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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
05-13 1.1721 1.1721 -0.63% -6.20% -8.67%
05-13 1.1458 1.1458 -0.63% -6.32% -8.84%
05-13 1.6750 1.6750 -1.00% -4.99% -4.78%
05-13 1.6210 1.6210 -1.04% -5.20% -5.04%
05-13 1.0644 1.1476 0.01% -0.02% 0.89%
05-13 1.0383 1.1158 0.01% -0.14% 0.70%
05-13 1.4867 1.4867 2.14% 14.42% 17.95%
05-13 1.4577 1.4577 2.14% 14.28% 17.74%
05-13 1.8990 2.5000 1.28% 5.68% 15.16%
05-13 1.8620 1.8620 1.20% 5.56% 14.94%
05-13 3.2310 4.4940 0.69% -1.91% 0.15%
05-13 3.1280 3.1280 0.68% -2.04% -0.03%
05-13 0.9869 0.9869 -0.03% -1.80% -1.44%
05-13 0.9733 0.9733 -0.03% -2.38% -2.05%
05-13 1.1058 1.1335 0.13% -0.25% 1.60%
05-13 1.0756 1.1014 0.12% -0.38% 1.41%
05-13 1.1908 1.2138 0.11% 0.84% 6.80%
05-13 1.1683 1.1903 0.11% 0.73% 6.64%
05-13 1.4814 1.7829 1.50% 7.71% 17.81%
05-13 1.4408 1.7323 1.50% 7.57% 17.60%
05-13 1.2744 1.2950 -0.45% -2.40% 11.24%
05-13 1.2451 1.2633 -0.46% -2.53% 11.03%
05-13 0.7043 0.7043 1.19% 3.71% 10.01%
05-13 0.6910 0.6910 1.17% 3.60% 9.84%
05-13 1.0646 1.0646 2.75% 30.75% 35.86%
05-13 1.0424 1.0424 2.76% 30.63% 35.68%
05-13 1.0747 1.0747 1.35% 5.62% 14.93%
05-13 1.0628 1.0628 1.34% 5.57% 14.85%
05-13 1.3064 1.5236 -0.38% -3.49% 8.47%
05-13 1.2738 1.4745 -0.38% -3.61% 8.28%
05-13 1.7525 1.8234 1.29% 12.17% 22.00%
05-13 1.7359 1.8040 1.29% 12.11% 21.91%
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
05-13 1.1527 1.1870 0.02% 0.67% 1.04%
05-13 1.1351 1.1689 0.02% 0.61% 0.96%
05-13 1.1800 1.1989 0.02% 0.67% 1.04%
05-13 1.9213 1.9213 0.67% 1.06% 8.43%
05-13 1.0728 1.1775 0.01% 0.93% 1.84%
05-13 1.0489 1.1907 0.02% 0.96% 1.86%
05-13 1.0779 1.1594 0.05% 0.82% 1.54%
05-13 1.0258 1.2431 0.04% 0.87% 1.37%
05-08 1.0458 1.0857 -0.03% 0.87% 1.32%
05-08 1.0393 1.0790 -0.04% 0.79% 1.21%
05-13 1.0647 1.3262 0.00% 0.16% 0.51%
05-13 1.0618 1.0725 0.00% 0.16% 0.49%
05-13 1.0139 1.2932 0.03% 0.74% 1.01%
05-13 1.0497 1.0497 0.04% 0.76% 1.04%
05-08 1.0199 1.1656 0.00% 0.17% 0.39%
05-08 1.0190 1.1558 0.00% 0.38% 0.59%
05-13 1.0750 1.3485 0.03% 0.85% 1.26%
05-13 1.0734 1.1989 0.03% 0.80% 1.19%
05-13 1.0044 1.1046 0.00% 0.31% 0.44%
05-13 1.0180 1.0180 0.00% 0.31% 0.43%
05-13 1.0616 1.3188 0.04% 0.71% 1.09%
05-13 1.0510 1.0760 0.04% 0.66% 1.01%
05-13 1.0612 1.0862 0.04% 0.71% 1.09%
05-08 1.0248 1.1741 0.05% 0.61% 0.85%
05-13 1.1205 1.1205 0.31% 1.45% 4.00%
05-13 1.1007 1.1007 0.31% 1.34% 3.85%
05-13 1.1125 1.5764 0.04% 1.06% 1.74%
05-13 1.1044 1.5359 0.05% 1.01% 1.67%
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
05-13 1.3814 1.3814 -0.30% -4.99% 1.35%
05-13 1.3503 1.3503 -0.30% -5.07% 1.21%
05-13 1.5696 1.5696 1.57% 8.89% 19.42%
05-13 1.5532 1.5532 1.58% 8.80% 19.25%
05-13 2.3221 2.3221 1.64% 11.19% 23.44%
05-13 2.2683 2.2683 1.64% 11.10% 23.28%
05-13 2.5383 2.6933 1.59% 10.71% 16.35%
05-13 2.4875 2.4875 1.59% 10.58% 16.14%
05-13 1.1599 1.1599 1.55% 15.99% 15.99%
05-13 1.1595 1.1595 1.55% 15.95% 15.95%
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基金名称 净值日期 万份收益 七日年化收益率
05-13 0.2283 0.841%
05-13 0.2950 1.084%
05-13 0.2729 1.027%
05-13 0.3465 1.274%