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
01-12 1.3440 1.3440 0.49% -2.79% 4.72%
01-12 1.3160 1.3160 0.49% -2.92% 4.70%
01-12 1.9010 1.9010 -0.11% -1.35% 8.07%
01-12 1.8450 1.8450 -0.11% -1.55% 8.08%
01-12 1.0618 1.1450 0.18% 1.24% 0.64%
01-12 1.0375 1.1150 0.17% 1.11% 0.62%
01-12 1.3308 1.3308 1.74% 6.34% 5.59%
01-12 1.3070 1.3070 1.73% 6.21% 5.56%
01-12 1.7760 2.3770 1.08% 5.21% 7.70%
01-12 1.7440 1.7440 1.10% 5.12% 7.65%
01-12 3.3260 4.5890 0.54% 4.76% 3.10%
01-12 3.2250 3.2250 0.56% 4.61% 3.07%
01-12 1.0010 1.0010 0.14% 0.34% -0.03%
01-12 0.9932 0.9932 0.13% 0.27% -0.05%
01-12 1.0946 1.1223 0.08% 1.67% 0.57%
01-12 1.0665 1.0923 0.08% 1.54% 0.56%
01-12 1.1266 1.1496 0.13% 3.01% 1.04%
01-12 1.1068 1.1288 0.13% 2.90% 1.02%
01-12 1.3570 1.6585 1.13% 2.79% 7.92%
01-12 1.3220 1.6135 1.12% 2.65% 7.90%
01-12 1.1841 1.2047 0.07% 9.86% 3.36%
01-12 1.1588 1.1770 0.06% 9.72% 3.34%
01-12 0.7030 0.7030 1.81% 7.38% 9.81%
01-12 0.6907 0.6907 1.81% 7.28% 9.79%
01-12 0.8298 0.8298 1.31% 7.89% 5.90%
01-12 0.8135 0.8135 1.31% 7.78% 5.88%
01-12 0.9954 0.9954 0.97% 0.31% 6.45%
01-12 0.9850 0.9850 0.96% 0.21% 6.44%
01-12 1.2569 1.4741 0.69% 7.08% 4.36%
01-12 1.2274 1.4281 0.68% 6.94% 4.34%
01-12 1.5793 1.6502 2.46% 10.23% 9.94%
01-12 1.5653 1.6334 2.45% 10.17% 9.93%
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
01-12 1.1758 1.1758 0.02% 0.58% 0.08%
01-12 1.1588 1.1588 0.02% 0.52% 0.08%
01-12 1.1876 1.1876 0.02% 0.58% 0.08%
01-12 1.8914 1.8914 1.19% 4.89% 6.74%
01-12 1.0544 1.1591 0.04% 0.68% 0.09%
01-12 1.0306 1.1724 0.03% 0.67% 0.09%
01-12 1.0616 1.1431 0.07% 0.35% 0.00%
01-09 1.0351 1.2299 0.02% 0.72% 0.08%
01-09 1.0633 1.0721 0.03% 0.67% 0.03%
01-09 1.0577 1.0665 0.02% 0.61% 0.02%
01-03 1.0314 1.1252 0.00% 1.46% 0.00%
01-12 1.0587 1.3202 0.04% 0.23% -0.06%
01-12 1.0560 1.0667 0.04% 0.18% -0.06%
01-12 1.0039 1.2832 0.01% 0.13% 0.01%
01-12 1.0390 1.0390 0.01% 0.10% 0.01%
01-09 1.0228 1.1617 0.01% 0.39% 0.01%
01-09 1.0190 1.1498 0.01% 0.36% 0.00%
01-12 1.0617 1.3352 0.04% 0.47% 0.01%
01-12 1.0609 1.1864 0.04% 0.42% 0.01%
01-12 1.0003 1.1005 0.01% 0.30% 0.03%
01-12 1.0502 1.3074 0.02% 0.59% 0.00%
01-12 1.0139 1.0139 0.01% 0.24% 0.03%
01-12 1.0405 1.0655 0.02% 0.54% 0.00%
01-12 1.0498 1.0748 0.02% 0.58% 0.00%
01-09 1.0168 1.1661 0.06% 0.89% 0.06%
01-12 1.0972 1.0972 0.27% 1.39% 1.84%
01-12 1.0792 1.0792 0.26% 1.28% 1.82%
01-12 1.1273 1.5581 0.04% 0.89% 0.11%
01-12 1.1199 1.5185 0.04% 0.85% 0.11%
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
01-12 1.3732 1.3732 0.33% 1.59% 0.75%
01-12 1.3439 1.3439 0.32% 1.50% 0.73%
01-12 1.4182 1.4182 1.15% 7.88% 7.90%
01-12 1.4052 1.4052 1.15% 7.78% 7.88%
01-12 2.0209 2.0209 1.00% 6.51% 7.43%
01-12 1.9763 1.9763 0.99% 6.41% 7.41%
01-12 2.2567 2.4117 0.49% 4.92% 3.44%
01-12 2.2151 2.2151 0.49% 4.78% 3.42%
基金名称 净值日期 万份收益 七日年化收益率
01-12 0.2455 0.938%
01-12 0.3111 1.184%
01-12 0.3075 1.153%
01-12 0.3733 1.390%
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%