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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
02-11 1.2775 1.2775 -0.38% -6.40% -0.46%
02-11 1.2505 1.2505 -0.37% -6.52% -0.51%
02-11 1.7980 1.7980 -0.55% -3.95% 2.22%
02-11 1.7440 1.7440 -0.51% -4.12% 2.17%
02-11 1.0707 1.1539 0.10% 0.82% 1.49%
02-11 1.0458 1.1233 0.11% 0.69% 1.43%
02-11 1.3024 1.3024 -0.73% 6.13% 3.33%
02-11 1.2785 1.2785 -0.74% 5.99% 3.26%
02-11 1.8120 2.4130 0.55% 6.78% 9.88%
02-11 1.7790 1.7790 0.57% 6.65% 9.81%
02-11 3.3340 4.5970 -0.21% 3.83% 3.35%
02-11 3.2320 3.2320 -0.19% 3.72% 3.29%
02-11 1.0086 1.0086 -0.05% -0.50% 0.73%
02-11 1.0006 1.0006 -0.05% -0.57% 0.69%
02-11 1.1093 1.1370 0.19% 1.77% 1.92%
02-11 1.0804 1.1062 0.19% 1.64% 1.87%
02-11 1.1811 1.2041 0.26% 5.48% 5.93%
02-11 1.1600 1.1820 0.27% 5.37% 5.88%
02-11 1.3876 1.6891 0.57% 5.88% 10.35%
02-11 1.3513 1.6428 0.57% 5.75% 10.29%
02-11 1.3168 1.3374 0.38% 13.33% 14.94%
02-11 1.2882 1.3064 0.38% 13.19% 14.87%
02-11 0.6810 0.6810 -0.21% 3.46% 6.37%
02-11 0.6689 0.6689 -0.19% 3.37% 6.33%
02-11 0.8087 0.8087 -0.49% 6.05% 3.20%
02-11 0.7925 0.7925 -0.50% 5.94% 3.15%
02-11 1.0264 1.0264 0.62% 3.66% 9.76%
02-11 1.0155 1.0155 0.61% 3.61% 9.74%
02-11 1.3586 1.5758 0.20% 7.30% 12.80%
02-11 1.3263 1.5270 0.20% 7.17% 12.74%
02-11 1.5531 1.6240 -0.27% 10.18% 8.12%
02-11 1.5391 1.6072 -0.27% 10.12% 8.09%
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
02-11 1.1789 1.1789 0.01% 0.51% 0.34%
02-11 1.1616 1.1616 0.01% 0.44% 0.32%
02-11 1.1907 1.1907 0.01% 0.51% 0.35%
02-11 1.9119 1.9119 0.31% 5.81% 7.90%
02-11 1.0621 1.1668 0.05% 0.62% 0.83%
02-11 1.0381 1.1799 0.05% 0.60% 0.82%
02-11 1.0685 1.1500 0.02% 0.34% 0.65%
02-10 1.0388 1.2336 0.02% 0.66% 0.44%
02-06 1.0678 1.0766 0.07% 0.53% 0.45%
02-06 1.0619 1.0707 0.07% 0.45% 0.42%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
02-11 1.0626 1.3241 0.00% 0.39% 0.31%
02-11 1.0597 1.0704 0.00% 0.33% 0.29%
02-11 1.0064 1.2857 0.03% 0.39% 0.26%
02-11 1.0417 1.0417 0.03% 0.39% 0.27%
02-06 1.0250 1.1639 0.02% 0.30% 0.22%
02-06 1.0211 1.1519 0.02% 0.27% 0.21%
02-11 1.0656 1.3391 0.01% 0.53% 0.38%
02-11 1.0646 1.1901 0.01% 0.47% 0.36%
02-11 1.0013 1.1015 0.01% 0.11% 0.13%
02-11 1.0539 1.3111 0.01% 0.47% 0.35%
02-11 1.0149 1.0149 0.01% 0.11% 0.13%
02-11 1.0439 1.0689 0.01% 0.41% 0.33%
02-11 1.0535 1.0785 0.01% 0.47% 0.35%
02-06 1.0186 1.1679 0.04% 0.87% 0.24%
02-11 1.1066 1.1066 0.14% 2.08% 2.71%
02-11 1.0881 1.0881 0.13% 1.99% 2.66%
02-11 1.1333 1.5641 0.05% 0.81% 0.64%
02-11 1.1256 1.5242 0.05% 0.76% 0.62%
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
02-11 1.4658 1.4658 0.75% 1.72% 7.54%
02-11 1.4341 1.4341 0.75% 1.63% 7.50%
02-11 1.4543 1.4543 0.59% 10.14% 10.64%
02-11 1.4405 1.4405 0.60% 10.03% 10.60%
02-11 2.1128 2.1128 0.91% 12.09% 12.31%
02-11 2.0657 2.0657 0.92% 12.00% 12.27%
02-11 2.3266 2.4816 0.45% 6.31% 6.64%
02-11 2.2829 2.2829 0.45% 6.18% 6.58%
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基金名称 净值日期 万份收益 七日年化收益率
02-11 0.2336 0.873%
02-11 0.2997 1.116%
02-11 0.3525 1.185%
02-11 0.4289 1.441%