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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
02-13 1.2496 1.2496 -1.12% -9.50% -2.63%
02-13 1.2231 1.2231 -1.12% -9.61% -2.69%
02-13 1.7630 1.7630 -1.18% -7.70% 0.23%
02-13 1.7100 1.7100 -1.16% -7.87% 0.18%
02-13 1.0646 1.1478 -0.46% 0.21% 0.91%
02-13 1.0398 1.1173 -0.46% 0.08% 0.84%
02-13 1.2993 1.2993 -0.58% 4.64% 3.09%
02-13 1.2755 1.2755 -0.58% 4.51% 3.02%
02-13 1.7970 2.3980 -1.75% 5.33% 8.98%
02-13 1.7640 1.7640 -1.78% 5.25% 8.89%
02-13 3.2940 4.5570 -0.90% 1.79% 2.11%
02-13 3.1930 3.1930 -0.87% 1.69% 2.05%
02-13 1.0050 1.0050 -0.24% -1.06% 0.37%
02-13 0.9970 0.9970 -0.24% -1.13% 0.33%
02-13 1.1086 1.1363 -0.36% 1.40% 1.86%
02-13 1.0797 1.1055 -0.36% 1.27% 1.80%
02-13 1.1809 1.2039 -0.85% 5.02% 5.91%
02-13 1.1598 1.1818 -0.85% 4.91% 5.86%
02-13 1.3754 1.6769 -1.82% 4.53% 9.38%
02-13 1.3394 1.6309 -1.82% 4.41% 9.32%
02-13 1.3058 1.3264 -1.47% 10.97% 13.98%
02-13 1.2774 1.2956 -1.47% 10.83% 13.91%
02-13 0.6791 0.6791 -0.88% 1.98% 6.08%
02-13 0.6670 0.6670 -0.86% 1.89% 6.02%
02-13 0.8142 0.8142 -0.82% 6.53% 3.91%
02-13 0.7980 0.7980 -0.82% 6.43% 3.87%
02-13 1.0175 1.0175 -1.72% 2.17% 8.81%
02-13 1.0067 1.0067 -1.72% 2.12% 8.79%
02-13 1.3537 1.5709 -1.41% 5.43% 12.40%
02-13 1.3215 1.5222 -1.41% 5.30% 12.33%
02-13 1.5624 1.6333 -0.04% 10.19% 8.76%
02-13 1.5484 1.6165 -0.03% 10.14% 8.74%
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
02-13 1.1792 1.1792 0.01% 0.52% 0.37%
02-13 1.1619 1.1619 0.01% 0.46% 0.35%
02-13 1.1910 1.1910 0.01% 0.51% 0.37%
02-13 1.9011 1.9011 -1.11% 4.43% 7.29%
02-13 1.0629 1.1676 0.05% 0.65% 0.90%
02-13 1.0389 1.1807 0.05% 0.64% 0.89%
02-13 1.0691 1.1506 0.02% 0.39% 0.71%
02-13 1.0394 1.2342 0.00% 0.68% 0.49%
02-13 1.0695 1.0783 0.16% 0.61% 0.61%
02-13 1.0636 1.0724 0.16% 0.55% 0.58%
02-13 1.0630 1.3245 0.00% 0.42% 0.35%
02-13 1.0601 1.0708 0.00% 0.37% 0.33%
02-13 1.0065 1.2858 0.01% 0.38% 0.27%
02-13 1.0418 1.0418 0.01% 0.38% 0.28%
02-13 1.0260 1.1649 0.01% 0.38% 0.32%
02-13 1.0221 1.1529 0.02% 0.34% 0.30%
02-13 1.0659 1.3394 0.00% 0.52% 0.41%
02-13 1.0649 1.1904 0.01% 0.46% 0.39%
02-13 1.0013 1.1015 0.00% 0.09% 0.13%
02-13 1.0149 1.0149 0.00% 0.09% 0.13%
02-13 1.0541 1.3113 0.01% 0.46% 0.37%
02-13 1.0441 1.0691 0.00% 0.40% 0.35%
02-13 1.0537 1.0787 0.01% 0.46% 0.37%
02-13 1.0192 1.1685 0.06% 0.89% 0.30%
02-13 1.1045 1.1045 -0.41% 1.80% 2.52%
02-13 1.0861 1.0861 -0.40% 1.70% 2.47%
02-13 1.1337 1.5645 -0.01% 0.82% 0.67%
02-13 1.1260 1.5246 0.00% 0.77% 0.65%
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
02-13 1.4539 1.4539 -0.87% -1.09% 6.67%
02-13 1.4224 1.4224 -0.86% -1.17% 6.62%
02-13 1.4414 1.4414 -1.84% 8.73% 9.66%
02-13 1.4276 1.4276 -1.85% 8.61% 9.60%
02-13 2.0884 2.0884 -1.92% 10.19% 11.01%
02-13 2.0417 2.0417 -1.92% 10.09% 10.97%
02-13 2.2927 2.4477 -1.70% 3.87% 5.09%
02-13 2.2496 2.2496 -1.70% 3.74% 5.03%
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基金名称 净值日期 万份收益 七日年化收益率
02-13 0.2374 0.857%
02-13 0.3037 1.100%
02-13 0.3182 1.192%
02-13 0.3840 1.440%