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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
03-26 1.1395 1.1395 -1.46% -12.67% -11.21%
03-26 1.1147 1.1147 -1.46% -12.78% -11.31%
03-26 1.6020 1.6020 -1.23% -10.25% -8.93%
03-26 1.5520 1.5520 -1.27% -10.39% -9.08%
03-26 1.0638 1.1470 -0.07% 0.42% 0.83%
03-26 1.0385 1.1160 -0.07% 0.29% 0.72%
03-26 1.2262 1.2262 -2.11% -3.59% -2.71%
03-26 1.2031 1.2031 -2.10% -3.70% -2.83%
03-26 1.7010 2.3020 -1.28% 3.09% 3.15%
03-26 1.6700 1.6700 -1.24% 3.02% 3.09%
03-26 3.0500 4.3130 -0.94% -5.95% -5.46%
03-26 2.9550 2.9550 -0.94% -6.07% -5.56%
03-26 0.9940 0.9940 -0.07% -0.80% -0.73%
03-26 0.9806 0.9806 -0.07% -1.39% -1.32%
03-26 1.0904 1.1181 -0.23% 0.07% 0.18%
03-26 1.0613 1.0871 -0.24% -0.06% 0.07%
03-26 1.1650 1.1880 -0.27% 4.21% 4.48%
03-26 1.1437 1.1657 -0.27% 4.11% 4.39%
03-26 1.2969 1.5984 -1.26% 3.03% 3.14%
03-26 1.2622 1.5537 -1.26% 2.90% 3.02%
03-26 1.2257 1.2463 -0.96% 6.31% 6.99%
03-26 1.1984 1.2166 -0.97% 6.18% 6.87%
03-26 0.6262 0.6262 -1.18% -3.15% -2.19%
03-26 0.6148 0.6148 -1.17% -3.23% -2.27%
03-26 0.7534 0.7534 -2.30% -4.52% -3.85%
03-26 0.7380 0.7380 -2.29% -4.63% -3.94%
03-26 0.9524 0.9524 -1.28% 1.71% 1.85%
03-26 0.9421 0.9421 -1.28% 1.66% 1.80%
03-26 1.2470 1.4642 -1.73% 2.42% 3.54%
03-26 1.2166 1.4173 -1.73% 2.30% 3.42%
03-26 1.4509 1.5218 -1.33% 1.05% 1.00%
03-26 1.4375 1.5056 -1.33% 1.00% 0.96%
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
03-26 1.1483 1.1826 0.02% 0.67% 0.65%
03-26 1.1311 1.1649 0.02% 0.61% 0.60%
03-26 1.1755 1.1944 0.02% 0.68% 0.66%
03-26 1.7506 1.7506 -1.54% -1.71% -1.20%
03-26 1.0675 1.1722 0.04% 1.29% 1.34%
03-26 1.0433 1.1851 0.04% 1.27% 1.32%
03-26 1.0708 1.1523 0.02% 0.75% 0.87%
03-20 1.0194 1.2367 0.01% 0.83% 0.74%
03-20 1.0710 1.0798 0.09% 0.84% 0.75%
03-20 1.0648 1.0736 0.08% 0.78% 0.69%
03-26 1.0635 1.3250 0.00% 0.34% 0.40%
03-26 1.0608 1.0715 0.00% 0.33% 0.40%
03-26 1.0091 1.2884 0.02% 0.55% 0.53%
03-26 1.0446 1.0446 0.03% 0.56% 0.55%
03-26 1.0210 1.1667 0.01% 0.48% 0.50%
03-26 1.0176 1.1544 0.00% 0.43% 0.45%
03-26 1.0681 1.3416 0.00% 0.56% 0.61%
03-26 1.0669 1.1924 0.01% 0.52% 0.58%
03-26 1.0028 1.1030 0.01% 0.20% 0.28%
03-26 1.0164 1.0164 0.01% 0.20% 0.28%
03-26 1.0569 1.3141 0.01% 0.61% 0.64%
03-26 1.0467 1.0717 0.01% 0.57% 0.60%
03-26 1.0565 1.0815 0.01% 0.61% 0.64%
03-20 1.0216 1.1709 0.06% 0.60% 0.53%
03-26 1.0883 1.0883 -0.35% 0.99% 1.01%
03-26 1.0697 1.0697 -0.34% 0.91% 0.92%
03-26 1.1370 1.5678 0.04% 0.99% 0.97%
03-26 1.1290 1.5276 0.04% 0.94% 0.92%
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
03-26 1.3403 1.3403 -1.39% -3.09% -1.67%
03-26 1.3107 1.3107 -1.40% -3.18% -1.75%
03-26 1.3692 1.3692 -1.23% 4.18% 4.17%
03-26 1.3556 1.3556 -1.22% 4.08% 4.08%
03-26 2.0119 2.0119 -1.02% 6.71% 6.95%
03-26 1.9662 1.9662 -1.02% 6.62% 6.86%
03-26 2.2539 2.4089 -0.74% 3.35% 3.31%
03-26 2.2102 2.2102 -0.74% 3.22% 3.19%
03-20 1.0000 1.0000 0.00% 0.00% 0.00%
03-20 0.9999 0.9999 -0.01% -0.01% -0.01%
基金名称 净值日期 万份收益 七日年化收益率
03-26 0.2400 0.865%
03-26 0.3053 1.107%
03-26 0.2870 1.310%
03-26 0.3789 1.558%