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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
03-11 1.2039 1.2039 -0.09% -7.94% -6.19%
03-11 1.1779 1.1779 -0.10% -8.06% -6.29%
03-11 1.7070 1.7070 -0.18% -4.48% -2.96%
03-11 1.6540 1.6540 -0.18% -4.67% -3.10%
03-11 1.0728 1.1560 0.30% 2.08% 1.69%
03-11 1.0474 1.1249 0.30% 1.95% 1.58%
03-11 1.3111 1.3111 -0.27% 6.91% 4.02%
03-11 1.2866 1.2866 -0.27% 6.77% 3.92%
03-11 1.8720 2.4730 0.32% 16.56% 13.52%
03-11 1.8370 1.8370 0.33% 16.41% 13.40%
03-11 3.2380 4.5010 0.12% 2.31% 0.37%
03-11 3.1370 3.1370 0.13% 2.18% 0.26%
03-11 0.9972 0.9972 -0.03% 0.17% -0.41%
03-11 0.9838 0.9838 -0.04% -0.43% -1.00%
03-11 1.1066 1.1343 -0.01% 1.98% 1.67%
03-11 1.0774 1.1032 -0.01% 1.86% 1.58%
03-11 1.1872 1.2102 -0.12% 6.70% 6.48%
03-11 1.1656 1.1876 -0.12% 6.58% 6.39%
03-11 1.4329 1.7344 0.32% 16.81% 13.96%
03-11 1.3949 1.6864 0.32% 16.67% 13.85%
03-11 1.2738 1.2944 0.24% 11.93% 11.19%
03-11 1.2456 1.2638 0.23% 11.79% 11.08%
03-11 0.6763 0.6763 0.34% 7.97% 5.64%
03-11 0.6640 0.6640 0.35% 7.86% 5.55%
03-11 0.8166 0.8166 -0.92% 7.59% 4.21%
03-11 0.8000 0.8000 -0.94% 7.47% 4.13%
03-11 1.0458 1.0458 0.31% 13.43% 11.84%
03-11 1.0346 1.0346 0.31% 13.38% 11.80%
03-11 1.2936 1.5108 -0.36% 4.78% 7.41%
03-11 1.2624 1.4631 -0.36% 4.66% 7.31%
03-11 1.5472 1.6181 -0.31% 11.82% 7.71%
03-11 1.5330 1.6011 -0.31% 11.76% 7.66%
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
03-11 1.1810 1.1810 0.01% 0.64% 0.52%
03-11 1.1634 1.1634 0.01% 0.57% 0.47%
03-11 1.1928 1.1928 0.01% 0.63% 0.52%
03-11 1.9127 1.9127 0.44% 10.53% 7.95%
03-11 1.0649 1.1696 0.00% 1.09% 1.09%
03-11 1.0408 1.1826 0.00% 1.09% 1.08%
03-11 1.0683 1.1498 -0.03% 0.60% 0.63%
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%
03-11 1.0635 1.3250 0.00% 0.43% 0.40%
03-11 1.0604 1.0711 -0.01% 0.38% 0.36%
03-11 1.0072 1.2865 0.01% 0.52% 0.34%
03-11 1.0426 1.0426 0.01% 0.52% 0.36%
03-06 1.0272 1.1661 0.02% 0.59% 0.44%
03-06 1.0231 1.1539 0.01% 0.54% 0.40%
03-11 1.0665 1.3400 -0.01% 0.55% 0.46%
03-11 1.0653 1.1908 -0.01% 0.49% 0.42%
03-11 1.0022 1.1024 0.00% 0.14% 0.22%
03-11 1.0551 1.3123 0.00% 0.56% 0.47%
03-11 1.0158 1.0158 0.00% 0.14% 0.22%
03-11 1.0450 1.0700 0.00% 0.52% 0.43%
03-11 1.0547 1.0797 0.00% 0.56% 0.47%
03-06 1.0206 1.1699 0.05% 0.68% 0.43%
03-11 1.1149 1.1149 0.09% 4.24% 3.48%
03-11 1.0960 1.0960 0.09% 4.13% 3.41%
03-11 1.1345 1.5653 0.00% 0.94% 0.75%
03-11 1.1266 1.5252 0.00% 0.89% 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
03-11 1.4073 1.4073 0.46% 0.90% 3.25%
03-11 1.3765 1.3765 0.46% 0.81% 3.18%
03-11 1.5049 1.5049 0.29% 17.96% 14.49%
03-11 1.4901 1.4901 0.29% 17.84% 14.40%
03-11 2.1696 2.1696 0.03% 19.74% 15.33%
03-11 2.1206 2.1206 0.03% 19.63% 15.26%
03-11 2.3721 2.5271 0.16% 11.81% 8.73%
03-11 2.3266 2.3266 0.15% 11.67% 8.62%
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基金名称 净值日期 万份收益 七日年化收益率
03-11 0.2359 0.857%
03-11 0.3021 1.100%
03-11 0.3321 1.165%
03-11 0.3979 1.400%