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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
02-25 1.2422 1.2422 0.46% -7.11% -3.21%
02-25 1.2156 1.2156 0.45% -7.23% -3.29%
02-25 1.7550 1.7550 0.52% -3.41% -0.23%
02-25 1.7020 1.7020 0.53% -3.57% -0.29%
02-25 1.0681 1.1513 0.07% 1.49% 1.24%
02-25 1.0431 1.1206 0.07% 1.36% 1.16%
02-25 1.3210 1.3210 0.67% 12.22% 4.81%
02-25 1.2966 1.2966 0.67% 12.09% 4.72%
02-25 1.8510 2.4520 1.82% 14.12% 12.25%
02-25 1.8180 1.8180 1.91% 14.12% 12.22%
02-25 3.3220 4.5850 0.36% 5.83% 2.98%
02-25 3.2190 3.2190 0.34% 5.71% 2.88%
02-25 1.0069 1.0069 0.04% 0.23% 0.56%
02-25 0.9988 0.9988 0.03% 0.16% 0.51%
02-25 1.1151 1.1428 0.04% 3.01% 2.45%
02-25 1.0858 1.1116 0.05% 2.87% 2.38%
02-25 1.1965 1.2195 0.09% 8.00% 7.31%
02-25 1.1750 1.1970 0.10% 7.89% 7.25%
02-25 1.4185 1.7200 1.92% 14.68% 12.81%
02-25 1.3811 1.6726 1.92% 14.54% 12.72%
02-25 1.3184 1.3390 0.02% 17.17% 15.08%
02-25 1.2895 1.3077 0.02% 17.01% 14.99%
02-25 0.6861 0.6861 0.59% 7.17% 7.17%
02-25 0.6737 0.6737 0.58% 7.06% 7.09%
02-25 0.8287 0.8287 0.86% 16.70% 5.76%
02-25 0.8121 0.8121 0.87% 16.60% 5.70%
02-25 1.0493 1.0493 1.83% 11.97% 12.21%
02-25 1.0381 1.0381 1.83% 11.91% 12.18%
02-25 1.3723 1.5895 -0.20% 11.28% 13.94%
02-25 1.3394 1.5401 -0.19% 11.15% 13.86%
02-25 1.5758 1.6467 0.55% 15.75% 9.70%
02-25 1.5615 1.6296 0.55% 15.69% 9.66%
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
02-25 1.1799 1.1799 0.00% 0.55% 0.43%
02-25 1.1624 1.1624 -0.01% 0.48% 0.39%
02-25 1.1917 1.1917 0.00% 0.54% 0.43%
02-25 1.9379 1.9379 0.86% 10.85% 9.37%
02-25 1.0638 1.1685 -0.01% 0.75% 0.99%
02-25 1.0398 1.1816 -0.01% 0.75% 0.98%
02-25 1.0691 1.1506 -0.07% 0.44% 0.71%
02-13 1.0394 1.2342 0.00% 0.68% 0.49%
02-13 1.0695 1.0783 0.16% 0.61% 0.61%
02-13 1.0636 1.0724 0.16% 0.55% 0.58%
02-25 1.0628 1.3243 -0.05% 0.39% 0.33%
02-25 1.0598 1.0705 -0.06% 0.33% 0.30%
02-25 1.0071 1.2864 0.00% 0.39% 0.33%
02-25 1.0424 1.0424 0.00% 0.39% 0.34%
02-13 1.0260 1.1649 0.01% 0.38% 0.32%
02-13 1.0221 1.1529 0.02% 0.34% 0.30%
02-25 1.0659 1.3394 -0.04% 0.48% 0.41%
02-25 1.0648 1.1903 -0.04% 0.44% 0.38%
02-25 1.0018 1.1020 0.01% 0.12% 0.18%
02-25 1.0154 1.0154 0.01% 0.12% 0.18%
02-25 1.0543 1.3115 -0.02% 0.44% 0.39%
02-25 1.0443 1.0693 -0.01% 0.38% 0.37%
02-25 1.0539 1.0789 -0.02% 0.43% 0.39%
02-13 1.0192 1.1685 0.06% 0.89% 0.30%
02-25 1.1124 1.1124 0.44% 3.70% 3.25%
02-25 1.0937 1.0937 0.44% 3.60% 3.19%
02-25 1.1338 1.5646 -0.06% 0.81% 0.68%
02-25 1.1260 1.5246 -0.06% 0.75% 0.65%
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
02-25 1.4798 1.4798 0.22% 4.54% 8.57%
02-25 1.4476 1.4476 0.21% 4.44% 8.51%
02-25 1.4894 1.4894 2.03% 17.09% 13.31%
02-25 1.4750 1.4750 2.02% 16.97% 13.24%
02-25 2.1635 2.1635 2.04% 18.94% 15.01%
02-25 2.1149 2.1149 2.05% 18.83% 14.95%
02-25 2.3477 2.5027 0.93% 10.84% 7.61%
02-25 2.3032 2.3032 0.93% 10.70% 7.53%
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基金名称 净值日期 万份收益 七日年化收益率
02-25 0.2339 0.895%
02-25 0.2989 1.137%
02-25 0.3117 1.166%
02-25 0.3809 1.411%