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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
05-15 1.1501 1.1501 -0.35% -7.96% -10.39%
05-15 1.1243 1.1243 -0.35% -8.08% -10.55%
05-15 1.6270 1.6270 -0.43% -7.71% -7.50%
05-15 1.5750 1.5750 -0.38% -7.89% -7.73%
05-15 1.0595 1.1427 -0.25% -0.48% 0.43%
05-15 1.0335 1.1110 -0.26% -0.61% 0.23%
05-15 1.4328 1.4328 -1.63% 10.27% 13.68%
05-15 1.4048 1.4048 -1.63% 10.14% 13.46%
05-15 1.8530 2.4540 -1.07% 3.12% 12.37%
05-15 1.8170 1.8170 -1.09% 3.00% 12.16%
05-15 3.1490 4.4120 -1.10% -4.40% -2.39%
05-15 3.0480 3.0480 -1.10% -4.54% -2.59%
05-15 0.9840 0.9840 -0.17% -2.09% -1.73%
05-15 0.9704 0.9704 -0.16% -2.67% -2.34%
05-15 1.1006 1.1283 -0.16% -0.72% 1.12%
05-15 1.0706 1.0964 -0.16% -0.84% 0.94%
05-15 1.1830 1.2060 -0.45% 0.18% 6.10%
05-15 1.1606 1.1826 -0.45% 0.07% 5.93%
05-15 1.4436 1.7451 -1.18% 4.96% 14.81%
05-15 1.4041 1.6956 -1.18% 4.83% 14.60%
05-15 1.2524 1.2730 -0.65% -4.09% 9.32%
05-15 1.2237 1.2419 -0.64% -4.20% 9.12%
05-15 0.6865 0.6865 -0.97% 1.09% 7.23%
05-15 0.6735 0.6735 -0.99% 0.97% 7.06%
05-15 1.0306 1.0306 -2.08% 26.58% 31.52%
05-15 1.0091 1.0091 -2.08% 26.45% 31.34%
05-15 1.0461 1.0461 -1.36% 2.81% 11.87%
05-15 1.0345 1.0345 -1.35% 2.76% 11.79%
05-15 1.2880 1.5052 -0.90% -4.85% 6.94%
05-15 1.2557 1.4564 -0.90% -4.98% 6.74%
05-15 1.7112 1.7821 -0.43% 9.52% 19.12%
05-15 1.6950 1.7631 -0.43% 9.47% 19.04%
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
05-15 1.1529 1.1872 0.02% 0.69% 1.06%
05-15 1.1352 1.1690 0.01% 0.62% 0.97%
05-15 1.1802 1.1991 0.01% 0.69% 1.06%
05-15 1.8639 1.8639 -1.30% -1.96% 5.19%
05-15 1.0733 1.1780 0.02% 0.98% 1.89%
05-15 1.0494 1.1912 0.03% 1.01% 1.91%
05-15 1.0777 1.1592 0.00% 0.80% 1.52%
05-15 1.0260 1.2433 0.02% 0.89% 1.39%
05-15 1.0468 1.0867 0.10% 0.80% 1.42%
05-15 1.0403 1.0800 0.10% 0.73% 1.31%
05-15 1.0647 1.3262 0.00% 0.16% 0.51%
05-15 1.0618 1.0725 0.00% 0.16% 0.49%
05-15 1.0142 1.2935 0.01% 0.77% 1.04%
05-15 1.0500 1.0500 0.01% 0.79% 1.07%
05-15 1.0200 1.1657 0.00% 0.08% 0.40%
05-15 1.0191 1.1559 0.00% 0.29% 0.60%
05-15 1.0746 1.3481 -0.02% 0.82% 1.22%
05-15 1.0730 1.1985 -0.02% 0.76% 1.15%
05-15 1.0045 1.1047 0.00% 0.32% 0.45%
05-15 1.0181 1.0181 0.00% 0.32% 0.44%
05-15 1.0616 1.3188 0.00% 0.71% 1.09%
05-15 1.0510 1.0760 0.00% 0.66% 1.01%
05-15 1.0612 1.0862 0.00% 0.71% 1.09%
05-15 1.0253 1.1746 0.05% 0.60% 0.90%
05-15 1.1141 1.1141 -0.26% 0.87% 3.41%
05-15 1.0944 1.0944 -0.26% 0.76% 3.26%
05-15 1.1129 1.5768 0.03% 1.10% 1.78%
05-15 1.1047 1.5362 0.03% 1.04% 1.70%
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
05-15 1.3600 1.3600 -1.03% -6.46% -0.22%
05-15 1.3294 1.3294 -1.03% -6.54% -0.35%
05-15 1.5260 1.5260 -1.26% 5.87% 16.10%
05-15 1.5100 1.5100 -1.26% 5.77% 15.93%
05-15 2.2324 2.2324 -1.97% 6.90% 18.67%
05-15 2.1807 2.1807 -1.96% 6.81% 18.52%
05-15 2.4632 2.6182 -1.04% 7.44% 12.90%
05-15 2.4139 2.4139 -1.04% 7.30% 12.70%
05-15 1.1178 1.1178 -1.50% 11.78% 11.78%
05-15 1.1175 1.1175 -1.49% 11.75% 11.75%
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基金名称 净值日期 万份收益 七日年化收益率
05-15 0.2297 0.842%
05-15 0.2954 1.084%
05-15 0.2865 1.071%
05-15 0.3467 1.315%