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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
04-22 1.2033 1.2033 0.07% -7.88% -6.24%
04-22 1.1767 1.1767 0.08% -8.00% -6.38%
04-22 1.7130 1.7130 0.94% -7.15% -2.62%
04-22 1.6580 1.6580 0.85% -7.37% -2.87%
04-22 1.0681 1.1513 -0.02% 0.59% 1.24%
04-22 1.0423 1.1198 -0.02% 0.47% 1.09%
04-22 1.3811 1.3811 1.52% 2.02% 9.58%
04-22 1.3545 1.3545 1.51% 1.89% 9.40%
04-22 1.8090 2.4100 0.78% 0.00% 9.70%
04-22 1.7740 1.7740 0.74% -0.17% 9.51%
04-22 3.1820 4.4450 0.19% -4.96% -1.36%
04-22 3.0810 3.0810 0.20% -5.08% -1.53%
04-22 0.9941 0.9941 -0.11% -0.74% -0.72%
04-22 0.9805 0.9805 -0.11% -1.33% -1.33%
04-22 1.1035 1.1312 0.05% 0.18% 1.39%
04-22 1.0737 1.0995 0.04% 0.06% 1.24%
04-22 1.1854 1.2084 0.18% 2.67% 6.31%
04-22 1.1633 1.1853 0.18% 2.57% 6.18%
04-22 1.3861 1.6876 0.86% 0.12% 10.24%
04-22 1.3485 1.6400 0.85% 0.00% 10.06%
04-22 1.2865 1.3071 -0.48% 4.27% 12.30%
04-22 1.2574 1.2756 -0.47% 4.15% 12.13%
04-22 0.6797 0.6797 1.04% -1.21% 6.17%
04-22 0.6671 0.6671 1.05% -1.29% 6.04%
04-22 0.9251 0.9251 3.46% 10.54% 18.06%
04-22 0.9060 0.9060 3.46% 10.43% 17.92%
04-22 1.0118 1.0118 0.77% -0.64% 8.20%
04-22 1.0007 1.0007 0.77% -0.68% 8.14%
04-22 1.3111 1.5283 -1.07% 1.34% 8.86%
04-22 1.2786 1.4793 -1.08% 1.21% 8.69%
04-22 1.6028 1.6737 0.92% 0.81% 11.58%
04-22 1.5878 1.6559 0.92% 0.76% 11.51%
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
04-22 1.1514 1.1857 0.03% 0.75% 0.93%
04-22 1.1339 1.1677 0.02% 0.68% 0.85%
04-22 1.1787 1.1976 0.03% 0.75% 0.93%
04-22 1.8702 1.8702 0.96% -2.92% 5.55%
04-22 1.0727 1.1774 0.05% 1.48% 1.83%
04-22 1.0483 1.1901 0.05% 1.46% 1.81%
04-22 1.0791 1.1606 0.06% 1.33% 1.65%
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%
04-22 1.0642 1.3257 0.00% 0.41% 0.46%
04-22 1.0614 1.0721 0.00% 0.40% 0.45%
04-22 1.0123 1.2916 0.02% 0.70% 0.85%
04-22 1.0480 1.0480 0.02% 0.71% 0.88%
04-17 1.0194 1.1651 0.11% 0.28% 0.34%
04-17 1.0187 1.1555 0.12% 0.51% 0.56%
04-22 1.0748 1.3483 0.06% 1.11% 1.24%
04-22 1.0733 1.1988 0.06% 1.05% 1.18%
04-22 1.0037 1.1039 0.00% 0.31% 0.37%
04-22 1.0601 1.3173 0.02% 0.80% 0.94%
04-22 1.0173 1.0173 0.00% 0.31% 0.37%
04-22 1.0497 1.0747 0.02% 0.75% 0.88%
04-22 1.0597 1.0847 0.02% 0.80% 0.94%
04-17 1.0234 1.1727 0.04% 0.60% 0.71%
04-22 1.1044 1.1044 0.19% 0.12% 2.51%
04-22 1.0852 1.0852 0.19% 0.03% 2.39%
04-22 1.1107 1.5746 0.05% 1.24% 1.58%
04-22 1.1027 1.5342 0.05% 1.20% 1.52%
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
04-22 1.3631 1.3631 -0.29% -2.97% 0.01%
04-22 1.3327 1.3327 -0.29% -3.06% -0.10%
04-22 1.4661 1.4661 0.88% 1.08% 11.54%
04-22 1.4510 1.4510 0.88% 0.97% 11.40%
04-22 2.1381 2.1381 0.63% 2.25% 13.66%
04-22 2.0890 2.0890 0.63% 2.17% 13.54%
04-22 2.3947 2.5497 0.88% 4.82% 9.76%
04-22 2.3475 2.3475 0.88% 4.70% 9.60%
04-22 1.0624 1.0624 1.05% 6.24% 6.24%
04-22 1.0622 1.0622 1.05% 6.22% 6.22%
基金名称 净值日期 万份收益 七日年化收益率
04-22 0.2125 0.774%
04-22 0.2780 1.015%
04-22 0.2852 1.059%
04-22 0.3548 1.308%