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
03-25 1.1564 1.1564 0.55% -11.45% -9.90%
03-25 1.1312 1.1312 0.54% -11.56% -10.00%
03-25 1.6220 1.6220 0.75% -9.69% -7.79%
03-25 1.5720 1.5720 0.83% -9.81% -7.91%
03-25 1.0645 1.1477 0.37% 0.50% 0.90%
03-25 1.0392 1.1167 0.37% 0.38% 0.79%
03-25 1.2526 1.2526 1.83% -1.53% -0.62%
03-25 1.2289 1.2289 1.82% -1.66% -0.74%
03-25 1.7230 2.3240 2.26% 4.61% 4.49%
03-25 1.6910 1.6910 2.24% 4.58% 4.38%
03-25 3.0790 4.3420 1.18% -4.94% -4.56%
03-25 2.9830 2.9830 1.22% -5.06% -4.67%
03-25 0.9947 0.9947 0.07% -0.82% -0.66%
03-25 0.9813 0.9813 0.07% -1.41% -1.25%
03-25 1.0929 1.1206 0.30% 0.45% 0.41%
03-25 1.0638 1.0896 0.30% 0.32% 0.30%
03-25 1.1682 1.1912 0.46% 4.71% 4.77%
03-25 1.1468 1.1688 0.46% 4.61% 4.67%
03-25 1.3134 1.6149 2.27% 4.59% 4.45%
03-25 1.2783 1.5698 2.26% 4.46% 4.33%
03-25 1.2376 1.2582 1.13% 7.45% 8.03%
03-25 1.2101 1.2283 1.14% 7.33% 7.91%
03-25 0.6337 0.6337 2.06% -2.04% -1.02%
03-25 0.6221 0.6221 2.07% -2.12% -1.11%
03-25 0.7711 0.7711 2.46% -2.54% -1.60%
03-25 0.7553 0.7553 2.46% -2.64% -1.69%
03-25 0.9647 0.9647 2.12% 3.20% 3.17%
03-25 0.9543 0.9543 2.12% 3.15% 3.12%
03-25 1.2689 1.4861 1.10% 4.16% 5.36%
03-25 1.2380 1.4387 1.10% 4.03% 5.24%
03-25 1.4704 1.5413 1.69% 2.17% 2.36%
03-25 1.4569 1.5250 1.70% 2.12% 2.32%
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
03-25 1.1481 1.1824 0.01% 0.66% 0.64%
03-25 1.1309 1.1647 0.01% 0.60% 0.58%
03-25 1.1753 1.1942 0.01% 0.67% 0.64%
03-25 1.7780 1.7780 1.62% -0.03% 0.34%
03-25 1.0671 1.1718 0.04% 1.27% 1.30%
03-25 1.0429 1.1847 0.04% 1.25% 1.28%
03-25 1.0706 1.1521 0.02% 0.76% 0.85%
03-20 1.0194 1.2367 0.01% 0.83% 0.74%
03-20 1.0710 1.0798 0.09% 0.84% 0.75%
03-20 1.0648 1.0736 0.08% 0.78% 0.69%
03-25 1.0635 1.3250 -0.11% 0.34% 0.40%
03-25 1.0608 1.0715 -0.07% 0.33% 0.40%
03-25 1.0089 1.2882 0.02% 0.54% 0.51%
03-25 1.0443 1.0443 0.02% 0.54% 0.52%
03-20 1.0208 1.1665 0.00% 0.51% 0.48%
03-20 1.0175 1.1543 0.01% 0.46% 0.44%
03-25 1.0681 1.3416 0.01% 0.56% 0.61%
03-25 1.0668 1.1923 0.01% 0.52% 0.57%
03-25 1.0027 1.1029 0.00% 0.17% 0.27%
03-25 1.0163 1.0163 0.00% 0.17% 0.27%
03-25 1.0568 1.3140 0.00% 0.61% 0.63%
03-25 1.0466 1.0716 0.00% 0.57% 0.59%
03-25 1.0564 1.0814 0.00% 0.61% 0.63%
03-20 1.0216 1.1709 0.06% 0.60% 0.53%
03-25 1.0921 1.0921 0.57% 1.43% 1.36%
03-25 1.0734 1.0734 0.56% 1.33% 1.27%
03-25 1.1366 1.5674 0.03% 0.97% 0.93%
03-25 1.1286 1.5272 0.03% 0.91% 0.88%
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
03-25 1.3592 1.3592 0.88% -1.77% -0.28%
03-25 1.3293 1.3293 0.88% -1.85% -0.36%
03-25 1.3862 1.3862 2.27% 5.86% 5.46%
03-25 1.3724 1.3724 2.27% 5.76% 5.37%
03-25 2.0326 2.0326 2.64% 8.16% 8.05%
03-25 1.9864 1.9864 2.64% 8.07% 7.96%
03-25 2.2706 2.4256 1.93% 4.04% 4.07%
03-25 2.2266 2.2266 1.93% 3.91% 3.95%
03-20 1.0000 1.0000 0.00% 0.00% 0.00%
03-20 0.9999 0.9999 -0.01% -0.01% -0.01%
基金名称 净值日期 万份收益 七日年化收益率
03-25 0.2385 0.861%
03-25 0.3047 1.104%
03-25 0.3115 1.306%
03-25 0.3773 1.554%