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
04-17 1.2094 1.2094 -1.36% -8.72% -5.77%
04-17 1.1827 1.1827 -1.37% -8.83% -5.90%
04-17 1.7190 1.7190 -1.55% -8.85% -2.27%
04-17 1.6650 1.6650 -1.48% -9.02% -2.46%
04-17 1.0653 1.1485 -0.02% 0.77% 0.98%
04-17 1.0396 1.1171 -0.02% 0.64% 0.82%
04-17 1.3486 1.3486 0.81% 0.39% 7.00%
04-17 1.3227 1.3227 0.81% 0.27% 6.83%
04-17 1.7940 2.3950 1.18% 0.67% 8.79%
04-17 1.7600 1.7600 1.15% 0.57% 8.64%
04-17 3.1570 4.4200 -0.25% -4.94% -2.14%
04-17 3.0570 3.0570 -0.26% -5.06% -2.30%
04-17 0.9922 0.9922 -0.11% -0.36% -0.91%
04-17 0.9786 0.9786 -0.11% -0.96% -1.52%
04-17 1.0999 1.1276 -0.23% 0.34% 1.06%
04-17 1.0703 1.0961 -0.23% 0.22% 0.91%
04-17 1.1782 1.2012 -0.35% 3.96% 5.67%
04-17 1.1563 1.1783 -0.35% 3.85% 5.54%
04-17 1.3734 1.6749 1.13% 0.83% 9.23%
04-17 1.3363 1.6278 1.14% 0.71% 9.07%
04-17 1.2766 1.2972 -1.10% 6.75% 11.44%
04-17 1.2477 1.2659 -1.10% 6.61% 11.26%
04-17 0.6704 0.6704 0.27% -4.71% 4.72%
04-17 0.6580 0.6580 0.27% -4.79% 4.59%
04-17 0.8820 0.8820 1.94% 5.84% 12.56%
04-17 0.8638 0.8638 1.94% 5.74% 12.43%
04-17 1.0022 1.0022 0.88% 0.11% 7.18%
04-17 0.9913 0.9913 0.89% 0.07% 7.12%
04-17 1.3034 1.5206 -0.83% 1.77% 8.22%
04-17 1.2713 1.4720 -0.83% 1.65% 8.07%
04-17 1.5858 1.6567 0.42% 0.70% 10.39%
04-17 1.5709 1.6390 0.42% 0.65% 10.32%
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
04-17 1.1508 1.1851 0.02% 0.74% 0.87%
04-17 1.1334 1.1672 0.02% 0.68% 0.81%
04-17 1.1781 1.1970 0.02% 0.75% 0.88%
04-17 1.8536 1.8536 0.85% -2.18% 4.61%
04-17 1.0716 1.1763 0.01% 1.54% 1.73%
04-17 1.0472 1.1890 0.00% 1.52% 1.70%
04-17 1.0769 1.1584 0.08% 1.34% 1.44%
04-17 1.0237 1.2410 0.05% 0.95% 1.16%
04-17 1.0455 1.0854 0.11% 1.07% 1.29%
04-17 1.0391 1.0788 0.11% 0.99% 1.19%
04-17 1.0641 1.3256 0.00% 0.43% 0.45%
04-17 1.0613 1.0720 0.01% 0.44% 0.44%
04-17 1.0120 1.2913 0.00% 0.74% 0.82%
04-17 1.0476 1.0476 0.00% 0.74% 0.84%
04-17 1.0194 1.1651 0.11% 0.28% 0.34%
04-17 1.0187 1.1555 0.12% 0.51% 0.56%
04-17 1.0734 1.3469 0.11% 1.03% 1.11%
04-17 1.0720 1.1975 0.11% 0.98% 1.06%
04-17 1.0036 1.1038 0.01% 0.32% 0.36%
04-17 1.0595 1.3167 0.03% 0.79% 0.89%
04-17 1.0172 1.0172 0.01% 0.32% 0.36%
04-17 1.0491 1.0741 0.03% 0.74% 0.83%
04-17 1.0591 1.0841 0.03% 0.79% 0.89%
04-17 1.0234 1.1727 0.04% 0.60% 0.71%
04-17 1.1027 1.1027 0.26% 0.33% 2.35%
04-17 1.0835 1.0835 0.27% 0.22% 2.23%
04-17 1.1094 1.5733 0.05% 1.22% 1.46%
04-17 1.1015 1.5330 0.05% 1.17% 1.41%
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
04-17 1.3491 1.3491 -0.78% -1.88% -1.02%
04-17 1.3191 1.3191 -0.77% -1.96% -1.12%
04-17 1.4525 1.4525 1.13% 1.80% 10.51%
04-17 1.4377 1.4377 1.13% 1.70% 10.38%
04-17 2.1117 2.1117 0.63% 3.48% 12.25%
04-17 2.0633 2.0633 0.63% 3.40% 12.14%
04-17 2.3628 2.5178 0.40% 4.70% 8.30%
04-17 2.3163 2.3163 0.39% 4.57% 8.14%
04-17 1.0458 1.0458 3.19% 4.58% 4.58%
04-17 1.0456 1.0456 3.19% 4.56% 4.56%
基金名称 净值日期 万份收益 七日年化收益率
04-17 0.2213 0.840%
04-17 0.2858 1.081%
04-17 0.3102 1.086%
04-17 0.3550 1.334%