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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
02-10 1.2824 1.2824 0.15% -6.50% -0.08%
02-10 1.2552 1.2552 0.14% -6.63% -0.14%
02-10 1.8080 1.8080 0.67% -4.03% 2.79%
02-10 1.7530 1.7530 0.63% -4.21% 2.69%
02-10 1.0696 1.1528 -0.02% 0.65% 1.38%
02-10 1.0447 1.1222 -0.02% 0.52% 1.32%
02-10 1.3120 1.3120 0.46% 5.65% 4.09%
02-10 1.2880 1.2880 0.46% 5.51% 4.03%
02-10 1.8020 2.4030 0.22% 6.63% 9.28%
02-10 1.7690 1.7690 0.23% 6.50% 9.20%
02-10 3.3410 4.6040 -0.12% 3.56% 3.56%
02-10 3.2380 3.2380 -0.12% 3.42% 3.48%
02-10 1.0091 1.0091 0.08% -0.41% 0.78%
02-10 1.0011 1.0011 0.08% -0.48% 0.74%
02-10 1.1072 1.1349 0.04% 1.61% 1.73%
02-10 1.0784 1.1042 0.04% 1.48% 1.68%
02-10 1.1780 1.2010 0.14% 5.27% 5.65%
02-10 1.1569 1.1789 0.13% 5.15% 5.60%
02-10 1.3798 1.6813 0.25% 5.37% 9.73%
02-10 1.3437 1.6352 0.25% 5.24% 9.67%
02-10 1.3118 1.3324 -0.01% 13.33% 14.51%
02-10 1.2833 1.3015 -0.01% 13.19% 14.44%
02-10 0.6824 0.6824 0.28% 2.99% 6.59%
02-10 0.6702 0.6702 0.27% 2.89% 6.53%
02-10 0.8127 0.8127 0.33% 4.62% 3.71%
02-10 0.7965 0.7965 0.34% 4.51% 3.67%
02-10 1.0201 1.0201 0.29% 3.19% 9.09%
02-10 1.0093 1.0093 0.29% 3.14% 9.07%
02-10 1.3559 1.5731 0.61% 6.99% 12.58%
02-10 1.3236 1.5243 0.60% 6.85% 12.51%
02-10 1.5573 1.6282 0.43% 9.56% 8.41%
02-10 1.5433 1.6114 0.42% 9.50% 8.39%
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
02-10 1.1788 1.1788 0.02% 0.51% 0.33%
02-10 1.1615 1.1615 0.02% 0.45% 0.31%
02-10 1.1906 1.1906 0.02% 0.51% 0.34%
02-10 1.9059 1.9059 0.01% 5.42% 7.56%
02-10 1.0616 1.1663 0.04% 0.59% 0.78%
02-10 1.0376 1.1794 0.04% 0.57% 0.77%
02-10 1.0683 1.1498 0.04% 0.35% 0.63%
02-10 1.0388 1.2336 0.02% 0.66% 0.44%
02-06 1.0678 1.0766 0.07% 0.53% 0.45%
02-06 1.0619 1.0707 0.07% 0.45% 0.42%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
02-10 1.0626 1.3241 -0.03% 0.40% 0.31%
02-10 1.0597 1.0704 -0.03% 0.34% 0.29%
02-10 1.0061 1.2854 0.02% 0.39% 0.23%
02-10 1.0414 1.0414 0.02% 0.39% 0.24%
02-06 1.0250 1.1639 0.02% 0.30% 0.22%
02-06 1.0211 1.1519 0.02% 0.27% 0.21%
02-10 1.0655 1.3390 -0.01% 0.54% 0.37%
02-10 1.0645 1.1900 -0.01% 0.48% 0.35%
02-10 1.0012 1.1014 0.00% 0.11% 0.12%
02-10 1.0148 1.0148 0.00% 0.11% 0.12%
02-10 1.0538 1.3110 0.00% 0.48% 0.34%
02-10 1.0438 1.0688 -0.01% 0.41% 0.32%
02-10 1.0534 1.0784 -0.01% 0.47% 0.34%
02-06 1.0186 1.1679 0.04% 0.87% 0.24%
02-10 1.1051 1.1051 0.06% 1.97% 2.57%
02-10 1.0867 1.0867 0.06% 1.87% 2.53%
02-10 1.1327 1.5635 0.04% 0.80% 0.59%
02-10 1.1250 1.5236 0.03% 0.74% 0.56%
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
02-10 1.4549 1.4549 0.35% 1.58% 6.74%
02-10 1.4234 1.4234 0.35% 1.49% 6.69%
02-10 1.4457 1.4457 0.24% 9.61% 9.99%
02-10 1.4319 1.4319 0.24% 9.50% 9.93%
02-10 2.0937 2.0937 0.15% 10.73% 11.30%
02-10 2.0469 2.0469 0.14% 10.63% 11.25%
02-10 2.3161 2.4711 0.26% 5.13% 6.16%
02-10 2.2726 2.2726 0.26% 5.00% 6.10%
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基金名称 净值日期 万份收益 七日年化收益率
02-10 0.2147 0.883%
02-10 0.2813 1.125%
02-10 0.3245 1.166%
02-10 0.3900 1.416%