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
12-31 1.2834 1.2834 -0.70% -8.84% -3.29%
12-31 1.2569 1.2569 -0.70% -8.95% -3.79%
12-31 1.7590 1.7590 -0.40% -11.52% 9.66%
12-31 1.7070 1.7070 -0.41% -11.69% 8.73%
12-31 1.0550 1.1382 -0.07% 1.16% 2.97%
12-31 1.0311 1.1086 -0.06% 1.04% 2.45%
12-31 1.2604 1.2604 -1.21% -1.94% 43.31%
12-31 1.2381 1.2381 -1.21% -2.06% 42.61%
12-31 1.6490 2.2500 -0.12% -3.00% 12.33%
12-31 1.6200 1.6200 -0.12% -3.05% 11.88%
12-31 3.2260 4.4890 -0.43% 0.69% 20.37%
12-31 3.1290 3.1290 -0.45% 0.58% 19.75%
12-31 1.0013 1.0013 -0.02% 0.67% 0.82%
12-31 0.9937 0.9937 -0.02% 0.61% 0.63%
12-31 1.0884 1.1161 0.04% 1.25% 4.52%
12-31 1.0606 1.0864 0.03% 1.12% 3.99%
12-31 1.1150 1.1380 -0.03% 2.26% 8.22%
12-31 1.0956 1.1176 -0.04% 2.15% 7.77%
12-31 1.2574 1.5589 -0.14% -5.55% 9.76%
12-31 1.2252 1.5167 -0.13% -5.67% 9.21%
12-31 1.1456 1.1662 -0.14% 7.74% 23.53%
12-31 1.1214 1.1396 -0.13% 7.60% 22.92%
12-31 0.6402 0.6402 -0.73% -4.05% 14.71%
12-31 0.6291 0.6291 -0.71% -4.13% 14.28%
12-31 0.7836 0.7836 -1.51% -0.99% 27.25%
12-31 0.7683 0.7683 -1.51% -1.08% 26.74%
12-31 0.9351 0.9351 -0.12% -6.40% 8.13%
12-31 0.9254 0.9254 -0.12% -6.49% 7.86%
12-31 1.2044 1.4216 -0.45% 2.49% 30.18%
12-31 1.1764 1.3771 -0.45% 2.37% 29.52%
12-31 1.4365 1.5074 -0.24% -2.33% 40.00%
12-31 1.4239 1.4920 -0.25% -2.37% 39.72%
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
12-31 1.1749 1.1749 0.02% 0.56% 2.09%
12-31 1.1579 1.1579 0.01% 0.49% 1.83%
12-31 1.1866 1.1866 0.02% 0.56% 2.08%
12-31 1.7719 1.7719 -0.06% -1.72% 7.79%
12-31 1.0534 1.1581 -0.01% 0.66% 0.90%
12-31 1.0297 1.1715 -0.01% 0.65% 0.79%
12-31 1.0616 1.1431 0.04% 0.41% 0.57%
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%
12-31 1.0593 1.3208 0.03% 0.33% 0.44%
12-31 1.0566 1.0673 0.03% 0.28% 0.23%
12-31 1.0038 1.2831 0.01% 0.13% 0.79%
12-31 1.0389 1.0389 0.00% 0.09% 0.19%
12-31 1.0227 1.1616 0.01% 0.42% 1.11%
12-31 1.0190 1.1498 0.01% 0.39% 0.96%
12-31 1.0616 1.3351 0.01% 0.50% 1.99%
12-31 1.0608 1.1863 0.01% 0.44% 2.08%
12-31 1.0000 1.1002 0.00% 0.32% 0.63%
12-31 1.0136 1.0136 0.00% 0.21% 0.21%
12-31 1.0502 1.3074 0.00% 0.62% 1.00%
12-31 1.0405 1.0655 0.00% 0.57% 0.80%
12-31 1.0498 1.0748 0.00% 0.62% 0.99%
12-31 1.0162 1.1655 0.03% 0.83% 2.59%
12-31 1.0774 1.0774 -0.02% -0.54% 2.09%
12-31 1.0599 1.0599 -0.02% -0.64% 1.69%
12-31 1.1261 1.5569 0.04% 0.89% 1.70%
12-31 1.1187 1.5173 0.04% 0.83% 1.49%
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
12-31 1.3630 1.3630 -0.22% 2.22% 29.46%
12-31 1.3341 1.3341 -0.22% 2.14% 29.00%
12-31 1.3144 1.3144 -0.04% -1.39% 29.98%
12-31 1.3025 1.3025 -0.04% -1.49% 29.46%
12-31 1.8812 1.8812 -0.19% -1.42% 25.79%
12-31 1.8399 1.8399 -0.20% -1.51% 25.35%
12-31 2.1817 2.3367 0.00% 1.87% 21.06%
12-31 2.1419 2.1419 0.00% 1.73% 20.45%
基金名称 净值日期 万份收益 七日年化收益率
12-31 0.2841 1.018%
12-31 0.3496 1.258%
12-31 0.3389 1.399%
12-31 0.4054 1.640%
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%