400-067-9908
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
05-08 1.1790 1.1790 -1.29% -6.74% -8.13%
05-08 1.1527 1.1527 -1.28% -6.85% -8.29%
05-08 1.6750 1.6750 -1.64% -5.85% -4.78%
05-08 1.6210 1.6210 -1.64% -6.03% -5.04%
05-08 1.0648 1.1480 0.05% -0.23% 0.93%
05-08 1.0388 1.1163 0.05% -0.36% 0.75%
05-08 1.4173 1.4173 -0.79% 11.08% 12.45%
05-08 1.3898 1.3898 -0.79% 10.94% 12.25%
05-08 1.8510 2.4520 0.38% 5.17% 12.25%
05-08 1.8160 1.8160 0.44% 5.09% 12.10%
05-08 3.1890 4.4520 -0.19% -3.45% -1.15%
05-08 3.0870 3.0870 -0.19% -3.59% -1.34%
05-08 0.9880 0.9880 -0.04% -1.62% -1.33%
05-08 0.9744 0.9744 -0.04% -2.21% -1.94%
05-08 1.1035 1.1312 -0.27% 0.16% 1.39%
05-08 1.0735 1.0993 -0.27% 0.04% 1.22%
05-08 1.1865 1.2095 -0.09% 1.80% 6.41%
05-08 1.1641 1.1861 -0.10% 1.69% 6.25%
05-08 1.4340 1.7355 0.49% 6.51% 14.04%
05-08 1.3948 1.6863 0.48% 6.38% 13.84%
05-08 1.2805 1.3011 -0.51% -0.81% 11.78%
05-08 1.2512 1.2694 -0.51% -0.93% 11.57%
05-08 0.6919 0.6919 0.41% 4.11% 8.08%
05-08 0.6789 0.6789 0.41% 4.01% 7.92%
05-08 1.0151 1.0151 -0.30% 28.93% 29.54%
05-08 0.9939 0.9939 -0.30% 28.81% 29.36%
05-08 1.0452 1.0452 0.43% 4.89% 11.77%
05-08 1.0336 1.0336 0.43% 4.84% 11.69%
05-08 1.3121 1.5293 -0.90% -0.86% 8.94%
05-08 1.2794 1.4801 -0.90% -0.98% 8.76%
05-08 1.7037 1.7746 -0.56% 11.98% 18.60%
05-08 1.6875 1.7556 -0.56% 11.92% 18.51%
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
05-08 1.1520 1.1863 0.01% 0.69% 0.98%
05-08 1.1344 1.1682 0.01% 0.63% 0.90%
05-08 1.1793 1.1982 0.01% 0.69% 0.98%
05-08 1.9094 1.9094 0.19% 1.95% 7.76%
05-08 1.0723 1.1770 0.00% 1.11% 1.79%
05-08 1.0484 1.1902 0.00% 1.15% 1.82%
05-08 1.0761 1.1576 0.02% 0.82% 1.37%
05-08 1.0247 1.2420 0.02% 0.89% 1.26%
05-08 1.0458 1.0857 -0.03% 0.87% 1.32%
05-08 1.0393 1.0790 -0.04% 0.79% 1.21%
05-08 1.0646 1.3261 0.00% 0.23% 0.50%
05-08 1.0617 1.0724 0.00% 0.22% 0.48%
05-08 1.0130 1.2923 0.00% 0.72% 0.92%
05-08 1.0487 1.0487 0.00% 0.73% 0.94%
05-08 1.0199 1.1656 0.00% 0.17% 0.39%
05-08 1.0190 1.1558 0.00% 0.38% 0.59%
05-08 1.0738 1.3473 0.02% 0.83% 1.15%
05-08 1.0722 1.1977 0.02% 0.77% 1.07%
05-08 1.0043 1.1045 0.01% 0.32% 0.43%
05-08 1.0179 1.0179 0.01% 0.32% 0.42%
05-08 1.0606 1.3178 0.01% 0.67% 0.99%
05-08 1.0501 1.0751 0.02% 0.63% 0.92%
05-08 1.0602 1.0852 0.01% 0.67% 0.99%
05-08 1.0248 1.1741 0.05% 0.61% 0.85%
05-08 1.1123 1.1123 0.11% 1.38% 3.24%
05-08 1.0928 1.0928 0.11% 1.28% 3.10%
05-08 1.1110 1.5749 0.04% 1.13% 1.60%
05-08 1.1029 1.5344 0.04% 1.07% 1.53%
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
05-08 1.3794 1.3794 -0.22% -4.12% 1.20%
05-08 1.3485 1.3485 -0.22% -4.21% 1.08%
05-08 1.5194 1.5194 0.46% 7.73% 15.60%
05-08 1.5036 1.5036 0.46% 7.62% 15.44%
05-08 2.2273 2.2273 0.12% 8.36% 18.40%
05-08 2.1758 2.1758 0.12% 8.27% 18.26%
05-08 2.4574 2.6124 -0.34% 8.06% 12.64%
05-08 2.4084 2.4084 -0.34% 7.92% 12.44%
05-08 1.1158 1.1158 -0.26% 11.58% 11.58%
05-08 1.1155 1.1155 -0.26% 11.55% 11.55%
-- -- -- -- -- --
-- -- -- -- -- --
基金名称 净值日期 万份收益 七日年化收益率
05-08 0.2313 0.843%
05-08 0.2966 1.085%
05-08 0.2764 1.053%
05-08 0.3420 1.295%