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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
03-23 1.1259 1.1259 -3.04% -13.70% -12.27%
03-23 1.1014 1.1014 -3.05% -13.80% -12.37%
03-23 1.5790 1.5790 -3.19% -11.34% -10.23%
03-23 1.5300 1.5300 -3.16% -11.51% -10.37%
03-23 1.0548 1.1380 -1.00% -0.27% -0.02%
03-23 1.0297 1.1072 -1.01% -0.40% -0.14%
03-23 1.2076 1.2076 -3.98% -3.57% -4.19%
03-23 1.1849 1.1849 -3.97% -3.68% -4.30%
03-23 1.6370 2.2380 -4.49% 1.49% -0.73%
03-23 1.6060 1.6060 -4.52% 1.39% -0.86%
03-23 3.0000 4.2630 -3.13% -6.92% -7.01%
03-23 2.9060 2.9060 -3.17% -7.04% -7.13%
03-23 0.9941 0.9941 -0.01% -0.75% -0.72%
03-23 0.9807 0.9807 -0.02% -1.34% -1.31%
03-23 1.0841 1.1118 -0.67% -0.53% -0.40%
03-23 1.0553 1.0811 -0.67% -0.66% -0.50%
03-23 1.1541 1.1771 -0.88% 3.15% 3.51%
03-23 1.1330 1.1550 -0.87% 3.04% 3.41%
03-23 1.2465 1.5480 -4.67% 1.34% -0.87%
03-23 1.2132 1.5047 -4.67% 1.22% -0.98%
03-23 1.1981 1.2187 -2.66% 3.52% 4.58%
03-23 1.1715 1.1897 -2.66% 3.40% 4.47%
03-23 0.6049 0.6049 -4.80% -5.32% -5.51%
03-23 0.5938 0.5938 -4.82% -5.42% -5.61%
03-23 0.7400 0.7400 -4.00% -4.63% -5.56%
03-23 0.7250 0.7250 -3.99% -4.71% -5.64%
03-23 0.9183 0.9183 -4.47% -0.24% -1.80%
03-23 0.9083 0.9083 -4.48% -0.30% -1.85%
03-23 1.2197 1.4369 -2.72% -0.82% 1.27%
03-23 1.1900 1.3907 -2.73% -0.95% 1.16%
03-23 1.4064 1.4773 -4.17% 0.05% -2.10%
03-23 1.3934 1.4615 -4.17% 0.00% -2.14%
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
03-23 1.1478 1.1821 0.01% 0.64% 0.61%
03-23 1.1306 1.1644 0.00% 0.58% 0.56%
03-23 1.1750 1.1939 0.01% 0.65% 0.62%
03-23 1.6963 1.6963 -2.76% -2.92% -4.27%
03-23 1.0664 1.1711 0.03% 1.21% 1.23%
03-23 1.0422 1.1840 0.03% 1.20% 1.21%
03-23 1.0699 1.1514 0.01% 0.70% 0.78%
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%
03-23 1.0647 1.3262 -0.01% 0.46% 0.51%
03-23 1.0616 1.0723 -0.01% 0.42% 0.47%
03-23 1.0085 1.2878 -0.01% 0.54% 0.47%
03-23 1.0439 1.0439 -0.01% 0.54% 0.48%
03-20 1.0208 1.1665 0.00% 0.51% 0.48%
03-20 1.0175 1.1543 0.01% 0.46% 0.44%
03-23 1.0679 1.3414 0.00% 0.57% 0.59%
03-23 1.0666 1.1921 -0.01% 0.51% 0.55%
03-23 1.0027 1.1029 0.01% 0.13% 0.27%
03-23 1.0163 1.0163 0.01% 0.13% 0.27%
03-23 1.0568 1.3140 -0.01% 0.64% 0.63%
03-23 1.0466 1.0716 -0.01% 0.59% 0.59%
03-23 1.0564 1.0814 -0.01% 0.64% 0.63%
03-20 1.0216 1.1709 0.06% 0.60% 0.53%
03-23 1.0778 1.0778 -1.08% 0.61% 0.04%
03-23 1.0593 1.0593 -1.09% 0.50% -0.06%
03-23 1.1359 1.5667 -0.03% 0.91% 0.87%
03-23 1.1279 1.5265 -0.03% 0.86% 0.82%
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
03-23 1.3206 1.3206 -2.54% -4.82% -3.11%
03-23 1.2915 1.2915 -2.54% -4.91% -3.19%
03-23 1.3146 1.3146 -4.65% 2.37% 0.02%
03-23 1.3016 1.3016 -4.64% 2.27% -0.07%
03-23 1.9295 1.9295 -3.63% 4.00% 2.57%
03-23 1.8857 1.8857 -3.63% 3.92% 2.49%
03-23 2.1867 2.3417 -2.94% 0.85% 0.23%
03-23 2.1444 2.1444 -2.94% 0.73% 0.12%
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
03-23 0.2345 0.817%
03-23 0.3001 1.060%
03-23 0.3782 1.220%
03-23 0.4440 1.467%