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
03-31 1.1691 1.1691 0.05% -8.91% -8.91%
03-31 1.1436 1.1436 0.05% -9.01% -9.01%
03-31 1.6590 1.6590 -0.30% -5.69% -5.69%
03-31 1.6070 1.6070 -0.31% -5.86% -5.86%
03-31 1.0628 1.1460 -0.16% 0.74% 0.74%
03-31 1.0374 1.1149 -0.16% 0.61% 0.61%
03-31 1.2076 1.2076 -1.51% -4.19% -4.19%
03-31 1.1847 1.1847 -1.50% -4.31% -4.31%
03-31 1.7050 2.3060 -1.39% 3.40% 3.40%
03-31 1.6730 1.6730 -1.36% 3.27% 3.27%
03-31 3.0370 4.3000 -0.82% -5.86% -5.86%
03-31 2.9420 2.9420 -0.78% -5.98% -5.98%
03-31 0.9939 0.9939 0.06% -0.74% -0.74%
03-31 0.9804 0.9804 0.05% -1.34% -1.34%
03-31 1.0889 1.1166 -0.24% 0.05% 0.05%
03-31 1.0598 1.0856 -0.24% -0.08% -0.08%
03-31 1.1640 1.1870 -0.19% 4.39% 4.39%
03-31 1.1426 1.1646 -0.19% 4.29% 4.29%
03-31 1.2997 1.6012 -1.44% 3.36% 3.36%
03-31 1.2649 1.5564 -1.44% 3.24% 3.24%
03-31 1.2263 1.2469 0.65% 7.04% 7.04%
03-31 1.1989 1.2171 0.65% 6.91% 6.91%
03-31 0.6281 0.6281 -1.24% -1.89% -1.89%
03-31 0.6166 0.6166 -1.23% -1.99% -1.99%
03-31 0.7346 0.7346 -2.73% -6.25% -6.25%
03-31 0.7196 0.7196 -2.72% -6.34% -6.34%
03-31 0.9531 0.9531 -1.41% 1.92% 1.92%
03-31 0.9427 0.9427 -1.42% 1.87% 1.87%
03-31 1.2435 1.4607 0.43% 3.25% 3.25%
03-31 1.2131 1.4138 0.43% 3.12% 3.12%
03-31 1.4581 1.5290 -1.43% 1.50% 1.50%
03-31 1.4446 1.5127 -1.43% 1.45% 1.45%
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
03-31 1.1490 1.1833 0.02% 0.72% 0.72%
03-31 1.1318 1.1656 0.02% 0.66% 0.66%
03-31 1.1762 1.1951 0.02% 0.72% 0.72%
03-31 1.7146 1.7146 -2.78% -3.23% -3.23%
03-31 1.0686 1.1733 0.03% 1.44% 1.44%
03-31 1.0443 1.1861 0.02% 1.42% 1.42%
03-31 1.0720 1.1535 0.01% 0.98% 0.98%
03-27 1.0202 1.2375 0.02% 0.84% 0.81%
03-27 1.0722 1.0810 0.11% 0.88% 0.87%
03-27 1.0660 1.0748 0.11% 0.82% 0.80%
03-31 1.0637 1.3252 0.00% 0.42% 0.42%
03-31 1.0609 1.0716 0.00% 0.41% 0.41%
03-31 1.0097 1.2890 0.02% 0.59% 0.59%
03-31 1.0452 1.0452 0.02% 0.61% 0.61%
03-31 1.0212 1.1669 0.00% 0.52% 0.52%
03-31 1.0178 1.1546 0.00% 0.47% 0.47%
03-31 1.0691 1.3426 -0.02% 0.71% 0.71%
03-31 1.0678 1.1933 -0.02% 0.66% 0.66%
03-31 1.0029 1.1031 0.00% 0.29% 0.29%
03-31 1.0577 1.3149 0.01% 0.71% 0.71%
03-31 1.0165 1.0165 0.00% 0.29% 0.29%
03-31 1.0474 1.0724 0.01% 0.66% 0.66%
03-31 1.0573 1.0823 0.01% 0.71% 0.71%
03-27 1.0220 1.1713 0.04% 0.60% 0.57%
03-31 1.0881 1.0881 -0.38% 0.99% 0.99%
03-31 1.0694 1.0694 -0.39% 0.90% 0.90%
03-31 1.1388 1.5696 0.03% 1.13% 1.13%
03-31 1.1308 1.5294 0.03% 1.08% 1.08%
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
03-31 1.3259 1.3259 -0.85% -2.72% -2.72%
03-31 1.2966 1.2966 -0.85% -2.81% -2.81%
03-31 1.3693 1.3693 -1.45% 4.18% 4.18%
03-31 1.3556 1.3556 -1.45% 4.08% 4.08%
03-31 2.0078 2.0078 -1.31% 6.73% 6.73%
03-31 1.9620 1.9620 -1.31% 6.64% 6.64%
03-31 2.2387 2.3937 -0.69% 2.61% 2.61%
03-31 2.1952 2.1952 -0.69% 2.49% 2.49%
03-27 0.9996 0.9996 0.33% -0.04% -0.04%
03-27 0.9995 0.9995 0.32% -0.05% -0.05%
基金名称 净值日期 万份收益 七日年化收益率
03-31 0.2062 0.860%
03-31 0.2743 1.104%
03-31 0.3136 1.226%
03-31 0.3794 1.473%