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基金名称 基金类型 净值日期 基金净值(元) 累计净值 昨日 近一周 近一月 近三月 近六月 今年以来 近一年 近二年 近三年 近五年 成立以来 操作
167702 | 中高风险
股票型 2025-09-01 1.2286 1.4386 0.26% 0.19% 7.62% 13.01% 15.76% 15.94% 31.06% 1.53% -5.42% -24.91% 40.10%
167703 | 中高风险
股票型 2025-09-01 1.1906 1.4006 0.26% 0.18% 7.60% 12.94% 15.61% 15.74% 30.72% 1.01% -6.13% -25.86% 36.09%
混合型 2025-09-01 1.4259 1.6773 -0.01% -0.24% -0.02% 0.43% 0.29% -0.35% 21.37% -0.44% -16.00% -13.67% 77.38%
混合型 2025-09-01 1.4807 1.4807 -0.01% -0.24% -0.04% 0.40% 0.32% -0.28% 21.42% -- -- -- 3.39%
混合型 2025-09-01 1.3016 1.3016 0.59% 2.74% 13.89% 30.60% 37.04% 40.18% 54.84% 22.64% 15.03% -15.73% 30.16%
混合型 2025-09-01 1.2595 1.2595 0.59% 2.73% 13.85% 30.48% 36.77% 39.82% 54.22% 21.67% 13.66% -17.40% 25.95%
006167 | 中高风险
混合型 2025-09-01 1.5877 1.6408 -0.29% -1.50% 6.26% 12.40% 8.22% 4.70% 26.14% -9.28% -11.83% -0.79% 66.23%
006168 | 中高风险
混合型 2025-09-01 1.5616 1.6369 -0.29% -1.50% 6.24% 12.33% 8.08% 4.52% 25.81% -9.73% -12.50% -2.01% 62.86%
008838 | 中风险
混合型 2025-09-01 0.8626 0.8626 -0.03% -0.87% -2.38% -3.76% -2.06% -2.24% -4.65% -5.22% -5.18% -15.34% -13.74%
008839 | 中风险
混合型 2025-09-01 0.8507 0.8507 -0.05% -0.87% -2.40% -3.82% -2.18% -2.42% -4.91% -5.71% -5.92% -16.43% -14.93%
008840 | 中高风险
混合型 2025-09-01 0.9547 0.9547 -0.26% 0.24% 9.90% 4.84% 1.93% 0.81% 18.33% -19.18% -20.69% -15.39% -4.53%
008841 | 中高风险
混合型 2025-09-01 0.9423 0.9423 -0.25% 0.23% 9.88% 4.78% 1.80% 0.65% 18.02% -19.58% -21.29% -16.45% -5.77%
023566 | 中高风险
混合型 2025-09-01 1.0466 1.0466 0.95% 0.38% 19.94% 24.85% -- 4.66% -- -- -- -- 4.66%
023567 | 中高风险
混合型 2025-09-01 1.0454 1.0454 0.94% 0.38% 19.91% 24.76% -- 4.54% -- -- -- -- 4.54%
混合型 2025-09-01 1.1433 1.1433 1.50% 6.29% 22.26% 83.43% 53.98% 50.30% 86.72% 10.74% 1.53% -- 14.33%
混合型 2025-09-01 1.1297 1.1297 1.50% 6.29% 22.24% 83.33% 53.78% 50.05% 86.23% 10.18% 0.77% -- 12.97%
010783 | 中高风险
混合型 2025-09-01 0.8464 0.8464 1.71% 0.34% 8.11% 16.68% 22.21% 28.50% 48.02% 5.63% -1.43% -- -15.36%
010784 | 中高风险
混合型 2025-09-01 0.8365 0.8365 1.71% 0.35% 8.09% 16.62% 22.06% 28.30% 47.69% 5.10% -2.16% -- -16.35%
008719 | 中低风险
混合型 2025-09-01 0.9466 0.9466 0.00% 0.01% -0.07% -0.15% -0.02% 0.13% 0.86% 0.60% -3.02% -- -5.34%
008720 | 中低风险
混合型 2025-09-01 0.9296 0.9296 0.00% 0.00% -0.12% -0.26% -0.23% -0.14% 0.45% -0.20% -4.17% -- -7.04%
012437 | 中高风险
混合型 2025-09-01 0.8348 0.8348 0.55% -0.33% 8.26% 16.15% 9.54% 12.25% 35.08% -7.83% -10.78% -- -16.52%
012438 | 中高风险
混合型 2025-09-01 0.8082 0.8082 0.56% -0.35% 8.19% 15.92% 9.10% 11.65% 34.01% -9.29% -12.90% -- -19.18%
混合型 2025-09-01 1.6901 1.6901 1.81% 5.81% 29.68% 58.78% 40.77% 56.42% 108.71% 81.11% 105.23% -- 69.01%
混合型 2025-09-01 1.6658 1.6658 1.80% 5.80% 29.63% 58.62% 40.48% 55.99% 107.86% 79.66% 102.78% -- 66.58%
770001 | 中风险
混合型 2025-09-01 1.2864 2.2984 0.01% 0.03% 0.05% 0.24% 0.88% 0.80% 1.91% 4.75% -16.76% -4.84% 160.76%
018702 | 中风险
混合型 2025-09-01 1.2806 1.2806 0.01% 0.03% 0.02% 0.18% 0.76% 0.64% 1.65% 4.22% -- -- -1.94%
混合型 2025-09-01 1.0364 1.0364 -0.15% -6.00% -3.72% 24.10% 2.33% 12.40% 64.01% -2.56% -8.72% -6.34% 3.64%
混合型 2025-09-01 1.0249 1.0249 -0.16% -6.02% -3.76% 23.94% 2.07% 12.04% 63.23% -3.51% -- -- -27.21%
001179 | 中高风险
混合型 2025-09-01 1.3543 1.5709 0.27% -0.95% 5.07% 12.92% 7.67% 13.52% 33.71% -11.56% -15.68% -13.04% 59.46%
018690 | 中高风险
混合型 2025-09-01 1.3172 1.3172 0.26% -0.96% 5.04% 12.84% 7.52% 13.33% 30.65% -14.00% -- -- -14.93%
001229 | 中高风险
混合型 2025-09-01 1.8272 1.8272 2.13% 6.57% 19.88% 54.04% 24.55% 32.36% 71.09% 0.77% -7.49% 32.69% 82.72%
002106 | 中高风险
混合型 2025-09-01 1.7763 1.7763 2.13% 6.57% 19.85% 53.93% 24.38% 32.14% 70.65% 0.26% -8.20% 31.03% 74.59%
001412 | 中高风险
混合型 2025-09-01 3.3604 3.4984 3.57% 16.60% 52.36% 142.54% 105.86% 101.23% 233.94% 221.54% 169.70% 168.81% 281.90%
002112 | 中高风险
混合型 2025-09-01 3.2306 3.3786 3.57% 16.59% 52.35% 142.46% 105.74% 101.11% 233.64% 220.91% 168.90% 167.48% 276.98%
023674 | 中高风险
混合型 2025-09-01 1.1901 1.1901 -0.84% -0.62% 5.62% 22.29% -- 19.01% -- -- -- -- 19.01%
023675 | 中高风险
混合型 2025-09-01 1.1888 1.1888 -0.84% -0.63% 5.60% 22.19% -- 18.88% -- -- -- -- 18.88%
混合型 2025-09-01 1.0287 1.0287 2.48% -- -- -- -- 2.87% -- -- -- -- 2.87%
申购
定投
混合型 2025-09-01 1.0286 1.0286 2.47% -- -- -- -- 2.86% -- -- -- -- 2.86%
申购
定投
014732 | 中低风险
债券型 2025-09-01 1.0511 1.0531 0.06% -0.01% -0.15% -0.45% -0.20% -0.36% 4.90% -- -- -- 5.32%
014733 | 中低风险
债券型 2025-09-01 1.0480 1.0500 0.06% -0.02% -0.17% -0.51% -0.32% -0.53% 4.64% -- -- -- 5.01%
007461 | 中低风险
债券型 2025-09-01 1.0210 1.2029 0.03% 0.03% -0.23% 0.13% 1.17% 0.86% 2.14% 5.46% 8.38% 19.45% 21.87%
007462 | 中低风险
债券型 2025-09-01 1.0210 1.2021 0.03% 0.03% -0.22% 0.13% 1.17% 0.85% 2.12% 5.44% 8.35% 19.43% 21.76%
008448 | 中低风险
债券型 2025-09-01 1.1718 1.1718 0.02% 0.04% 0.09% 0.38% 1.37% 1.41% 2.47% 6.96% 9.67% 15.97% 17.18%
008449 | 中低风险
债券型 2025-09-01 1.1556 1.1556 0.02% 0.04% 0.06% 0.31% 1.24% 1.24% 2.21% 6.43% 8.85% 14.52% 15.56%
021026 | 中低风险
债券型 2025-09-01 1.1681 1.1681 0.02% 0.04% 0.07% 0.33% 1.26% 1.27% 2.25% -- -- -- 3.83%
019304 | 中低风险
债券型 2025-09-01 1.1670 1.1670 0.02% 0.04% 0.07% 0.33% 1.27% 1.28% 2.28% -- -- -- 6.53%
001367 | 中低风险
债券型 2025-09-01 1.1697 1.4177 -0.04% -0.60% 0.12% 0.26% 0.27% 0.65% 2.03% 1.51% 0.43% 3.46% 48.26%
002441 | 中低风险
债券型 2025-09-01 1.1170 1.7770 -0.04% -0.61% 0.09% 0.15% 0.06% 0.39% 1.63% 0.68% -0.80% 1.39% 90.65%
021912 | 中低风险
债券型 2025-09-01 1.1628 1.1628 -0.04% -0.61% 0.09% 0.07% -0.02% 0.31% 1.47% -- -- -- 1.96%
003176 | 中低风险
债券型 2025-09-01 1.1189 1.2589 0.02% 0.05% 0.14% 0.48% 1.51% 1.34% 2.17% 8.29% 5.93% 11.12% 27.50%
003177 | 中低风险
债券型 2025-09-01 1.0998 1.2398 0.02% 0.05% 0.12% 0.42% 1.38% 1.18% 1.92% 7.75% 4.94% 9.54% 25.36%
021024 | 中低风险
债券型 2025-09-01 1.1183 1.1183 0.02% 0.05% 0.13% 0.48% 1.49% 1.32% 2.16% -- -- -- 4.39%
021025 | 中低风险
债券型 2025-09-01 1.1157 1.1157 0.02% 0.05% 0.13% 0.44% 1.42% 1.22% 1.99% -- -- -- 4.14%
004246 | 中低风险
债券型 2025-09-01 1.0667 1.3757 0.02% 0.04% 0.05% 0.33% 2.00% 2.56% 6.41% 10.29% 12.82% 22.81% 44.33%
004247 | 中低风险
债券型 2025-09-01 1.0613 1.3583 0.01% 0.04% 0.02% 0.25% 1.84% 2.36% 6.01% 9.57% 11.75% 20.93% 41.98%
002704 | 中低风险
债券型 2025-09-01 1.2804 1.3404 0.02% 0.05% -0.05% 0.20% 1.31% 1.36% 2.84% 8.37% 9.67% 22.23% 35.53%
002705 | 中低风险
债券型 2025-09-01 1.2551 1.3051 0.02% 0.03% -0.07% 0.13% 1.19% 1.19% 2.56% 7.81% 8.82% 20.66% 31.65%
016348 | 中低风险
债券型 2025-09-01 1.2762 1.2762 0.02% 0.04% -0.07% 0.13% 1.19% 1.21% 2.62% 8.13% -- -- 9.20%
008486 | 中风险
债券型 2025-09-01 1.0486 1.2013 0.02% 0.03% -0.05% 0.06% 0.90% 0.38% 2.54% 7.25% 9.80% 19.96% 21.70%
008717 | 中低风险
债券型 2025-08-29 1.0440 1.1140 0.01% 0.11% 0.26% 0.89% 1.50% 1.82% 2.56% 5.07% 7.03% 10.90% 11.81%
008718 | 中低风险
债券型 2025-08-29 1.0591 1.0991 0.01% 0.10% 0.24% 0.82% 1.37% 1.64% 2.28% 4.46% 6.14% 9.41% 10.17%
债券型 2025-08-29 1.1241 1.2091 0.01% 0.08% 0.37% 1.08% 2.10% 2.72% 4.17% 8.31% 12.76% 21.74% 21.95%
010309 | 中低风险
债券型 2025-09-01 1.1641 1.2141 0.09% -0.16% -1.25% -1.80% -0.86% -1.02% 8.69% 11.61% 15.25% -- 21.66%
010310 | 中低风险
债券型 2025-09-01 1.1687 1.2137 0.09% -0.18% -1.28% -1.87% -1.00% -1.19% 8.28% 10.90% 14.23% -- 21.55%
基金名称 基金类型 净值日期 每万份收益 七日年化收益率 操作
000300 | 低风险
货币型 2025-09-01 0.4562 1.238%
000301 | 低风险
货币型 2025-09-01 0.5223 1.482%
001401 | 低风险
货币型 2025-09-01 0.3820 1.353%
018659 | 低风险
货币型 2025-09-01 0.4487 1.597%
非存续期基金>
风险提示:基金收益率仅供参考,基金的过往业绩及其净值高低并不预示其未来业绩表现。基金有风险,投资需谨慎。

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