全部基金
债券型 混合型 已清算基金
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
10-22 0.9193 1.0018 -0.10% 3.12% 3.65% 7.76% -0.47%
008045
10-22 0.9052 0.9827 -0.11% 3.06% 3.53% 7.39% -2.43%
013222
10-22 1.0379 1.0947 -0.10% -0.08% 0.47% 3.50% 9.77%
013223
10-22 1.0377 1.0845 -0.09% -0.07% 0.46% 3.50% 8.68%
009109
10-22 1.0503 1.1107 -0.06% -0.26% 0.63% 4.46% 11.47%
009110
10-22 1.0496 1.0606 -0.06% -0.27% 0.58% 4.46% 6.08%
016015
10-22 1.0240 1.0711 -0.07% 0.28% 0.71% 3.46% 7.41%
016451
10-22 1.0571 1.0571 -0.13% -0.27% 0.64% 3.43% 5.71%
019803
10-22 1.0544 1.0544 -0.12% -0.30% 0.56% 3.19% 3.84%
019585
10-22 1.0327 1.0427 -0.15% -0.31% 0.58% 3.68% 4.27%
019586
10-22 1.0381 1.0481 -0.15% -0.30% 0.57% 3.63% 4.81%
021544
10-22 1.0021 1.0021 -0.10% -0.30% 0.20% 0.20% 0.20%
021545
10-22 1.0042 1.0042 -0.10% -0.35% 0.42% 0.42% 0.42%
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
009111
10-22 0.9987 0.9987 -0.16% 5.12% 3.24% -0.49% -0.14%
009112
10-22 0.9897 0.9897 -0.16% 5.10% 3.18% -0.65% -1.04%
010906
10-22 0.9328 0.9328 0.23% 8.14% 6.36% 5.62% -6.72%
010907
10-22 0.9195 0.9195 0.23% 8.11% 6.26% 5.29% -8.05%
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
010096
06-25 1.0107 1.0857 0.00% 0.31% 2.33% 2.94% 8.58%
010097
06-25 0.9971 1.0721 -0.01% 0.48% 2.45% 2.96% 7.17%
010098
06-25 1.0044 1.0794 0.00% -0.24% 1.74% 2.34% 7.91%
008884
07-07 0.6479 0.6479 -0.90% -4.10% -14.39% -5.21% -35.24%
008885
07-07 0.6402 0.6402 -0.90% -4.13% -14.48% -5.41% -36.01%
风险提示:基金投资有风险,基金过往业绩不代表未来表现,基金管理人管理的其他基金的过往投资业绩不预示未来表现。