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
04-24 1.1904 1.1904 0.04% -9.16% -7.25%
04-24 1.1640 1.1640 0.04% -9.28% -7.39%
04-24 1.6900 1.6900 -0.41% -8.94% -3.92%
04-24 1.6360 1.6360 -0.43% -9.16% -4.16%
04-24 1.0658 1.1490 -0.13% 0.40% 1.02%
04-24 1.0400 1.1175 -0.13% 0.27% 0.86%
04-24 1.3558 1.3558 -0.86% -0.54% 7.57%
04-24 1.3297 1.3297 -0.86% -0.66% 7.40%
04-24 1.7700 2.3710 -0.56% -4.32% 7.34%
04-24 1.7360 1.7360 -0.57% -4.46% 7.16%
04-24 3.1620 4.4250 -0.19% -5.27% -1.98%
04-24 3.0620 3.0620 -0.20% -5.38% -2.14%
04-24 0.9918 0.9918 -0.10% -0.96% -0.95%
04-24 0.9783 0.9783 -0.09% -1.54% -1.55%
04-24 1.1057 1.1334 0.12% 0.24% 1.59%
04-24 1.0759 1.1017 0.12% 0.12% 1.44%
04-24 1.1864 1.2094 -0.09% 2.46% 6.40%
04-24 1.1643 1.1863 -0.09% 2.37% 6.27%
04-24 1.3546 1.6561 -0.57% -4.43% 7.73%
04-24 1.3178 1.6093 -0.57% -4.56% 7.56%
04-24 1.2936 1.3142 0.34% 4.92% 12.92%
04-24 1.2643 1.2825 0.34% 4.80% 12.74%
04-24 0.6679 0.6679 -0.51% -4.26% 4.33%
04-24 0.6555 0.6555 -0.50% -4.33% 4.20%
04-24 0.9253 0.9253 0.03% 10.39% 18.08%
04-24 0.9061 0.9061 0.03% 10.27% 17.94%
04-24 0.9913 0.9913 -0.53% -4.62% 6.01%
04-24 0.9804 0.9804 -0.53% -4.66% 5.94%
04-24 1.3139 1.5311 0.42% 1.39% 9.09%
04-24 1.2813 1.4820 0.41% 1.26% 8.92%
04-24 1.5857 1.6566 0.35% -2.41% 10.39%
04-24 1.5708 1.6389 0.34% -2.46% 10.32%
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
04-24 1.1514 1.1857 0.00% 0.73% 0.93%
04-24 1.1339 1.1677 0.00% 0.67% 0.85%
04-24 1.1786 1.1975 -0.01% 0.72% 0.92%
04-24 1.8346 1.8346 -0.55% -6.16% 3.54%
04-24 1.0726 1.1773 0.00% 1.43% 1.82%
04-24 1.0482 1.1900 0.01% 1.41% 1.80%
04-24 1.0772 1.1587 -0.10% 1.09% 1.47%
04-24 1.0241 1.2414 -0.02% 0.91% 1.20%
04-24 1.0460 1.0859 0.05% 0.99% 1.34%
04-24 1.0396 1.0793 0.05% 0.92% 1.24%
04-24 1.0643 1.3258 0.01% 0.35% 0.47%
04-24 1.0615 1.0722 0.01% 0.34% 0.46%
04-24 1.0124 1.2917 -0.02% 0.69% 0.86%
04-24 1.0481 1.0481 -0.02% 0.71% 0.89%
04-24 1.0196 1.1653 0.00% 0.22% 0.36%
04-24 1.0188 1.1556 0.00% 0.44% 0.57%
04-24 1.0735 1.3470 -0.06% 0.93% 1.12%
04-24 1.0720 1.1975 -0.06% 0.88% 1.06%
04-24 1.0038 1.1040 0.00% 0.32% 0.38%
04-24 1.0174 1.0174 0.00% 0.32% 0.37%
04-24 1.0600 1.3172 0.00% 0.75% 0.93%
04-24 1.0495 1.0745 0.00% 0.70% 0.86%
04-24 1.0596 1.0846 0.00% 0.75% 0.93%
04-24 1.0239 1.1732 0.05% 0.61% 0.76%
04-24 1.0982 1.0982 -0.15% -1.00% 1.93%
04-24 1.0791 1.0791 -0.15% -1.09% 1.81%
04-24 1.1101 1.5740 -0.03% 1.16% 1.52%
04-24 1.1021 1.5336 -0.03% 1.11% 1.46%
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
04-24 1.3563 1.3563 -0.29% -2.80% -0.49%
04-24 1.3261 1.3261 -0.28% -2.89% -0.60%
04-24 1.4350 1.4350 -0.47% -3.37% 9.18%
04-24 1.4203 1.4203 -0.47% -3.47% 9.04%
04-24 2.1251 2.1251 -0.17% -1.10% 12.97%
04-24 2.0762 2.0762 -0.17% -1.19% 12.84%
04-24 2.3764 2.5314 -0.23% 3.38% 8.92%
04-24 2.3294 2.3294 -0.23% 3.26% 8.75%
04-24 1.0607 1.0607 0.41% 6.07% 6.07%
04-24 1.0605 1.0605 0.41% 6.05% 6.05%
基金名称 净值日期 万份收益 七日年化收益率
04-24 0.2280 0.795%
04-24 0.2935 1.037%
04-24 0.3038 1.059%
04-24 0.3488 1.306%