华宝油气

跟踪美国石油天然气上游指数
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    重仓亚马逊、耐克、麦当劳等美国消费巨头
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    精选AI+科技+海外消费新浪潮
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华宝添益专区

场内规模最大货币基金
旗下基金
  • 热销基金
  • 股票型
  • 混合型
  • 债券型
  • 指数型
  • ETF基金
  • 货币型
  • 海外基金
  • FOF基金
基金名称 净值日期 单位净值 累计净值 日涨跌 近1周 近1个月 近3个月 近1年 今年以来
券商ETF联接 09-29 1.7769 1.7769 4.62% 3.35% -3.44% 11.60% 24.14% 9.02% 购买 赎回
资源优选 09-29 4.553 4.662 3.34% 6.20% 7.84% 30.38% 32.66% 42.10% 购买 赎回
香港中小A 09-29 1.5754 1.5754 1.98% -0.32% 1.99% 18.43% 37.06% 37.99% 购买 赎回
香港大盘A 09-29 1.4603 1.4603 1.61% 1.40% 8.62% 10.42% 40.14% 34.47% 购买 赎回
科技ETF联接A 09-29 1.7690 1.7690 1.43% 2.16% 8.61% 49.36% 80.14% 52.88% 购买 赎回
沪深300增强 09-29 1.6960 1.9350 1.37% 2.04% 2.66% 17.31% 25.05% 18.62% 购买 赎回
标普红利ETF联接A 09-29 1.7228 1.8341 0.47% 0.42% -0.06% 4.44% -- 8.80% 购买 赎回
价值ETF联接A 09-29 2.780 2.810 0.47% 0.54% -5.02% -2.87% 9.45% 2.70% 购买 赎回
中短债A 09-29 1.1970 1.2170 0.01% -0.18% -0.21% -0.22% 1.79% 0.76% 购买 赎回
中短债C 09-29 1.1660 1.1860 0.01% -0.19% -0.24% -0.32% 1.39% 0.46% 购买 赎回
基金名称 净值日期 单位净值 累计净值 日涨跌 近1周 近1个月 近3个月 近1年 今年以来
高端制造 09-29 2.560 2.560 1.67% 4.40% 3.14% 20.30% 47.72% 32.16% 购买 赎回
绿色领先 09-29 1.4390 1.4390 1.63% 1.27% 4.21% 21.91% 30.98% 18.57% 购买 赎回
品质生活 09-29 1.485 1.535 0.81% -0.34% -4.07% 4.87% 3.05% 3.70% 购买 赎回
基金名称 净值日期 单位净值 累计净值 日涨跌 近1周 近1个月 近3个月 近1年 今年以来
资源优选 09-29 4.553 4.662 3.34% 6.20% 7.84% 30.38% 32.66% 42.10% 购买 赎回
资源优选C 09-29 4.471 4.471 3.33% 6.17% 7.79% 30.24% 32.16% 41.71% 购买 赎回
新兴产业 09-29 3.2042 3.6522 2.27% 0.24% 5.92% 62.63% 67.04% 55.77% 购买 赎回
新兴成长 09-29 1.7521 1.7521 2.26% 0.22% 6.88% 65.60% 73.63% 64.44% 购买 赎回
新兴成长C 09-29 1.7193 1.7193 2.25% 0.21% 6.83% 65.37% 72.41% 63.68% 购买 赎回
成长策略A 09-29 2.4218 2.4218 2.18% 0.62% 7.05% 64.74% 75.80% 64.67% 购买 赎回
成长策略C 09-29 2.4365 2.4365 2.17% 0.62% 7.00% 64.45% 74.81% 63.96% 购买 赎回
生态中国A 09-29 4.247 4.447 2.17% 4.55% 13.98% 27.27% 54.66% 39.61% 购买 赎回
生态中国C 09-29 4.1690 4.1690 2.16% 4.54% 13.91% 27.06% 53.72% 38.97% 购买 赎回
竞争优势C 09-29 0.9050 0.9050 2.06% 7.87% 19.47% 59.36% 92.47% 60.95% 购买 赎回
竞争优势A 09-29 0.9101 0.9101 2.06% 7.88% 19.53% 59.55% 93.43% 61.51% 购买 赎回
事件驱动C 09-29 0.9460 0.9460 2.05% 4.07% 12.35% 24.47% 48.74% 35.34% 购买 赎回
事件驱动A 09-29 0.950 0.950 2.04% 4.05% 12.29% 24.51% 49.14% 35.52% 购买 赎回
创新优选 09-29 2.846 3.186 2.01% 0.25% 5.49% 43.02% 70.11% 58.73% 购买 赎回
远见回报A 09-29 1.2786 1.2786 1.93% 7.53% 11.47% 47.88% 67.40% 47.85% 购买 赎回
远见回报C 09-29 1.2590 1.2590 1.93% 7.51% 11.42% 47.65% 66.38% 47.18% 购买 赎回
动力组合A 09-29 3.7868 6.2968 1.92% 7.24% 11.20% 48.12% 64.49% 44.79% 购买 赎回
动力组合C 09-29 3.7164 3.7164 1.92% 7.23% 11.15% 47.89% 63.53% 44.14% 购买 赎回
行业精选 09-29 1.9798 1.9798 1.91% 7.21% 11.43% 48.52% 65.84% 45.39% 购买 赎回
多策略A 09-29 0.4942 4.8992 1.90% 1.92% 6.76% 28.20% 30.09% 19.95% 购买 赎回
国策导向C 09-29 1.1390 1.1390 1.88% 1.97% 6.85% 28.41% 32.13% 20.78% 购买 赎回
多策略C 09-29 0.4868 0.4868 1.88% 1.90% 6.71% 27.97% 29.30% 19.40% 购买 赎回
国策导向A 09-29 1.153 1.153 1.86% 2.04% 6.86% 28.54% 32.83% 21.37% 购买 赎回
大盘精选 09-29 4.7806 5.2874 1.65% 1.98% 12.18% 88.09% 118.62% 105.79% 购买 赎回
研究精选 09-29 1.0759 1.0759 1.59% 4.30% 3.53% 19.70% 43.66% 31.85% 购买 赎回
核心优势A 09-29 4.400 4.400 1.59% 1.83% 11.96% 87.15% 120.33% 105.32% 购买 赎回
核心优势C 09-29 4.3380 4.3380 1.59% 1.83% 11.92% 86.90% 118.98% 104.53% 购买 赎回
先进成长 09-29 5.0595 5.3275 1.52% 1.32% 2.93% 17.86% 26.24% 18.99% 购买 赎回
可持续发展C 09-29 0.9937 0.9937 1.50% 3.06% 1.36% 17.51% 38.11% 25.40% 购买 赎回
可持续发展A 09-29 1.0089 1.0089 1.50% 3.05% 1.38% 17.63% 38.66% 25.77% 购买 赎回
新价值 09-29 1.9994 1.9994 1.47% 2.30% 3.10% 18.41% 21.26% 17.06% 购买 赎回
新活力C 09-29 1.9730 2.0280 1.40% 1.46% 1.34% 14.99% 24.71% 18.37% 购买 赎回
消费升级 09-29 1.1246 1.1246 1.36% -0.91% -0.22% 10.58% 10.54% 12.17% 购买 赎回
ESG责任投资A 09-29 1.0776 1.0776 1.34% 1.57% 4.78% 16.72% 21.87% 18.68% 购买 赎回
收益增长A 09-29 8.3800 8.3800 1.33% 1.99% 3.41% 19.02% 21.89% 17.67% 购买 赎回
ESG责任投资C 09-29 1.0682 1.0682 1.33% 1.56% 4.75% 16.60% 21.39% 18.33% 购买 赎回
收益增长C 09-29 8.2064 8.2064 1.32% 1.98% 3.36% 18.84% 21.17% 17.14% 购买 赎回
万物互联A 09-29 1.970 1.970 1.23% 0.82% 1.76% 56.35% 116.01% 74.34% 购买 赎回
万物互联C 09-29 1.9350 1.9350 1.20% 0.83% 1.74% 56.05% 114.76% 73.54% 购买 赎回
量化选股C 09-29 1.3234 1.3234 1.14% 0.72% 0.53% 14.09% 39.38% 25.12% 购买 赎回
量化选股A 09-29 1.3373 1.3373 1.14% 0.72% 0.56% 14.20% 39.93% 25.49% 购买 赎回
新兴消费A 09-29 0.9305 0.9305 1.12% -0.52% -0.53% 4.41% 14.78% 15.03% 购买 赎回
新兴消费C 09-29 0.9132 0.9132 1.12% -0.53% -0.58% 4.29% 14.24% 14.64% 购买 赎回
新飞跃 09-29 2.3596 2.3596 1.08% 1.76% 3.22% 11.32% 18.79% 12.29% 购买 赎回
宝康配置 09-29 3.7705 5.7705 1.03% 2.03% 3.86% 15.19% 14.34% 12.44% 购买 赎回
科技先锋 09-29 1.6174 1.6174 0.97% 0.19% 6.96% 33.56% 62.23% 35.45% 购买 赎回
科技先锋C 09-29 1.5873 1.5873 0.97% 0.18% 6.92% 33.43% 61.59% 35.05% 购买 赎回
稳健回报 09-29 1.684 1.684 0.78% 1.38% 1.81% 27.87% 29.64% 23.28% 购买 赎回
红利精选C 09-29 1.3183 1.5183 0.70% 1.22% 0.79% 4.45% 11.51% 6.25% 购买 赎回
红利精选 09-29 1.3437 1.5437 0.70% 1.23% 0.82% 4.55% 12.42% 6.56% 购买 赎回
远识混合A 09-29 1.0839 1.0839 0.66% 1.06% 0.36% 4.30% -- 8.39% 购买 赎回
远识混合C 09-29 1.0801 1.0801 0.66% 1.05% 0.32% 4.14% -- 8.01% 购买 赎回
新机遇 09-29 1.8599 1.8599 0.51% 0.94% 1.66% 6.12% 10.71% 6.73% 购买 赎回
新机遇C 09-29 1.8430 1.8430 0.51% 0.94% 1.65% 6.08% 10.60% 6.66% 购买 赎回
价值发现A 09-29 1.5919 1.5919 0.25% 0.16% 2.39% 5.82% 12.61% 4.46% 购买 赎回
服务优选 09-29 3.833 4.133 0.24% 0.45% 2.62% 6.18% 14.73% 5.39% 购买 赎回
宝康消费品 09-29 3.1160 9.1159 0.24% -0.52% -2.91% 0.69% 5.57% 1.47% 购买 赎回
价值发现C 09-29 1.5606 1.5606 0.24% 0.15% 2.35% 5.67% 11.94% 4.01% 购买 赎回
安享混合C 09-29 1.1509 1.1509 0.17% 0.26% -0.27% 0.60% 3.00% 0.31% 购买 赎回
安享混合A 09-29 1.1547 1.1547 0.16% 0.26% -0.25% 0.65% 3.23% 0.45% 购买 赎回
大健康C 09-29 2.7223 2.7223 0.16% -2.60% -2.41% 20.05% 81.14% 85.22% 购买 赎回
大健康A 09-29 2.7626 2.7626 0.16% -2.59% -2.36% 20.23% 82.13% 85.98% 购买 赎回
安盈A 09-29 1.1470 1.1470 0.11% -0.18% -0.68% 5.49% 14.48% 8.80% 购买 赎回
安盈C 09-29 1.1463 1.1463 0.11% -0.19% -0.71% 5.40% -- 8.30% 购买 赎回
大健康D 09-29 2.7626 2.7626 -- -2.59% -3.73% -- -- -3.73% 购买 赎回
新活力I 09-29 1.9730 1.9730 -- 1.46% 1.34% 14.99% -- 22.39% 购买 赎回
安盈E 09-29 1.1470 1.1470 -- -0.18% -0.07% -- -- -0.07% 购买 赎回
量化对冲混合D 09-29 1.1613 1.1613 -0.07% -0.42% -0.01% -0.27% 1.45% 0.40% 购买 赎回
量化对冲混合A 09-29 1.1642 1.3942 -0.07% -0.42% 0.01% -0.22% 1.64% 0.54% 购买 赎回
量化对冲混合C 09-29 1.1252 1.3552 -0.07% -0.42% -0.03% -0.32% 1.24% 0.25% 购买 赎回
医药生物A 09-29 3.604 4.504 -0.69% -2.52% -3.84% 13.51% 63.15% 63.30% 购买 赎回
医药生物C 09-29 3.5910 4.0520 -0.69% -2.52% -3.91% 13.35% 62.42% 62.78% 购买 赎回
专精特新A* 09-26 1.1935 1.1935 -0.02% 0.36% 8.94% 38.75% 102.70% 62.89% 购买 赎回
专精特新C* 09-26 1.1827 1.1827 -0.03% 0.36% 8.90% 38.64% 102.10% 62.53% 购买 赎回
基金名称 净值日期 单位净值 累计净值 日涨跌 近1周 近1个月 近3个月 近1年 今年以来
可转债A 09-29 1.9363 1.9363 1.23% 3.00% 3.55% 14.55% 37.36% 27.47% 购买 赎回
可转债D 09-29 1.9363 1.9363 1.23% 2.99% 3.55% -- -- 3.40% 购买 赎回
可转债C 09-29 1.9089 1.9089 1.22% 2.99% 3.53% 14.48% 37.02% 27.23% 购买 赎回
增强收益债B 09-29 1.5676 1.9476 0.89% 0.81% 1.13% 16.20% 44.63% 26.04% 购买 赎回
增强收益债A 09-29 1.6914 2.0714 0.89% 0.82% 1.17% 16.32% 45.20% 26.41% 购买 赎回
安元债A 09-29 1.1238 1.1238 0.13% 0.14% 0.21% 2.13% 10.07% 5.12% 购买 赎回
安元债D 09-29 1.1223 1.1223 0.13% 0.14% 0.21% 2.12% -- 2.77% 购买 赎回
安元债C 09-29 1.1167 1.1167 0.13% 0.13% 0.18% 2.05% 9.74% 4.88% 购买 赎回
安宜债A 09-29 1.1310 1.1310 0.11% 0.01% 0.23% 1.64% 8.18% 4.19% 购买 赎回
安宜债C 09-29 1.1196 1.1196 0.10% 0.00% 0.21% 1.55% 7.85% 3.96% 购买 赎回
宝康债 09-29 1.2938 2.4468 0.07% 0.02% -0.16% 0.58% 5.23% 2.42% 购买 赎回
宝康债C 09-29 1.2614 1.5664 0.06% 0.02% -0.20% 0.47% 4.80% 2.11% 购买 赎回
宝嘉30天债券A 09-29 1.0174 1.0174 0.03% -0.06% -0.05% -0.03% 1.47% 0.70% 购买 赎回
宝益90天债券A 09-29 1.0018 1.0018 0.02% -0.12% -0.10% 0.05% -- 0.18% 购买 赎回
宝嘉30天债券C 09-29 1.0149 1.0149 0.02% -0.07% -0.07% -0.09% 1.26% 0.54% 购买 赎回
宝益90天债券C 09-29 1.0011 1.0011 0.02% -0.13% -0.12% 0.00% -- 0.11% 购买 赎回
中短债D 09-29 1.1994 1.1994 0.02% -0.17% -0.20% -0.22% 1.98% 0.75% 购买 赎回
宝通短债C 09-29 1.0735 1.0735 0.02% 0.01% 0.07% 0.30% 1.98% 1.18% 购买 赎回
宝润债A 09-29 1.0068 1.1648 0.02% 0.00% 0.03% -0.49% 2.79% 0.29% 购买 赎回
宝通短债A 09-29 1.0795 1.0795 0.02% 0.01% 0.07% 0.35% 2.18% 1.32% 购买 赎回
宝泓债 09-29 1.0898 1.1448 0.01% -0.23% -0.27% -0.46% 2.56% 0.64% 购买 赎回
安融债A 09-29 1.0222 1.0222 0.01% 0.06% -0.51% 0.59% 1.63% 0.44% 购买 赎回
中短债C 09-29 1.1660 1.1860 0.01% -0.19% -0.24% -0.32% 1.39% 0.46% 购买 赎回
中短债A 09-29 1.1970 1.2170 0.01% -0.18% -0.21% -0.22% 1.79% 0.76% 购买 赎回
宝裕债D 09-29 1.0860 1.0860 0.01% -0.15% 0.01% -0.11% 2.66% 1.96% 购买 赎回
宝盛债A 09-29 1.0641 1.1871 0.01% -0.11% -0.14% -0.23% 1.31% 0.26% 购买 赎回
宝润债C 09-29 1.0035 1.0765 0.01% 0.00% 0.02% -0.51% 1.53% 0.22% 购买 赎回
宝盛债C 09-29 1.0641 1.1091 -- -0.11% -0.14% -0.23% 0.35% 0.26% 购买 赎回
宝隆债C 09-29 1.0385 1.0805 0.00% -0.23% -0.26% -0.59% 2.20% 0.10% 购买 赎回
宝怡债 09-29 1.0919 1.2097 0.00% -0.21% -0.21% -0.29% 2.01% 0.56% 购买 赎回
宝康债D 09-29 1.2938 1.2938 -- 0.02% -0.16% -- -- -0.21% 购买 赎回
宝隆债A 09-29 1.0404 1.0824 0.00% -0.22% -0.24% -0.56% 2.28% 0.17% 购买 赎回
宝裕债A 09-29 1.0873 1.1843 0.00% -0.16% 0.01% -0.09% 2.78% 2.08% 购买 赎回
安融债C 09-29 1.0111 1.0111 0.00% 0.04% -0.55% 0.48% 1.21% 0.14% 购买 赎回
宝丰债D 09-29 1.0439 1.0589 -- -0.27% -0.31% -0.49% 1.03% 0.26% 购买 赎回
政金债A 09-29 1.0730 1.1780 -0.03% -0.07% -0.01% -0.83% 2.22% -0.53% 购买 赎回
政金债C 09-29 1.0658 1.1108 -0.04% -0.06% 0.01% -0.84% 2.05% -0.60% 购买 赎回
宝丰债C 09-29 1.0326 1.1736 -0.07% -0.27% -0.32% -0.55% 0.77% 0.03% 购买 赎回
宝丰债A 09-29 1.0439 1.1999 -0.07% -0.27% -0.31% -0.49% 1.03% 0.23% 购买 赎回
双债增强A* 09-29 1.1958 1.1958 0.57% 1.46% 2.20% 7.54% 18.20% 13.07% 购买 赎回
双债增强C* 09-29 1.1747 1.1747 0.57% 1.45% 2.16% 7.42% 17.72% 12.74% 购买 赎回
双债增强D* 09-29 1.1958 1.1958 -- 1.46% 2.20% 7.54% -- 13.07% 购买 赎回
宝惠定开债* 09-26 1.0065 1.1775 0.01% 0.06% 0.25% 0.75% 3.05% 2.27% 购买 赎回
宝利定开债* 09-26 1.0058 1.2208 0.01% 0.09% 0.40% 1.18% 4.57% 3.35% 购买 赎回
宝瑞定开债* 09-29 1.1205 1.1555 -0.03% -0.28% -0.36% -0.56% 3.58% 0.98% 购买 赎回
安睿债C* 09-26 0.9999 0.9999 -0.04% -0.01% -0.01% -- -- -0.01% 购买 赎回
安睿债A* 09-26 0.9999 0.9999 -0.04% -0.01% -0.01% -- -- -0.01% 购买 赎回
基金名称 净值日期 单位净值 累计净值 日涨跌 近1周 近1个月 近3个月 近1年 今年以来
券商ETF联接 09-29 1.7769 1.7769 4.62% 3.35% -3.44% 11.60% 24.14% 9.02% 购买 赎回
券商ETF联接C 09-29 1.7332 1.7332 4.62% 3.34% -3.48% 11.48% 23.64% 8.69% 购买 赎回
有色ETF联接A 09-29 1.3989 1.3989 3.58% 5.85% 8.27% 35.92% 48.02% 54.81% 购买 赎回
有色ETF联接C 09-29 1.3874 1.3874 3.57% 5.84% 8.24% 35.82% 47.56% 54.48% 购买 赎回
稀有金属增强A 09-29 0.8753 0.8753 3.21% 4.61% 2.02% 42.12% 68.42% 56.89% 购买 赎回
稀有金属增强C 09-29 0.8654 0.8654 3.21% 4.61% 1.99% 42.01% 67.91% 56.52% 购买 赎回
金融科技ETF联接A 09-29 1.2300 1.2300 2.86% -0.68% -6.69% 11.99% 49.85% 28.89% 购买 赎回
金融科技ETF联接C 09-29 1.2161 1.2161 2.86% -0.69% -6.72% 11.90% 49.40% 28.59% 购买 赎回
智能电动车ETF联接A 09-29 0.8191 0.8191 2.82% 5.17% 18.61% 39.78% 50.02% 42.80% 购买 赎回
智能电动车ETF联接C 09-29 0.8095 0.8095 2.82% 5.17% 18.57% 39.67% 49.58% 42.49% 购买 赎回
化工ETF联接A 09-29 0.7108 0.7108 2.38% 3.22% 2.98% 23.02% 23.70% 22.40% 购买 赎回
化工ETF联接C 09-29 0.7048 0.7048 2.37% 3.22% 2.97% 22.94% 23.45% 22.21% 购买 赎回
中证科创创业50ETF联接A 09-29 1.0848 1.0848 2.12% 4.34% 12.59% 62.64% 86.49% 58.97% 购买 赎回
中证科创创业50ETF联接C 09-29 1.0714 1.0714 2.12% 4.32% 12.57% 62.51% 85.91% 58.61% 购买 赎回
港股互联网ETF联接A 09-29 1.3943 1.3943 2.05% 0.26% 9.43% 17.42% 49.14% 45.18% 购买 赎回
港股互联网ETF联接C 09-29 1.3826 1.3826 2.04% 0.25% 9.40% 17.34% 48.68% 44.87% 购买 赎回
深证100指数发起C 09-29 1.3632 1.3632 2.01% 3.00% 6.73% 30.11% -- 36.32% 购买 赎回
深证100指数发起A 09-29 1.3645 1.3645 2.00% 3.00% 6.74% 30.18% -- 36.45% 购买 赎回
上证科创板芯片发起式A 09-29 2.6466 2.6466 1.96% 5.11% 14.53% 61.58% 142.03% 69.69% 购买 赎回
上证科创板芯片发起式C 09-29 2.6406 2.6406 1.95% 5.11% 14.51% 61.49% 141.57% 69.43% 购买 赎回
电子ETF联接A 09-29 1.3023 1.3023 1.53% 1.88% 11.57% 54.03% 83.55% 50.96% 购买 赎回
电子ETF联接C 09-29 1.2915 1.2915 1.53% 1.88% 11.55% 53.95% 83.17% 50.74% 购买 赎回
中证A50ETF发起式联接A 09-29 1.3203 1.3203 1.51% 2.28% 3.85% 15.67% 22.50% 16.11% 购买 赎回
中证A50ETF发起式联接C 09-29 1.3165 1.3165 1.50% 2.28% 3.83% 15.62% 22.26% 15.94% 购买 赎回
创业板人工智能ETF发起式联接A 09-29 1.5847 1.5847 1.49% 1.07% 3.18% 64.47% -- 58.47% 购买 赎回
创业板人工智能ETF发起式联接C 09-29 1.5818 1.5818 1.49% 1.07% 3.15% 64.34% -- 58.18% 购买 赎回
港股通创新药ETF联接A 09-29 0.9265 0.9265 1.48% -2.62% -7.35% -- -- -7.35% 购买 赎回
港股通创新药ETF联接C 09-29 0.9263 0.9263 1.47% -2.63% -7.37% -- -- -7.37% 购买 赎回
科技ETF联接A 09-29 1.7690 1.7690 1.43% 2.16% 8.61% 49.36% 80.14% 52.88% 购买 赎回
科技ETF联接C 09-29 1.7267 1.7267 1.43% 2.15% 8.57% 49.21% 79.42% 52.43% 购买 赎回
中证A100ETF联接A 09-29 1.5750 1.9050 1.40% 2.39% 4.39% 19.67% 25.17% 20.35% 购买 赎回
中证A100ETF联接Y 09-29 1.5753 1.5753 1.40% 2.39% 4.39% 19.68% -- 20.36% 购买 赎回
中证A100ETF联接C 09-29 1.5659 1.8359 1.39% 2.39% 4.37% 19.56% 25.00% 20.03% 购买 赎回
沪深300增强 09-29 1.6960 1.9350 1.37% 2.04% 2.66% 17.31% 25.05% 18.62% 购买 赎回
沪深300增强C 09-29 1.6479 1.8869 1.37% 2.04% 2.63% 17.19% 24.54% 18.26% 购买 赎回
中证A500ETF联接C 09-29 1.2471 1.2471 1.37% 2.13% 3.67% 20.41% -- 24.71% 购买 赎回
中证A500ETF联接A 09-29 1.2489 1.2489 1.36% 2.13% 3.69% 20.47% -- 24.89% 购买 赎回
沪港深新消费A 09-29 1.5014 1.5014 1.26% 1.01% 9.40% 17.04% 57.28% 41.33% 购买 赎回
沪港深新消费C 09-29 1.4891 1.4891 1.26% 1.00% 9.38% 16.97% 56.91% 41.00% 购买 赎回
中证500增强A 09-29 1.4507 1.4507 1.16% 1.41% 2.13% 20.79% 41.66% 29.30% 购买 赎回
中证500增强C 09-29 1.4079 1.4079 1.16% 1.39% 2.09% 20.66% 41.09% 28.90% 购买 赎回
中证A500指数增强A 09-29 1.1445 1.1445 1.15% 1.66% 3.28% 13.18% -- 14.45% 购买 赎回
中证A500指数增强C 09-29 1.1434 1.1434 1.15% 1.65% 3.25% 13.10% -- 14.34% 购买 赎回
食品ETF联接A 09-29 0.6480 0.6480 1.08% -0.17% -4.21% 3.90% -2.76% -2.34% 购买 赎回
食品ETF联接C 09-29 0.6424 0.6424 1.05% -0.19% -4.25% 3.83% -2.98% -2.49% 购买 赎回
沪港深价值A 09-29 1.3000 1.3000 1.04% 0.02% -1.19% 2.34% 18.68% 13.41% 购买 赎回
沪港深价值C 09-29 1.2642 1.2642 1.04% 0.00% -1.23% 2.23% 17.97% 13.08% 购买 赎回
科创板人工智能ETF发起式联接A 09-29 1.4543 1.4543 1.04% -0.02% -0.55% -- -- 45.43% 购买 赎回
科创板人工智能ETF发起式联接C 09-29 1.4534 1.4534 1.04% -0.02% -0.57% -- -- 45.34% 购买 赎回
消费龙头A 09-29 1.2921 1.2921 0.90% 0.89% 1.36% 10.63% 7.29% 5.54% 购买 赎回
消费龙头C 09-29 1.2751 1.2751 0.90% 0.89% 1.34% 10.56% 7.03% 5.35% 购买 赎回
300现金流ETF联接A 09-29 1.0364 1.0364 0.73% 1.41% 0.69% -- -- 3.64% 购买 赎回
300现金流ETF联接C 09-29 1.0358 1.0358 0.73% 1.40% 0.66% -- -- 3.58% 购买 赎回
标普港股通低波红利ETF联接A 09-29 1.1692 1.1778 0.73% -0.38% 1.06% 5.03% -- 17.78% 购买 赎回
标普港股通低波红利ETF联接C 09-29 1.1669 1.1755 0.73% -0.38% 1.04% 4.95% -- 17.55% 购买 赎回
医疗ETF联接A 09-29 0.6650 0.4919 0.57% -0.76% -0.75% 16.67% 18.64% 16.52% 购买 赎回
医疗ETF联接C 09-29 0.6593 0.6593 0.56% -0.77% -0.77% 16.61% 18.39% 16.34% 购买 赎回
信创ETF联接A 09-29 1.2154 1.2154 0.51% 0.16% -1.73% 16.72% -- 21.54% 购买 赎回
信创ETF联接C 09-29 1.2138 1.2138 0.51% 0.15% -1.76% 16.62% -- 21.38% 购买 赎回
标普红利ETF联接A 09-29 1.7228 1.8341 0.47% 0.42% -0.06% 4.44% -- 8.80% 购买 赎回
标普红利ETF联接C 09-29 1.6666 1.7779 0.47% 0.42% -0.08% 4.37% -- 8.57% 购买 赎回
价值ETF联接A 09-29 2.780 2.810 0.47% 0.54% -5.02% -2.87% 9.45% 2.70% 购买 赎回
价值ETF联接C 09-29 2.7770 2.7770 0.43% 0.54% -5.03% -2.94% -- 2.51% 购买 赎回
通用航空ETF联接A 09-29 0.9786 0.9786 0.18% -0.04% -6.53% -- -- -2.14% 购买 赎回
通用航空ETF联接C 09-29 0.9783 0.9783 0.18% -0.05% -6.56% -- -- -2.17% 购买 赎回
中证全指农牧渔指数发起式A 09-29 0.8253 0.8253 0.18% -0.36% -0.66% 9.28% 14.64% 13.65% 购买 赎回
中证全指农牧渔指数发起式C 09-29 0.8160 0.8160 0.17% -0.37% -0.69% 9.21% 14.29% 13.40% 购买 赎回
800红利低波ETF联接A 09-29 1.0181 1.0231 0.04% 0.37% -2.06% -0.30% -- 2.30% 购买 赎回
0-2年政金债A 09-29 1.0154 1.0154 0.03% -0.05% -0.11% -0.31% 1.18% -0.03% 购买 赎回
800红利低波ETF联接C 09-29 1.0166 1.0216 0.03% 0.37% -2.08% -0.36% -- 2.15% 购买 赎回
0-2年政金债C 09-29 1.0179 1.0179 0.02% -0.06% -0.13% -0.35% 1.38% 0.16% 购买 赎回
同业存单 09-29 1.0644 1.0644 0.02% 0.03% 0.08% 0.28% 1.58% 0.97% 购买 赎回
0-3年政金债A 09-29 1.0494 1.0494 0.01% -0.10% -0.11% -0.35% 2.19% 0.29% 购买 赎回
0-3年政金债C 09-29 1.0503 1.0503 0.01% -0.10% -0.13% -0.29% 2.31% 0.32% 购买 赎回
1-3年国开债A 09-29 1.0576 1.1366 -0.03% -0.12% -0.24% -0.45% 0.95% -0.07% 购买 赎回
1-3年国开债C 09-29 1.0593 1.0593 -0.03% -0.12% -0.24% -0.40% 1.01% -0.01% 购买 赎回
药ETF联接A 09-29 0.9857 0.9857 -0.27% -1.16% -0.73% -- -- -1.43% 购买 赎回
药ETF联接C 09-29 0.9856 0.9856 -0.27% -1.16% -0.74% -- -- -1.44% 购买 赎回
银行ETF联接A 09-29 1.5652 2.1300 -0.45% 0.23% -5.63% -8.05% 15.64% 5.15% 购买 赎回
银行ETF联接C 09-29 1.5392 1.5392 -0.45% 0.22% -5.65% -8.10% 15.41% 4.99% 购买 赎回
科创综指增A* 09-26 1.0012 1.0012 -0.14% 0.12% 0.12% -- -- 0.12% 购买 赎回
科创综指增C* 09-26 1.0011 1.0011 -0.14% 0.12% 0.11% -- -- 0.11% 购买 赎回
基金名称 净值日期 单位净值 累计净值 日涨跌 近1周 近1个月 近3个月 近1年 今年以来
香港大盘ETF 09-26 0.9916 0.9916 -0.74% -0.84% -0.84% -- -- -0.84% 申赎清单
券商ETF 09-29 0.6103 1.2206 4.84% 3.48% -3.74% 12.15% 25.23% 9.23% 申赎清单
有色龙头ETF 09-29 0.8231 1.6462 3.83% 6.23% 8.89% 38.66% 52.55% 59.02% 申赎清单
金融科技ETF 09-29 0.9291 1.8582 3.04% -0.78% -7.52% 12.16% 84.13% 29.82% 申赎清单
智能电动车ETF 09-29 1.0812 1.0812 3.02% 5.53% 19.87% 42.62% 58.95% 45.99% 申赎清单
绿色能源ETF 09-29 0.9821 0.9821 2.88% 7.42% 17.76% 37.55% 41.94% 35.67% 申赎清单
新材料ETF 09-29 0.9126 0.9126 2.70% 6.04% 12.81% 37.13% 42.79% 34.44% 申赎清单
化工ETF 09-29 0.7555 0.7555 2.50% 3.39% 3.45% 25.31% 25.75% 24.40% 申赎清单
双创龙头ETF 09-29 0.9383 0.9383 2.24% 4.65% 13.29% 67.05% 93.90% 63.01% 申赎清单
港股互联网ETF 09-29 0.6413 1.2826 2.18% 0.28% 10.04% 18.67% 55.00% 50.54% 申赎清单
深证100ETF 09-29 1.0873 1.0873 2.08% 3.31% 7.72% -- -- 37.84% 申赎清单
创业板综增强ETF 09-29 1.0799 1.0799 1.82% 1.61% 6.02% -- -- 7.99% 申赎清单
电子ETF 09-29 0.6985 1.3970 1.61% 2.02% 12.46% 58.09% 94.70% 54.67% 申赎清单
A50ETF 09-29 1.3039 1.3241 1.59% 2.41% 4.13% 17.19% 23.28% 17.69% 申赎清单
创业板人工智能ETF 09-29 0.8866 1.7732 1.57% 1.19% 3.32% 69.36% -- 85.06% 申赎清单
科技ETF 09-29 1.0245 2.0490 1.53% 2.33% 9.19% 52.86% 85.90% 56.45% 申赎清单
港股通创新药ETF 09-29 0.6162 1.2324 1.53% -2.79% -0.53% 23.23% -- 23.24% 申赎清单
中证A100ETF 09-29 1.1612 1.1612 1.48% 2.53% 4.71% 21.16% 27.87% 21.97% 申赎清单
A500ETF 09-29 1.2285 1.2448 1.45% 2.28% 3.95% 22.10% -- 23.29% 申赎清单
食品ETF 09-29 0.6198 0.6198 1.13% -0.18% -4.47% 4.24% -1.49% -2.05% 申赎清单
智能制造ETF 09-29 0.8282 1.6564 1.11% 1.61% 9.88% 47.54% 94.14% 50.28% 申赎清单
科创板人工智能ETF 09-29 0.6403 1.2806 1.09% 0.05% -0.39% 48.87% -- 28.06% 申赎清单
消费龙头ETF 09-29 0.8278 0.8278 0.95% 0.93% 1.43% 11.04% 6.39% 5.52% 申赎清单
标普港股通低波红利ETF 09-29 1.1510 1.1510 0.78% -0.39% 1.19% 5.66% -- 15.10% 申赎清单
300现金流ETF 09-29 1.1434 1.1434 0.78% 1.52% 0.92% 8.18% -- 14.34% 申赎清单
医疗ETF 09-29 0.3838 1.1514 0.60% -0.80% -0.80% 17.69% 19.42% 17.48% 申赎清单
信创ETF 09-29 0.5746 1.1492 0.56% 0.16% -1.63% 18.39% 57.10% 24.62% 申赎清单
大数据ETF 09-29 1.1069 1.1069 0.55% 0.21% 1.04% 22.49% 61.21% 25.68% 申赎清单
标普红利ETF 09-29 0.5994 1.2448 0.50% 0.45% -0.05% 4.76% 15.55% 9.46% 申赎清单
价值ETF 09-29 1.041 2.851 0.48% 0.58% -5.19% -2.80% 10.63% 3.27% 申赎清单
国防军工ETF 09-29 0.6930 1.3860 0.48% -0.03% -8.39% 9.01% 33.64% 15.46% 申赎清单
地产ETF 09-29 0.7088 0.7088 0.43% 3.43% 7.04% 21.64% 7.36% 11.75% 申赎清单
通用航空ETF 09-29 0.5972 1.1944 0.20% -0.02% -6.96% 7.75% -- 19.44% 申赎清单
农牧渔ETF 09-29 1.0008 1.0008 0.18% -0.06% 0.08% -- -- 0.08% 申赎清单
800红利低波ETF 09-29 1.0345 1.0443 0.05% 0.51% -1.97% 0.11% -- 0.14% 申赎清单
A500红利低波ETF 09-29 0.9748 0.9748 -0.02% 0.23% -2.31% -- -- -2.52% 申赎清单
养老ETF 09-29 0.8820 0.8820 -0.02% -0.83% -2.97% 5.05% 20.11% 9.80% 申赎清单
药ETF 09-29 1.1077 1.1077 -0.28% -1.21% -0.71% 13.41% -- 10.77% 申赎清单
银行ETF 09-29 0.7844 1.5688 -0.48% 0.23% -5.95% -8.43% 16.63% 5.68% 申赎清单
基金名称 净值日期 万份收益 七日年化收益率
华宝添益B 09-29 0.3554 1.2760% 购买 赎回
华宝添益D 09-29 0.2958 1.0350% 购买 赎回
现金宝A 09-29 0.3062 1.1090% 购买 赎回
现金宝B 09-29 0.3719 1.3520% 购买 赎回
现金宝E 09-29 0.3720 1.3520% 购买 赎回
单日取现额度2万
基金名称 净值日期 单位净值 累计净值
浮动货币 09-29 107.3806 109.3806 购买 赎回
基金名称 净值日期 百份收益 七日年化收益率
华宝添益A 09-29 0.3037 1.0870% 申赎清单
基金名称 净值日期 单位净值 累计净值 日涨跌 近1周 近1个月 近3个月 近1年 今年以来
香港中小A 09-29 1.5754 1.5754 1.98% -0.32% 1.99% 18.43% 37.06% 37.99% 购买 赎回
香港中小C 09-29 1.5315 1.5315 1.98% -0.33% 1.96% 18.32% 36.51% 37.58% 购买 赎回
香港大盘C 09-29 1.4520 1.4520 1.61% 1.39% 8.59% 10.31% 42.67% 34.01% 购买 赎回
香港大盘A 09-29 1.4603 1.4603 1.61% 1.40% 8.62% 10.42% 40.14% 34.47% 购买 赎回
美国消费 09-26 3.096 3.096 1.44% -0.42% 2.52% 10.18% 19.17% 6.06% 购买 赎回
美国消费C 09-26 3.026 3.026 1.41% -0.43% 2.47% 10.08% 18.71% 5.73% 购买 赎回
美国消费美元 09-26 0.4351 0.4351 1.40% -0.46% 2.57% 10.91% 17.82% 7.14% 购买 赎回
华宝油气C 09-26 0.7507 0.7507 0.89% 5.91% 6.05% 6.35% 8.67% 2.64% 购买 赎回
华宝油气 09-26 0.7694 0.7694 0.88% 5.92% 6.07% 6.45% 9.10% 2.94% 购买 赎回
华宝油气美元 09-26 0.1081 0.1081 0.84% 5.88% 6.08% 7.14% 7.88% 3.94% 购买 赎回
海外科技LOF C 09-26 1.9566 1.9566 0.67% -0.70% 6.75% 11.15% 40.30% 21.88% 购买 赎回
海外科技LOF 09-26 1.9687 1.9687 0.66% -0.69% 6.77% 11.23% 40.71% 22.15% 购买 赎回
QDII致远A 09-26 1.2718 1.2718 0.22% -2.11% 6.84% 13.30% 28.18% 15.85% 购买 赎回
QDII致远C 09-26 1.2425 1.2425 0.22% -2.13% 6.80% 13.18% 27.66% 15.51% 购买 赎回
纳斯达克精选A 09-26 2.2857 2.2857 -0.15% -0.70% 6.33% 16.18% 37.62% 20.79% 购买 赎回
纳斯达克精选C 09-26 2.2641 2.2641 -0.16% -0.71% 6.30% 16.07% 37.07% 20.43% 购买 赎回
海外新能源汽车(QDII)A 09-26 1.8783 1.8783 -0.34% 0.97% 8.91% 21.29% 56.42% 37.38% 购买 赎回
海外新能源汽车(QDII)C 09-26 1.8620 1.8620 -0.35% 0.97% 8.87% 21.17% 55.80% 36.98% 购买 赎回
海外中国 09-26 1.569 1.569 -0.63% -1.81% 1.42% 17.79% 37.39% 47.46% 购买 赎回
基金名称 净值日期 单位净值 累计净值 日涨跌 近1周 近1个月 近3个月 近1年 今年以来
稳健养老FOF A 09-25 1.3498 1.3498 0.22% 0.96% 2.13% 7.97% 13.75% 9.02% 购买 赎回
稳健养老FOF Y 09-25 1.3730 1.3730 0.22% 0.96% 2.16% 8.07% 14.17% 9.32% 购买 赎回
稳健优选FOF A 09-25 1.0233 1.0233 0.01% 0.11% 0.38% 1.52% -- 2.33% 购买 赎回
稳健优选FOF C 09-25 1.0212 1.0212 0.01% 0.11% 0.36% 1.43% -- 2.12% 购买 赎回
基金名称 净值日期 单位净值 累计净值 日涨跌 近1周 近1个月 近3个月 近1年 今年以来

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