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 |
|
|
01-14 |
1.3435 |
1.3435 |
-0.04% |
-0.64% |
4.68% |
|
|
01-14 |
1.3155 |
1.3155 |
-0.05% |
-0.77% |
4.66% |
|
|
01-14 |
1.9160 |
1.9160 |
-0.05% |
3.96% |
8.93% |
|
|
01-14 |
1.8590 |
1.8590 |
-0.05% |
3.74% |
8.90% |
|
|
01-14 |
1.0599 |
1.1431 |
-0.19% |
0.75% |
0.46% |
|
|
01-14 |
1.0356 |
1.1131 |
-0.19% |
0.61% |
0.44% |
|
|
01-14 |
1.3137 |
1.3137 |
0.84% |
9.87% |
4.23% |
|
|
01-14 |
1.2901 |
1.2901 |
0.83% |
9.72% |
4.20% |
|
|
01-14 |
1.7620 |
2.3630 |
-0.17% |
7.50% |
6.85% |
|
|
01-14 |
1.7310 |
1.7310 |
-0.12% |
7.38% |
6.85% |
|
|
01-14 |
3.3170 |
4.5800 |
-0.27% |
6.79% |
2.82% |
|
|
01-14 |
3.2170 |
3.2170 |
-0.25% |
6.70% |
2.81% |
|
|
01-14 |
0.9982 |
0.9982 |
-0.34% |
-0.34% |
-0.31% |
|
|
01-14 |
0.9905 |
0.9905 |
-0.34% |
-0.40% |
-0.32% |
|
|
01-14 |
1.0936 |
1.1213 |
-0.10% |
1.96% |
0.48% |
|
|
01-14 |
1.0656 |
1.0914 |
-0.09% |
1.83% |
0.47% |
|
|
01-14 |
1.1258 |
1.1488 |
-0.11% |
3.30% |
0.97% |
|
|
01-14 |
1.1061 |
1.1281 |
-0.11% |
3.20% |
0.96% |
|
|
01-14 |
1.3453 |
1.6468 |
-0.02% |
4.79% |
6.99% |
|
|
01-14 |
1.3106 |
1.6021 |
-0.02% |
4.66% |
6.97% |
|
|
01-14 |
1.1814 |
1.2020 |
-0.91% |
11.37% |
3.12% |
|
|
01-14 |
1.1562 |
1.1744 |
-0.91% |
11.23% |
3.10% |
|
|
01-14 |
0.6955 |
0.6955 |
0.29% |
10.73% |
8.64% |
|
|
01-14 |
0.6833 |
0.6833 |
0.29% |
10.64% |
8.62% |
|
|
01-14 |
0.8303 |
0.8303 |
2.49% |
14.07% |
5.96% |
|
|
01-14 |
0.8140 |
0.8140 |
2.49% |
13.94% |
5.95% |
|
|
01-14 |
0.9881 |
0.9881 |
-0.09% |
2.16% |
5.67% |
|
|
01-14 |
0.9778 |
0.9778 |
-0.09% |
2.06% |
5.66% |
|
|
01-14 |
1.2649 |
1.4821 |
-0.15% |
10.20% |
5.02% |
|
|
01-14 |
1.2352 |
1.4359 |
-0.16% |
10.06% |
5.00% |
|
|
01-14 |
1.5676 |
1.6385 |
1.19% |
12.72% |
9.13% |
|
|
01-14 |
1.5538 |
1.6219 |
1.19% |
12.67% |
9.12% |
| 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 |
|
|
01-14 |
1.1760 |
1.1760 |
0.01% |
0.55% |
0.09% |
|
|
01-14 |
1.1589 |
1.1589 |
0.00% |
0.49% |
0.09% |
|
|
01-14 |
1.1878 |
1.1878 |
0.01% |
0.55% |
0.10% |
|
|
01-14 |
1.8726 |
1.8726 |
0.02% |
5.91% |
5.68% |
|
|
01-14 |
1.0547 |
1.1594 |
0.02% |
0.63% |
0.12% |
|
|
01-14 |
1.0309 |
1.1727 |
0.02% |
0.62% |
0.12% |
|
|
01-14 |
1.0620 |
1.1435 |
0.01% |
0.28% |
0.04% |
|
|
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% |
|
|
01-14 |
1.0589 |
1.3204 |
0.02% |
0.21% |
-0.04% |
|
|
01-14 |
1.0562 |
1.0669 |
0.02% |
0.16% |
-0.04% |
|
|
01-14 |
1.0042 |
1.2835 |
0.02% |
0.15% |
0.04% |
|
|
01-14 |
1.0394 |
1.0394 |
0.02% |
0.13% |
0.05% |
|
|
01-09 |
1.0228 |
1.1617 |
0.01% |
0.39% |
0.01% |
|
|
01-09 |
1.0190 |
1.1498 |
0.01% |
0.36% |
0.00% |
|
|
01-14 |
1.0619 |
1.3354 |
0.01% |
0.45% |
0.03% |
|
|
01-14 |
1.0611 |
1.1866 |
0.01% |
0.40% |
0.03% |
|
|
01-14 |
1.0003 |
1.1005 |
0.00% |
0.26% |
0.03% |
|
|
01-14 |
1.0505 |
1.3077 |
0.01% |
0.56% |
0.03% |
|
|
01-14 |
1.0139 |
1.0139 |
0.00% |
0.24% |
0.03% |
|
|
01-14 |
1.0408 |
1.0658 |
0.02% |
0.52% |
0.03% |
|
|
01-14 |
1.0502 |
1.0752 |
0.02% |
0.57% |
0.04% |
|
|
01-09 |
1.0168 |
1.1661 |
0.06% |
0.89% |
0.06% |
|
|
01-14 |
1.0950 |
1.0950 |
-0.01% |
1.75% |
1.63% |
|
|
01-14 |
1.0771 |
1.0771 |
-0.01% |
1.65% |
1.62% |
|
|
01-14 |
1.1279 |
1.5587 |
0.02% |
0.86% |
0.16% |
|
|
01-14 |
1.1205 |
1.5191 |
0.03% |
0.81% |
0.16% |
| 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 |
|
|
01-14 |
1.3724 |
1.3724 |
-0.06% |
2.33% |
0.69% |
|
|
01-14 |
1.3431 |
1.3431 |
-0.05% |
2.25% |
0.67% |
|
|
01-14 |
1.4057 |
1.4057 |
-0.06% |
9.43% |
6.95% |
|
|
01-14 |
1.3927 |
1.3927 |
-0.06% |
9.31% |
6.93% |
|
|
01-14 |
2.0151 |
2.0151 |
0.47% |
9.24% |
7.12% |
|
|
01-14 |
1.9707 |
1.9707 |
0.47% |
9.15% |
7.11% |
|
|
01-14 |
2.2472 |
2.4022 |
-0.34% |
6.24% |
3.00% |
|
|
01-14 |
2.2058 |
2.2058 |
-0.34% |
6.10% |
2.98% |
| 基金名称 |
净值日期 |
万份收益 |
七日年化收益率 |
|
|
01-14 |
0.2458 |
0.947% |
|
|
01-14 |
0.3125 |
1.190% |
|
|
01-14 |
0.3022 |
1.147% |
|
|
01-14 |
0.3677 |
1.382% |
| 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% |