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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
03-10 1.2050 1.2050 1.58% -7.97% -6.11%
03-10 1.1791 1.1791 1.59% -8.08% -6.19%
03-10 1.7100 1.7100 1.54% -4.63% -2.79%
03-10 1.6570 1.6570 1.53% -4.82% -2.93%
03-10 1.0696 1.1528 0.12% 1.61% 1.38%
03-10 1.0443 1.1218 0.12% 1.48% 1.28%
03-10 1.3147 1.3147 2.73% 5.62% 4.31%
03-10 1.2901 1.2901 2.72% 5.49% 4.20%
03-10 1.8660 2.4670 2.25% 14.13% 13.16%
03-10 1.8310 1.8310 2.23% 14.01% 13.02%
03-10 3.2340 4.4970 1.76% 1.28% 0.25%
03-10 3.1330 3.1330 1.75% 1.16% 0.13%
03-10 0.9975 0.9975 -0.04% 0.05% -0.38%
03-10 0.9842 0.9842 -0.03% -0.55% -0.96%
03-10 1.1067 1.1344 0.47% 1.92% 1.68%
03-10 1.0775 1.1033 0.48% 1.79% 1.59%
03-10 1.1886 1.2116 0.80% 6.73% 6.60%
03-10 1.1670 1.1890 0.79% 6.60% 6.52%
03-10 1.4284 1.7299 2.28% 14.37% 13.60%
03-10 1.3905 1.6820 2.28% 14.23% 13.49%
03-10 1.2708 1.2914 1.33% 11.05% 10.93%
03-10 1.2427 1.2609 1.33% 10.92% 10.82%
03-10 0.6740 0.6740 1.57% 6.07% 5.28%
03-10 0.6617 0.6617 1.57% 5.96% 5.18%
03-10 0.8242 0.8242 3.15% 6.33% 5.18%
03-10 0.8076 0.8076 3.15% 6.25% 5.12%
03-10 1.0426 1.0426 1.78% 11.21% 11.50%
03-10 1.0314 1.0314 1.78% 11.15% 11.45%
03-10 1.2983 1.5155 1.80% 4.70% 7.80%
03-10 1.2670 1.4677 1.80% 4.58% 7.70%
03-10 1.5520 1.6229 2.59% 10.61% 8.04%
03-10 1.5378 1.6059 2.59% 10.55% 8.00%
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
03-10 1.1809 1.1809 0.01% 0.65% 0.51%
03-10 1.1633 1.1633 0.01% 0.58% 0.47%
03-10 1.1927 1.1927 0.01% 0.64% 0.51%
03-10 1.9043 1.9043 1.91% 9.04% 7.47%
03-10 1.0649 1.1696 0.00% 1.13% 1.09%
03-10 1.0408 1.1826 0.00% 1.12% 1.08%
03-10 1.0686 1.1501 0.00% 0.70% 0.66%
03-06 1.0407 1.2355 0.01% 0.89% 0.62%
03-06 1.0707 1.0795 0.16% 0.94% 0.72%
03-06 1.0646 1.0734 0.16% 0.88% 0.67%
03-10 1.0635 1.3250 0.01% 0.46% 0.40%
03-10 1.0605 1.0712 0.02% 0.42% 0.37%
03-10 1.0071 1.2864 -0.02% 0.52% 0.33%
03-10 1.0425 1.0425 -0.01% 0.53% 0.35%
03-06 1.0272 1.1661 0.02% 0.59% 0.44%
03-06 1.0231 1.1539 0.01% 0.54% 0.40%
03-10 1.0666 1.3401 0.02% 0.58% 0.47%
03-10 1.0654 1.1909 0.02% 0.53% 0.43%
03-10 1.0022 1.1024 0.00% 0.16% 0.22%
03-10 1.0551 1.3123 0.00% 0.58% 0.47%
03-10 1.0158 1.0158 0.00% 0.16% 0.22%
03-10 1.0450 1.0700 0.01% 0.54% 0.43%
03-10 1.0547 1.0797 0.00% 0.58% 0.47%
03-06 1.0206 1.1699 0.05% 0.68% 0.43%
03-10 1.1139 1.1139 0.56% 3.75% 3.39%
03-10 1.0950 1.0950 0.56% 3.65% 3.31%
03-10 1.1345 1.5653 0.02% 0.98% 0.75%
03-10 1.1266 1.5252 0.01% 0.93% 0.71%
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
03-10 1.4009 1.4009 -0.38% -0.21% 2.78%
03-10 1.3702 1.3702 -0.39% -0.31% 2.71%
03-10 1.5005 1.5005 2.29% 16.30% 14.16%
03-10 1.4858 1.4858 2.29% 16.19% 14.07%
03-10 2.1690 2.1690 1.70% 18.25% 15.30%
03-10 2.1200 2.1200 1.69% 18.15% 15.22%
03-10 2.3683 2.5233 1.62% 10.64% 8.55%
03-10 2.3230 2.3230 1.62% 10.51% 8.46%
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基金名称 净值日期 万份收益 七日年化收益率
03-10 0.2329 0.856%
03-10 0.2991 1.099%
03-10 0.3114 1.158%
03-10 0.3770 1.391%