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
01-07 1.3286 1.3286 0.48% -5.63% 3.52%
01-07 1.3011 1.3011 0.49% -5.75% 3.52%
01-07 1.8590 1.8590 1.64% -6.49% 5.69%
01-07 1.8040 1.8040 1.63% -6.67% 5.68%
01-07 1.0604 1.1436 -0.07% 1.68% 0.51%
01-07 1.0363 1.1138 -0.07% 1.55% 0.50%
01-07 1.3050 1.3050 0.59% 1.52% 3.54%
01-07 1.2817 1.2817 0.58% 1.38% 3.52%
01-07 1.7140 2.3150 0.53% 0.82% 3.94%
01-07 1.6830 1.6830 0.48% 0.72% 3.89%
01-07 3.3030 4.5660 -0.21% 3.09% 2.39%
01-07 3.2030 3.2030 -0.22% 2.96% 2.36%
01-07 1.0010 1.0010 -0.17% 0.64% -0.03%
01-07 0.9933 0.9933 -0.17% 0.57% -0.04%
01-07 1.0935 1.1212 -0.05% 1.72% 0.47%
01-07 1.0655 1.0913 -0.05% 1.58% 0.46%
01-07 1.1243 1.1473 0.03% 3.12% 0.83%
01-07 1.1047 1.1267 0.03% 3.00% 0.83%
01-07 1.3081 1.6096 0.51% -1.74% 4.03%
01-07 1.2744 1.5659 0.50% -1.88% 4.02%
01-07 1.1892 1.2098 0.42% 11.84% 3.81%
01-07 1.1639 1.1821 0.41% 11.68% 3.79%
01-07 0.6924 0.6924 1.79% 3.78% 8.15%
01-07 0.6803 0.6803 1.80% 3.67% 8.14%
01-07 0.8163 0.8163 0.75% 3.15% 4.17%
01-07 0.8003 0.8003 0.76% 3.04% 4.17%
01-07 0.9655 0.9655 0.37% -3.35% 3.25%
01-07 0.9554 0.9554 0.37% -3.46% 3.24%
01-07 1.2463 1.4635 0.40% 6.06% 3.48%
01-07 1.2172 1.4179 0.40% 5.92% 3.47%
01-07 1.4951 1.5660 0.82% 1.66% 4.08%
01-07 1.4819 1.5500 0.82% 1.60% 4.07%
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
01-07 1.1752 1.1752 -0.01% 0.59% 0.03%
01-07 1.1583 1.1583 0.00% 0.53% 0.03%
01-07 1.1870 1.1870 0.00% 0.59% 0.03%
01-07 1.8311 1.8311 0.47% 1.56% 3.34%
01-07 1.0540 1.1587 -0.01% 0.72% 0.06%
01-07 1.0302 1.1720 -0.02% 0.70% 0.05%
01-07 1.0599 1.1414 -0.07% 0.25% -0.16%
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%
01-07 1.0572 1.3187 -0.05% 0.13% -0.20%
01-07 1.0545 1.0652 -0.06% 0.09% -0.20%
01-07 1.0038 1.2831 -0.01% 0.13% 0.00%
01-07 1.0390 1.0390 -0.01% 0.10% 0.01%
12-31 1.0227 1.1616 0.01% 0.42% 1.11%
12-31 1.0190 1.1498 0.01% 0.39% 0.96%
01-07 1.0605 1.3340 -0.03% 0.39% -0.10%
01-07 1.0597 1.1852 -0.03% 0.34% -0.10%
01-07 1.0001 1.1003 0.00% 0.33% 0.01%
01-07 1.0137 1.0137 0.00% 0.22% 0.01%
01-07 1.0495 1.3067 -0.01% 0.56% -0.07%
01-07 1.0398 1.0648 -0.01% 0.50% -0.07%
01-07 1.0492 1.0742 -0.01% 0.57% -0.06%
12-31 1.0162 1.1655 0.03% 0.83% 2.59%
01-07 1.0874 1.0874 0.12% 0.38% 0.93%
01-07 1.0697 1.0697 0.12% 0.28% 0.92%
01-07 1.1264 1.5572 0.00% 0.91% 0.03%
01-07 1.1189 1.5175 -0.01% 0.85% 0.02%
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
01-07 1.3722 1.3722 0.07% 2.91% 0.67%
01-07 1.3430 1.3430 0.07% 2.82% 0.67%
01-07 1.3669 1.3669 0.49% 2.55% 3.99%
01-07 1.3544 1.3544 0.49% 2.44% 3.98%
01-07 1.9719 1.9719 0.48% 3.33% 4.82%
01-07 1.9286 1.9286 0.49% 3.24% 4.82%
01-07 2.2377 2.3927 -0.07% 4.48% 2.57%
01-07 2.1966 2.1966 -0.08% 4.33% 2.55%
基金名称 净值日期 万份收益 七日年化收益率
01-07 0.2409 0.945%
01-07 0.3093 1.190%
01-07 0.3119 1.200%
01-07 0.3831 1.445%
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%