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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
03-16 1.2015 1.2015 0.63% -7.43% -6.38%
03-16 1.1755 1.1755 0.62% -7.54% -6.48%
03-16 1.6920 1.6920 0.12% -2.93% -3.81%
03-16 1.6400 1.6400 0.18% -3.07% -3.93%
03-16 1.0724 1.1556 -0.19% 1.93% 1.65%
03-16 1.0470 1.1245 -0.19% 1.80% 1.54%
03-16 1.2958 1.2958 0.61% 8.06% 2.81%
03-16 1.2715 1.2715 0.61% 7.93% 2.70%
03-16 1.8230 2.4240 -0.22% 15.60% 10.55%
03-16 1.7900 1.7900 -0.22% 15.56% 10.49%
03-16 3.2010 4.4640 0.06% 1.59% -0.77%
03-16 3.1020 3.1020 0.10% 1.47% -0.86%
03-16 0.9954 0.9954 -0.10% -0.04% -0.59%
03-16 0.9820 0.9820 -0.11% -0.64% -1.18%
03-16 1.1005 1.1282 -0.17% 1.17% 1.11%
03-16 1.0714 1.0972 -0.17% 1.05% 1.02%
03-16 1.1764 1.1994 -0.34% 5.35% 5.51%
03-16 1.1549 1.1769 -0.35% 5.23% 5.41%
03-16 1.3936 1.6951 -0.24% 15.78% 10.83%
03-16 1.3565 1.6480 -0.25% 15.63% 10.72%
03-16 1.2605 1.2811 -0.10% 9.56% 10.03%
03-16 1.2326 1.2508 -0.11% 9.43% 9.92%
03-16 0.6681 0.6681 -0.13% 10.23% 4.36%
03-16 0.6559 0.6559 -0.14% 10.11% 4.26%
03-16 0.8008 0.8008 0.75% 8.47% 2.19%
03-16 0.7845 0.7845 0.74% 8.36% 2.11%
03-16 1.0191 1.0191 -0.27% 12.68% 8.98%
03-16 1.0082 1.0082 -0.27% 12.64% 8.95%
03-16 1.2884 1.5056 0.51% 4.42% 6.97%
03-16 1.2572 1.4579 0.50% 4.29% 6.87%
03-16 1.5272 1.5981 0.53% 12.24% 6.31%
03-16 1.5132 1.5813 0.52% 12.19% 6.27%
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
03-16 1.1812 1.1812 0.00% 0.66% 0.54%
03-16 1.1636 1.1636 0.00% 0.60% 0.49%
03-16 1.1930 1.1930 -0.01% 0.65% 0.54%
03-16 1.8510 1.8510 -0.29% 8.25% 4.46%
03-16 1.0647 1.1694 -0.01% 1.10% 1.07%
03-16 1.0406 1.1824 -0.01% 1.09% 1.06%
03-16 1.0680 1.1495 -0.06% 0.75% 0.60%
03-13 1.0410 1.2358 0.03% 0.83% 0.65%
03-13 1.0700 1.0788 -0.07% 0.81% 0.66%
03-13 1.0639 1.0727 -0.07% 0.75% 0.61%
03-16 1.0640 1.3255 -0.01% 0.53% 0.44%
03-16 1.0609 1.0716 -0.02% 0.47% 0.41%
03-16 1.0075 1.2868 0.00% 0.54% 0.37%
03-16 1.0428 1.0428 0.00% 0.53% 0.38%
03-13 1.0271 1.1660 0.02% 0.52% 0.43%
03-13 1.0230 1.1538 0.02% 0.48% 0.39%
03-16 1.0670 1.3405 -0.02% 0.62% 0.51%
03-16 1.0658 1.1913 -0.02% 0.58% 0.47%
03-16 1.0024 1.1026 0.01% 0.18% 0.24%
03-16 1.0160 1.0160 0.01% 0.18% 0.24%
03-16 1.0559 1.3131 0.00% 0.64% 0.54%
03-16 1.0457 1.0707 0.00% 0.59% 0.50%
03-16 1.0555 1.0805 0.00% 0.64% 0.54%
03-13 1.0210 1.1703 0.04% 0.62% 0.47%
03-16 1.1057 1.1057 -0.09% 3.76% 2.63%
03-16 1.0869 1.0869 -0.09% 3.66% 2.55%
03-16 1.1346 1.5654 -0.04% 0.97% 0.75%
03-16 1.1266 1.5252 -0.04% 0.91% 0.71%
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
03-16 1.3831 1.3831 -0.79% 0.25% 1.47%
03-16 1.3527 1.3527 -0.80% 0.16% 1.39%
03-16 1.4647 1.4647 -0.18% 16.73% 11.43%
03-16 1.4502 1.4502 -0.19% 16.61% 11.34%
03-16 2.1159 2.1159 -0.84% 18.04% 12.48%
03-16 2.0680 2.0680 -0.84% 17.94% 12.40%
03-16 2.3266 2.4816 -0.82% 10.05% 6.64%
03-16 2.2818 2.2818 -0.82% 9.91% 6.53%
03-13 1.0000 1.0000 0.00% 0.00% 0.00%
03-13 1.0000 1.0000 0.00% 0.00% 0.00%
基金名称 净值日期 万份收益 七日年化收益率
03-16 0.2238 0.862%
03-16 0.2894 1.105%
03-16 0.3126 1.195%
03-16 0.3783 1.441%