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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
04-14 1.2085 1.2085 0.81% -10.05% -5.84%
04-14 1.1819 1.1819 0.81% -10.16% -5.97%
04-14 1.7310 1.7310 0.93% -9.66% -1.59%
04-14 1.6760 1.6760 0.90% -9.84% -1.82%
04-14 1.0629 1.1461 0.16% 0.28% 0.75%
04-14 1.0374 1.1149 0.17% 0.17% 0.61%
04-14 1.3175 1.3175 1.74% 0.29% 4.53%
04-14 1.2923 1.2923 1.74% 0.17% 4.38%
04-14 1.7560 2.3570 0.86% -0.34% 6.49%
04-14 1.7230 1.7230 0.88% -0.46% 6.36%
04-14 3.1410 4.4040 0.61% -5.31% -2.63%
04-14 3.0420 3.0420 0.60% -5.44% -2.78%
04-14 0.9928 0.9928 0.10% -0.54% -0.85%
04-14 0.9793 0.9793 0.11% -1.13% -1.45%
04-14 1.1005 1.1282 -0.08% 0.63% 1.11%
04-14 1.0710 1.0968 -0.07% 0.51% 0.98%
04-14 1.1807 1.2037 -0.25% 4.88% 5.89%
04-14 1.1588 1.1808 -0.25% 4.76% 5.77%
04-14 1.3445 1.6460 0.91% -0.06% 6.93%
04-14 1.3082 1.5997 0.91% -0.18% 6.77%
04-14 1.2860 1.3066 -0.30% 8.85% 12.26%
04-14 1.2570 1.2752 -0.30% 8.72% 12.09%
04-14 0.6607 0.6607 1.23% -5.00% 3.20%
04-14 0.6484 0.6484 1.22% -5.11% 3.07%
04-14 0.8535 0.8535 1.79% 2.79% 8.92%
04-14 0.8359 0.8359 1.79% 2.69% 8.80%
04-14 0.9853 0.9853 0.83% -0.28% 5.37%
04-14 0.9745 0.9745 0.83% -0.34% 5.31%
04-14 1.3032 1.5204 0.04% 3.03% 8.20%
04-14 1.2711 1.4718 0.04% 2.91% 8.05%
04-14 1.5617 1.6326 1.27% -0.38% 8.72%
04-14 1.5471 1.6152 1.27% -0.43% 8.65%
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
04-14 1.1505 1.1848 0.01% 0.75% 0.85%
04-14 1.1331 1.1669 0.01% 0.69% 0.78%
04-14 1.1777 1.1966 0.01% 0.74% 0.85%
04-14 1.8020 1.8020 1.19% -3.77% 1.70%
04-14 1.0711 1.1758 0.03% 1.55% 1.68%
04-14 1.0468 1.1886 0.03% 1.54% 1.66%
04-14 1.0760 1.1575 0.04% 1.32% 1.36%
04-10 1.0226 1.2399 0.01% 0.97% 1.05%
04-10 1.0443 1.0842 0.15% 1.15% 1.18%
04-10 1.0380 1.0777 0.14% 1.07% 1.09%
04-14 1.0640 1.3255 0.01% 0.48% 0.44%
04-14 1.0611 1.0718 0.00% 0.46% 0.43%
04-14 1.0116 1.2909 -0.01% 0.74% 0.78%
04-14 1.0472 1.0472 -0.02% 0.75% 0.80%
04-10 1.0192 1.1649 -0.01% 0.31% 0.32%
04-10 1.0184 1.1552 -0.01% 0.53% 0.53%
04-14 1.0718 1.3453 0.03% 0.93% 0.96%
04-14 1.0704 1.1959 0.03% 0.88% 0.90%
04-14 1.0034 1.1036 0.01% 0.31% 0.34%
04-14 1.0587 1.3159 0.00% 0.78% 0.81%
04-14 1.0170 1.0170 0.01% 0.31% 0.34%
04-14 1.0483 1.0733 0.00% 0.72% 0.75%
04-14 1.0583 1.0833 0.00% 0.77% 0.81%
04-10 1.0230 1.1723 0.05% 0.61% 0.67%
04-14 1.0969 1.0969 0.21% 0.17% 1.81%
04-14 1.0779 1.0779 0.21% 0.07% 1.70%
04-14 1.1417 1.5725 0.03% 1.22% 1.39%
04-14 1.1336 1.5322 0.04% 1.17% 1.33%
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
04-14 1.3647 1.3647 0.35% -0.56% 0.12%
04-14 1.3343 1.3343 0.35% -0.66% 0.01%
04-14 1.4215 1.4215 0.94% 1.12% 8.15%
04-14 1.4071 1.4071 0.95% 1.03% 8.03%
04-14 2.0745 2.0745 1.06% 2.95% 10.28%
04-14 2.0269 2.0269 1.05% 2.85% 10.16%
04-14 2.3290 2.4840 0.87% 3.64% 6.75%
04-14 2.2832 2.2832 0.87% 3.51% 6.60%
04-10 1.0135 1.0135 2.67% 1.35% 1.35%
04-10 1.0133 1.0133 2.66% 1.33% 1.33%
基金名称 净值日期 万份收益 七日年化收益率
04-14 0.2371 0.871%
04-14 0.3020 1.112%
04-14 0.2922 1.095%
04-14 0.3582 1.343%