5657 0.01% 1.07% 0.78%
03-05 1.1270 1.5256 0.01% 1.01% 0.74%
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
03-05 1.4136 1.4136 -0.04% -1.22% 3.71%
03-05 1.3827 1.3827 -0.04% -1.31% 3.64%
03-05 1.4595 1.4595 1.09% 14.31% 11.04%
03-05 1.4453 1.4453 1.09% 14.20% 10.96%
03-05 2.1486 2.1486 1.21% 17.31% 14.21%
03-05 2.1002 2.1002 1.21% 17.21% 14.15%
03-05 2.3461 2.5011 0.99% 9.72% 7.54%
03-05 2.3013 2.3013 0.98% 9.59% 7.44%
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基金名称 净值日期 万份收益 七日年化收益率
03-05 0.2333 0.857%
03-05 0.2992 1.099%
03-05 0.3105 1.167%
03-05 0.3782 1.407%