基金产品
  • 混合型
  • 债券型
  • 股票型
  • 货币型
  • FOF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
06-30 1.2871 1.2871 0.30% -4.73% -1.48%
06-30 2.9040 4.1670 0.69% -0.58% 8.36%
06-30 1.3109 1.3109 0.30% -4.59% -1.21%
06-30 2.8240 2.8240 0.68% -0.70% 8.08%
06-30 1.8030 1.8030 0.84% 10.82% 12.41%
06-30 1.7580 1.7580 0.92% 10.64% 11.97%
06-30 0.9894 0.9894 1.32% 0.62% 12.50%
06-30 0.9743 0.9743 1.31% 0.50% 12.22%
06-30 1.5210 2.1220 0.93% 0.80% 3.61%
06-30 1.4970 1.4970 0.94% 0.67% 3.38%
06-30 1.0468 1.1200 0.03% 0.77% 1.21%
06-30 1.0259 1.0934 0.02% 0.65% 0.95%
06-30 1.1500 1.2194 1.70% 1.44% 11.95%
06-30 1.1398 1.2079 1.70% 1.39% 11.84%
06-27 0.8930 0.8930 -0.26% -0.26% 3.26%
06-27 0.8851 0.8851 -0.26% -0.32% 3.16%
06-27 1.0976 1.2576 -0.87% 5.48% 13.48%
06-27 1.0701 1.2206 -0.88% 5.35% 13.19%
06-27 1.0581 1.0758 -0.08% 0.41% 0.69%
06-27 1.0341 1.0499 -0.07% 0.29% 0.45%
06-30 1.1939 1.4854 0.72% 2.10% 3.38%
06-30 1.1665 1.4480 0.71% 1.98% 3.12%
06-27 0.6095 0.6095 0.25% -5.85% -1.02%
06-27 0.5988 0.5988 0.23% -5.95% -1.22%
06-27 0.9546 0.9752 -0.23% -0.40% 2.93%
06-27 0.9368 0.9550 -0.23% -0.53% 2.69%
06-27 1.0554 1.0664 0.03% 0.26% 1.34%
06-27 1.0395 1.0495 0.02% 0.15% 1.14%
06-27 0.5411 0.5411 0.33% -4.04% -3.05%
06-27 0.5327 0.5327 0.32% -4.16% -3.23%
06-30 1.0037 1.0037 -0.03% 1.83% 1.06%
06-30 0.9973 0.9973 -0.04% 1.82% 0.99%
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
06-30 1.0448 1.3020 0.02% 0.96% 0.48%
06-30 1.0853 1.2797 0.00% 0.51% 0.45%
06-30 1.6588 1.6588 0.19% 0.42% 0.91%
06-30 1.0299 1.2247 0.02% 0.87% 0.84%
06-30 1.0668 1.1483 -0.01% 1.42% 1.06%
06-30 1.0362 1.0612 0.01% 0.92% 0.39%
06-27 1.0610 1.0698 -0.03% 2.15% 1.67%
06-30 1.0117 1.0983 -0.02% 1.05% 0.44%
06-27 1.0639 1.3269 0.00% 0.51% 0.95%
06-27 1.0392 1.1505 0.05% 0.61% 1.09%
06-30 1.0444 1.0694 0.01% 0.96% 0.47%
06-27 1.0569 1.0657 -0.02% 2.09% 1.56%
06-30 1.0607 1.3222 -0.06% 1.22% 0.57%
06-30 1.0591 1.0698 -0.06% 1.16% 0.47%
06-30 1.0789 1.3324 -0.03% 1.47% 1.74%
06-30 1.0793 1.1848 -0.03% 1.42% 1.94%
06-30 1.1654 1.1654 0.02% 0.88% 1.27%
06-30 1.1500 1.1500 0.01% 0.82% 1.13%
06-30 1.1771 1.1771 0.02% 0.88% 1.26%
06-30 1.0866 1.1603 -0.03% 1.25% 1.09%
06-30 1.0500 1.1738 -0.02% 1.23% 1.00%
06-27 1.0509 1.1588 0.01% 1.01% 0.83%
06-27 1.0481 1.1479 0.02% 0.97% 0.78%
06-30 1.1211 1.5519 0.01% 1.38% 1.25%
06-30 1.1149 1.5135 0.01% 1.34% 1.14%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
06-27 1.0684 1.0684 0.00% 1.00% 1.24%
06-27 1.0532 1.0532 0.00% 0.90% 1.05%
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
06-27 1.2234 1.2234 -0.23% 9.85% 16.20%
06-27 1.1996 1.1996 -0.22% 9.75% 15.99%
06-30 1.5606 1.5606 0.81% 1.48% 4.35%
06-30 1.5291 1.5291 0.80% 1.39% 4.18%
06-30 1.1168 1.1168 0.83% 4.40% 10.44%
06-30 1.1090 1.1090 0.84% 4.31% 10.23%
06-30 1.8376 1.9926 0.31% 2.29% 1.97%
06-30 1.8088 1.8088 0.30% 2.16% 1.72%
03-22 0.7277 0.7277 0.00% 4.57% 0.48%
03-22 0.7169 0.7169 0.00% 4.43% 0.38%
03-22 0.6945 0.6945 0.00% 3.46% 0.59%
03-22 0.6841 0.6841 0.00% 3.32% 0.48%
03-22 0.5740 0.5740 0.00% 2.70% -0.62%
03-22 0.5655 0.5655 0.00% 2.58% -0.74%
基金名称 净值日期 万份收益 七日年化收益率
06-30 0.2922 1.614%
06-30 0.3580 1.860%
06-30 0.4373 1.474%
06-30 0.5021 1.737%
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
06-26 1.0706 1.0706 0.00% 1.62% 2.37%