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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
05-19 1.1403 1.1403 0.25% -8.75% -11.15%
05-19 1.1147 1.1147 0.25% -8.86% -11.31%
05-19 1.6130 1.6130 0.44% -8.51% -8.30%
05-19 1.5610 1.5610 0.45% -8.71% -8.55%
05-19 1.0613 1.1445 0.35% -0.31% 0.60%
05-19 1.0352 1.1127 0.35% -0.44% 0.40%
05-19 1.4343 1.4343 0.02% 10.39% 13.80%
05-19 1.4062 1.4062 0.02% 10.25% 13.58%
05-19 1.8830 2.4840 0.86% 4.79% 14.19%
05-19 1.8470 1.8470 0.87% 4.71% 14.01%
05-19 3.1490 4.4120 0.45% -4.40% -2.39%
05-19 3.0480 3.0480 0.43% -4.54% -2.59%
05-19 0.9846 0.9846 0.22% -2.03% -1.67%
05-19 0.9710 0.9710 0.22% -2.61% -2.28%
05-19 1.0985 1.1262 0.03% -0.91% 0.93%
05-19 1.0684 1.0942 0.02% -1.05% 0.74%
05-19 1.1797 1.2027 -0.14% -0.10% 5.80%
05-19 1.1574 1.1794 -0.13% -0.21% 5.64%
05-19 1.4713 1.7728 1.20% 6.97% 17.01%
05-19 1.4309 1.7224 1.20% 6.83% 16.79%
05-19 1.2341 1.2547 0.02% -5.49% 7.73%
05-19 1.2057 1.2239 0.02% -5.61% 7.52%
05-19 0.6936 0.6936 0.87% 2.14% 8.34%
05-19 0.6805 0.6805 0.87% 2.02% 8.17%
05-19 1.0494 1.0494 1.21% 28.89% 33.92%
05-19 1.0273 1.0273 1.20% 28.73% 33.71%
05-19 1.0613 1.0613 1.04% 4.30% 13.50%
05-19 1.0495 1.0495 1.04% 4.25% 13.41%
05-19 1.2795 1.4967 0.24% -5.48% 6.24%
05-19 1.2474 1.4481 0.23% -5.61% 6.04%
05-19 1.7525 1.8234 1.93% 12.17% 22.00%
05-19 1.7358 1.8039 1.93% 12.10% 21.90%
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
05-19 1.1533 1.1876 0.02% 0.72% 1.09%
05-19 1.1356 1.1694 0.02% 0.65% 1.00%
05-19 1.1807 1.1996 0.03% 0.73% 1.10%
05-19 1.9070 1.9070 2.20% 0.31% 7.62%
05-19 1.0740 1.1787 0.03% 1.04% 1.96%
05-19 1.0500 1.1918 0.02% 1.07% 1.97%
05-19 1.0794 1.1609 0.11% 0.96% 1.68%
05-19 1.0267 1.2440 0.04% 0.96% 1.46%
05-15 1.0468 1.0867 0.10% 0.80% 1.42%
05-15 1.0403 1.0800 0.10% 0.73% 1.31%
05-19 1.0648 1.3263 0.00% 0.17% 0.52%
05-19 1.0619 1.0726 0.00% 0.17% 0.50%
05-19 1.0156 1.2949 0.02% 0.90% 1.18%
05-19 1.0514 1.0514 0.03% 0.92% 1.20%
05-15 1.0200 1.1657 0.00% 0.08% 0.40%
05-15 1.0191 1.1559 0.00% 0.29% 0.60%
05-19 1.0760 1.3495 0.07% 0.95% 1.36%
05-19 1.0743 1.1998 0.07% 0.88% 1.27%
05-19 1.0046 1.1048 0.00% 0.33% 0.46%
05-19 1.0624 1.3196 0.04% 0.79% 1.16%
05-19 1.0182 1.0182 0.00% 0.33% 0.45%
05-19 1.0518 1.0768 0.04% 0.74% 1.09%
05-19 1.0620 1.0870 0.04% 0.79% 1.16%
05-15 1.0253 1.1746 0.05% 0.60% 0.90%
05-19 1.1193 1.1193 0.30% 1.34% 3.89%
05-19 1.0995 1.0995 0.30% 1.23% 3.74%
05-19 1.1137 1.5776 0.04% 1.17% 1.85%
05-19 1.1055 1.5370 0.04% 1.11% 1.77%
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
05-19 1.3431 1.3431 0.25% -7.62% -1.46%
05-19 1.3128 1.3128 0.24% -7.71% -1.60%
05-19 1.5590 1.5590 1.43% 8.16% 18.61%
05-19 1.5426 1.5426 1.43% 8.06% 18.43%
05-19 2.2758 2.2758 1.22% 8.97% 20.98%
05-19 2.2229 2.2229 1.22% 8.87% 20.82%
05-19 2.4820 2.6370 0.87% 8.26% 13.76%
05-19 2.4322 2.4322 0.88% 8.12% 13.55%
05-19 1.1318 1.1318 1.00% 13.18% 13.18%
05-19 1.1314 1.1314 1.00% 13.14% 13.14%
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基金名称 净值日期 万份收益 七日年化收益率
05-19 0.2292 0.841%
05-19 0.2942 1.083%
05-19 0.2796 1.069%
05-19 0.3457 1.313%