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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
03-04 1.1709 1.1709 -1.26% -11.68% -8.77%
03-04 1.1457 1.1457 -1.28% -11.79% -8.85%
03-04 1.6540 1.6540 -1.02% -7.70% -5.97%
03-04 1.6040 1.6040 -0.93% -7.82% -6.03%
03-04 1.0670 1.1502 -0.36% 1.06% 1.14%
03-04 1.0419 1.1194 -0.36% 0.94% 1.05%
03-04 1.2558 1.2558 -0.83% 4.27% -0.36%
03-04 1.2325 1.2325 -0.83% 4.14% -0.45%
03-04 1.7970 2.3980 -0.99% 11.75% 8.98%
03-04 1.7630 1.7630 -1.01% 11.58% 8.83%
03-04 3.1650 4.4280 -0.88% -0.25% -1.89%
03-04 3.0670 3.0670 -0.87% -0.36% -1.98%
03-04 0.9984 0.9984 -0.70% -0.47% -0.29%
03-04 0.9851 0.9851 -1.22% -1.05% -0.87%
03-04 1.1027 1.1304 -0.24% 1.44% 1.31%
03-04 1.0737 1.0995 -0.24% 1.31% 1.24%
03-04 1.1816 1.2046 -0.37% 5.99% 5.97%
03-04 1.1602 1.1822 -0.37% 5.88% 5.90%
03-04 1.3745 1.6760 -0.99% 12.17% 9.31%
03-04 1.3382 1.6297 -0.98% 12.03% 9.22%
03-04 1.2585 1.2791 -1.22% 9.79% 9.86%
03-04 1.2308 1.2490 -1.23% 9.66% 9.76%
03-04 0.6538 0.6538 -1.06% 4.62% 2.12%
03-04 0.6420 0.6420 -1.05% 4.54% 2.05%
03-04 0.8016 0.8016 -0.77% 8.50% 2.30%
03-04 0.7855 0.7855 -0.76% 8.40% 2.24%
03-04 1.0100 1.0100 -1.11% 8.67% 8.01%
03-04 0.9992 0.9992 -1.10% 8.62% 7.97%
03-04 1.2819 1.4991 -1.28% 2.68% 6.43%
03-04 1.2511 1.4518 -1.28% 2.56% 6.35%
03-04 1.4956 1.5665 -0.57% 8.87% 4.11%
03-04 1.4820 1.5501 -0.57% 8.81% 4.08%
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
03-04 1.1807 1.1807 0.03% 0.66% 0.49%
03-04 1.1632 1.1632 0.03% 0.60% 0.46%
03-04 1.1925 1.1925 0.03% 0.65% 0.50%
03-04 1.8556 1.8556 -0.62% 7.86% 4.72%
03-04 1.0647 1.1694 0.02% 1.05% 1.07%
03-04 1.0406 1.1824 0.02% 1.04% 1.06%
03-04 1.0700 1.1515 0.04% 0.94% 0.79%
02-27 1.0395 1.2343 0.02% 0.75% 0.50%
02-27 1.0690 1.0778 -0.05% 0.55% 0.56%
02-27 1.0629 1.0717 -0.07% 0.48% 0.51%
03-04 1.0643 1.3258 0.07% 0.66% 0.47%
03-04 1.0613 1.0720 0.07% 0.62% 0.44%
03-04 1.0071 1.2864 0.02% 0.46% 0.33%
03-04 1.0424 1.0424 0.02% 0.45% 0.34%
02-27 1.0263 1.1652 0.01% 0.47% 0.35%
02-27 1.0223 1.1531 0.01% 0.43% 0.32%
03-04 1.0670 1.3405 0.06% 0.73% 0.51%
03-04 1.0659 1.1914 0.06% 0.68% 0.48%
03-04 1.0021 1.1023 0.01% 0.23% 0.21%
03-04 1.0553 1.3125 0.04% 0.65% 0.49%
03-04 1.0157 1.0157 0.01% 0.23% 0.21%
03-04 1.0452 1.0702 0.04% 0.60% 0.45%
03-04 1.0549 1.0799 0.03% 0.65% 0.49%
02-27 1.0201 1.1694 0.09% 0.79% 0.38%
03-04 1.1044 1.1044 -0.23% 3.22% 2.51%
03-04 1.0857 1.0857 -0.24% 3.12% 2.43%
03-04 1.1348 1.5656 0.04% 1.05% 0.77%
03-04 1.1269 1.5255 0.04% 0.99% 0.73%
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
03-04 1.4141 1.4141 -1.06% -1.10% 3.75%
03-04 1.3832 1.3832 -1.06% -1.19% 3.68%
03-04 1.4438 1.4438 -1.02% 13.81% 9.84%
03-04 1.4297 1.4297 -1.03% 13.69% 9.77%
03-04 2.1229 2.1229 -0.25% 16.61% 12.85%
03-04 2.0750 2.0750 -0.25% 16.51% 12.78%
03-04 2.3232 2.4782 -0.40% 9.28% 6.49%
03-04 2.2789 2.2789 -0.40% 9.15% 6.40%
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基金名称 净值日期 万份收益 七日年化收益率
03-04 0.2341 0.859%
03-04 0.2998 1.100%
03-04 0.3190 1.169%
03-04 0.3811 1.407%