基金产品
| 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 |
|
|
01-08 |
1.3228 |
1.3228 |
-0.44% |
-6.04% |
3.07% |
|
|
01-08 |
1.2953 |
1.2953 |
-0.45% |
-6.17% |
3.06% |
|
|
01-08 |
1.8630 |
1.8630 |
0.22% |
-6.29% |
5.91% |
|
|
01-08 |
1.8080 |
1.8080 |
0.22% |
-6.47% |
5.92% |
|
|
01-08 |
1.0587 |
1.1419 |
-0.16% |
1.51% |
0.35% |
|
|
01-08 |
1.0346 |
1.1121 |
-0.16% |
1.38% |
0.34% |
|
|
01-08 |
1.2996 |
1.2996 |
-0.41% |
1.10% |
3.11% |
|
|
01-08 |
1.2764 |
1.2764 |
-0.41% |
0.97% |
3.09% |
|
|
01-08 |
1.7210 |
2.3220 |
0.41% |
1.24% |
4.37% |
|
|
01-08 |
1.6900 |
1.6900 |
0.42% |
1.14% |
4.32% |
|
|
01-08 |
3.2860 |
4.5490 |
-0.51% |
2.56% |
1.86% |
|
|
01-08 |
3.1860 |
3.1860 |
-0.53% |
2.41% |
1.82% |
|
|
01-08 |
0.9990 |
0.9990 |
-0.20% |
0.44% |
-0.23% |
|
|
01-08 |
0.9913 |
0.9913 |
-0.20% |
0.36% |
-0.24% |
|
|
01-08 |
1.0919 |
1.1196 |
-0.15% |
1.57% |
0.32% |
|
|
01-08 |
1.0639 |
1.0897 |
-0.15% |
1.43% |
0.31% |
|
|
01-08 |
1.1215 |
1.1445 |
-0.25% |
2.86% |
0.58% |
|
|
01-08 |
1.1019 |
1.1239 |
-0.25% |
2.74% |
0.58% |
|
|
01-08 |
1.3139 |
1.6154 |
0.44% |
-1.31% |
4.49% |
|
|
01-08 |
1.2801 |
1.5716 |
0.45% |
-1.44% |
4.48% |
|
|
01-08 |
1.1777 |
1.1983 |
-0.97% |
10.76% |
2.80% |
|
|
01-08 |
1.1527 |
1.1709 |
-0.96% |
10.60% |
2.79% |
|
|
01-08 |
0.6896 |
0.6896 |
-0.40% |
3.36% |
7.72% |
|
|
01-08 |
0.6775 |
0.6775 |
-0.41% |
3.25% |
7.69% |
|
|
01-08 |
0.8097 |
0.8097 |
-0.81% |
2.31% |
3.33% |
|
|
01-08 |
0.7938 |
0.7938 |
-0.81% |
2.20% |
3.32% |
|
|
01-08 |
0.9686 |
0.9686 |
0.32% |
-3.04% |
3.58% |
|
|
01-08 |
0.9585 |
0.9585 |
0.32% |
-3.14% |
3.58% |
|
|
01-08 |
1.2346 |
1.4518 |
-0.94% |
5.06% |
2.51% |
|
|
01-08 |
1.2058 |
1.4065 |
-0.94% |
4.93% |
2.50% |
|
|
01-08 |
1.5120 |
1.5829 |
1.13% |
2.81% |
5.26% |
|
|
01-08 |
1.4987 |
1.5668 |
1.13% |
2.76% |
5.25% |
| 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 |
|
|
01-08 |
1.1755 |
1.1755 |
0.03% |
0.62% |
0.05% |
|
|
01-08 |
1.1585 |
1.1585 |
0.02% |
0.55% |
0.05% |
|
|
01-08 |
1.1872 |
1.1872 |
0.02% |
0.61% |
0.05% |
|
|
01-08 |
1.8406 |
1.8406 |
0.52% |
2.09% |
3.88% |
|
|
01-08 |
1.0540 |
1.1587 |
0.00% |
0.72% |
0.06% |
|
|
01-08 |
1.0303 |
1.1721 |
0.01% |
0.71% |
0.06% |
|
|
01-08 |
1.0606 |
1.1421 |
0.07% |
0.31% |
-0.09% |
|
|
12-31 |
1.0343 |
1.2291 |
0.03% |
0.72% |
1.27% |
|
|
12-31 |
1.0630 |
1.0718 |
0.02% |
0.64% |
1.86% |
|
|
12-31 |
1.0575 |
1.0663 |
0.02% |
0.59% |
1.61% |
|
|
01-03 |
1.0314 |
1.1252 |
0.00% |
1.46% |
0.00% |
|
|
01-08 |
1.0580 |
1.3195 |
0.08% |
0.21% |
-0.12% |
|
|
01-08 |
1.0553 |
1.0660 |
0.08% |
0.16% |
-0.12% |
|
|
01-08 |
1.0038 |
1.2831 |
0.00% |
0.13% |
0.00% |
|
|
01-08 |
1.0389 |
1.0389 |
-0.01% |
0.09% |
0.00% |
|
|
12-31 |
1.0227 |
1.1616 |
0.01% |
0.42% |
1.11% |
|
|
12-31 |
1.0190 |
1.1498 |
0.01% |
0.39% |
0.96% |
|
|
01-08 |
1.0610 |
1.3345 |
0.05% |
0.44% |
-0.06% |
|
|
01-08 |
1.0602 |
1.1857 |
0.05% |
0.38% |
-0.06% |
|
|
01-08 |
1.0002 |
1.1004 |
0.01% |
0.34% |
0.02% |
|
|
01-08 |
1.0499 |
1.3071 |
0.04% |
0.59% |
-0.03% |
|
|
01-08 |
1.0138 |
1.0138 |
0.01% |
0.23% |
0.02% |
|
|
01-08 |
1.0402 |
1.0652 |
0.04% |
0.54% |
-0.03% |
|
|
01-08 |
1.0495 |
1.0745 |
0.03% |
0.59% |
-0.03% |
|
|
12-31 |
1.0162 |
1.1655 |
0.03% |
0.83% |
2.59% |
|
|
01-08 |
1.0887 |
1.0887 |
0.12% |
0.50% |
1.05% |
|
|
01-08 |
1.0709 |
1.0709 |
0.11% |
0.39% |
1.04% |
|
|
01-08 |
1.1267 |
1.5575 |
0.03% |
0.94% |
0.05% |
|
|
01-08 |
1.1193 |
1.5179 |
0.04% |
0.88% |
0.05% |
| 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 |
|
|
01-08 |
1.3654 |
1.3654 |
-0.50% |
2.40% |
0.18% |
|
|
01-08 |
1.3363 |
1.3363 |
-0.50% |
2.30% |
0.16% |
|
|
01-08 |
1.3726 |
1.3726 |
0.42% |
2.98% |
4.43% |
|
|
01-08 |
1.3601 |
1.3601 |
0.42% |
2.87% |
4.42% |
|
|
01-08 |
1.9604 |
1.9604 |
-0.58% |
2.73% |
4.21% |
|
|
01-08 |
1.9172 |
1.9172 |
-0.59% |
2.63% |
4.20% |
|
|
01-08 |
2.2266 |
2.3816 |
-0.50% |
3.96% |
2.06% |
|
|
01-08 |
2.1858 |
2.1858 |
-0.49% |
3.81% |
2.05% |
| 基金名称 |
净值日期 |
万份收益 |
七日年化收益率 |
|
|
01-08 |
0.2463 |
0.931% |
|
|
01-08 |
0.3125 |
1.176% |
|
|
01-08 |
0.3198 |
1.191% |
|
|
01-08 |
0.3856 |
1.437% |
| 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 |
|
|
07-23 |
1.0729 |
1.0729 |
-0.04% |
1.05% |
2.59% |