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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
05-06 1.1884 1.1884 0.34% -6.00% -7.40%
05-06 1.1619 1.1619 0.33% -6.11% -7.56%
05-06 1.6980 1.6980 0.53% -4.55% -3.47%
05-06 1.6440 1.6440 0.55% -4.70% -3.69%
05-06 1.0637 1.1469 0.04% -0.34% 0.82%
05-06 1.0378 1.1153 0.03% -0.46% 0.65%
05-06 1.4079 1.4079 2.32% 10.35% 11.70%
05-06 1.3805 1.3805 2.31% 10.20% 11.50%
05-06 1.8130 2.4140 1.34% 3.01% 9.95%
05-06 1.7790 1.7790 1.37% 2.95% 9.81%
05-06 3.1960 4.4590 0.88% -3.24% -0.93%
05-06 3.0940 3.0940 0.88% -3.37% -1.12%
05-06 0.9887 0.9887 -0.07% -1.55% -1.26%
05-06 0.9751 0.9751 -0.07% -2.14% -1.87%
05-06 1.1062 1.1339 0.34% 0.41% 1.64%
05-06 1.0762 1.1020 0.34% 0.29% 1.47%
05-06 1.1859 1.2089 0.36% 1.75% 6.36%
05-06 1.1636 1.1856 0.36% 1.65% 6.21%
05-06 1.3979 1.6994 1.80% 3.83% 11.17%
05-06 1.3597 1.6512 1.79% 3.71% 10.98%
05-06 1.2853 1.3059 0.48% -0.44% 12.19%
05-06 1.2559 1.2741 0.47% -0.56% 11.99%
05-06 0.6807 0.6807 1.22% 2.42% 6.33%
05-06 0.6680 0.6680 1.21% 2.34% 6.18%
05-06 0.9845 0.9845 4.39% 25.05% 25.64%
05-06 0.9640 0.9640 4.39% 24.94% 25.47%
05-06 1.0216 1.0216 1.76% 2.52% 9.25%
05-06 1.0103 1.0103 1.76% 2.47% 9.17%
05-06 1.3131 1.5303 1.18% -0.79% 9.03%
05-06 1.2804 1.4811 1.17% -0.91% 8.84%
05-06 1.6896 1.7605 2.77% 11.06% 17.62%
05-06 1.6736 1.7417 2.76% 11.00% 17.54%
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
05-06 1.1518 1.1861 0.00% 0.67% 0.96%
05-06 1.1343 1.1681 0.00% 0.62% 0.89%
05-06 1.1791 1.1980 0.00% 0.67% 0.97%
05-06 1.8867 1.8867 2.09% 0.74% 6.48%
05-06 1.0726 1.1773 -0.02% 1.14% 1.82%
05-06 1.0487 1.1905 -0.02% 1.18% 1.85%
05-06 1.0760 1.1575 -0.09% 0.81% 1.36%
04-30 1.0245 1.2418 -0.01% 0.94% 1.24%
04-30 1.0461 1.0860 0.01% 0.97% 1.35%
04-30 1.0397 1.0794 0.01% 0.90% 1.25%
05-06 1.0646 1.3261 0.02% 0.23% 0.50%
05-06 1.0617 1.0724 0.01% 0.22% 0.48%
05-06 1.0130 1.2923 0.01% 0.72% 0.92%
05-06 1.0487 1.0487 0.02% 0.73% 0.94%
04-30 1.0197 1.1654 0.00% 0.19% 0.37%
04-30 1.0189 1.1557 0.00% 0.42% 0.58%
05-06 1.0732 1.3467 -0.08% 0.77% 1.09%
05-06 1.0716 1.1971 -0.09% 0.71% 1.02%
05-06 1.0042 1.1044 0.02% 0.31% 0.42%
05-06 1.0602 1.3174 -0.01% 0.64% 0.95%
05-06 1.0178 1.0178 0.02% 0.31% 0.41%
05-06 1.0497 1.0747 -0.01% 0.59% 0.88%
05-06 1.0598 1.0848 -0.01% 0.64% 0.95%
04-30 1.0243 1.1736 0.04% 0.60% 0.80%
05-06 1.1056 1.1056 0.36% 0.77% 2.62%
05-06 1.0862 1.0862 0.36% 0.67% 2.48%
05-06 1.1104 1.5743 -0.04% 1.07% 1.55%
05-06 1.1023 1.5338 -0.04% 1.02% 1.48%
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
05-06 1.3797 1.3797 1.36% -4.10% 1.23%
05-06 1.3487 1.3487 1.35% -4.19% 1.09%
05-06 1.4809 1.4809 1.87% 5.00% 12.67%
05-06 1.4655 1.4655 1.86% 4.90% 12.51%
05-06 2.1845 2.1845 2.05% 6.28% 16.12%
05-06 2.1340 2.1340 2.05% 6.19% 15.98%
05-06 2.4553 2.6103 2.07% 7.96% 12.54%
05-06 2.4064 2.4064 2.07% 7.83% 12.35%
05-06 1.1049 1.1049 2.36% 10.49% 10.49%
05-06 1.1046 1.1046 2.35% 10.46% 10.46%
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基金名称 净值日期 万份收益 七日年化收益率
05-06 0.2302 0.844%
05-06 0.2956 1.086%
05-06 0.2881 1.060%
05-06 0.3536 1.302%