| 基金名称 | 净值日期 | 单位净值 | 累计净值 | 日涨跌幅 | 近一个月 | 近三个月 | 今年以来 | 成立以来 |
|---|---|---|---|---|---|---|---|---|
|
008044
|
05-27 | 0.9813 | 1.0638 | -0.99% | -1.22% | 0.38% | 1.67% | 6.25% |
|
008045
|
05-27 | 0.9602 | 1.0377 | -0.99% | -1.25% | 0.28% | 1.51% | 3.50% |
|
013222
|
05-27 | 1.0736 | 1.1454 | 0.05% | 0.39% | 0.97% | 1.91% | 15.15% |
|
013223
|
05-27 | 1.0733 | 1.1351 | 0.05% | 0.38% | 0.96% | 1.90% | 13.99% |
|
009109
|
05-27 | 1.0341 | 1.1397 | 0.03% | 0.30% | 0.81% | 1.18% | 14.65% |
|
009110
|
05-27 | 1.0352 | 1.0862 | 0.03% | 0.28% | 0.75% | 1.09% | 8.75% |
|
016015
|
05-27 | 1.0317 | 1.1088 | 0.03% | 0.31% | 0.91% | 1.30% | 11.42% |
|
016451
|
05-27 | 1.0699 | 1.1169 | 0.17% | 0.92% | 0.82% | 0.92% | 11.74% |
|
019803
|
05-27 | 1.0574 | 1.1044 | 0.17% | 0.90% | 0.74% | 0.83% | 8.81% |
|
019585
|
05-27 | 1.0205 | 1.0855 | 0.10% | 0.51% | 1.03% | 1.38% | 8.67% |
|
019586
|
05-27 | 1.0247 | 1.0897 | 0.10% | 0.50% | 1.01% | 1.38% | 9.09% |
|
021544
|
05-27 | 1.0259 | 1.0359 | 0.07% | 0.43% | 0.90% | 1.21% | 3.60% |
|
021545
|
05-27 | 1.0263 | 1.0363 | 0.07% | 0.42% | 0.87% | 1.15% | 3.65% |
| 基金名称 | 净值日期 | 单位净值 | 累计净值 | 日涨跌幅 | 近一个月 | 近三个月 | 今年以来 | 成立以来 |
|---|---|---|---|---|---|---|---|---|
|
010906
|
05-27 | 1.0232 | 1.0232 | -0.09% | -0.84% | -1.87% | -0.43% | 2.32% |
|
010907
|
05-27 | 1.0022 | 1.0022 | -0.08% | -0.87% | -1.97% | -0.58% | 0.22% |
| 基金名称 | 每万份收益 | 七日年化收益率 | ||||||
|---|---|---|---|---|---|---|---|---|
| 基金名称 | 净值日期 | 单位净值 | 累计净值 | 日涨跌幅 | 近一个月 | 近三个月 | 今年以来 | 成立以来 |