名称 | 净值 | 日增长率 |
以下为热门基金 | ||
名称 | 净值 | 日增长率 |
东方周期优选灵活配置混合 | 0.8293 | 6.20% |
前海开源金银珠宝混合A | 1.7250 | 5.89% |
前海开源金银珠宝混合C | 1.6880 | 5.83% |
汇丰晋信中小盘股票 | 2.5233 | 5.73% |
华富永鑫灵活配置混合A | 1.2172 | 5.65% |
华富永鑫灵活配置混合C | 1.1842 | 5.65% |
西部利得策略优选混合C | 1.1360 | 5.48% |
西部利得策略优选混合A | 1.1580 | 5.46% |
银华内需精选混合(LOF) | 2.9620 | 5.41% |
银华同力精选混合 | 0.9494 | 5.34% |
名称 | 净值 | 日增长率 |
汇丰晋信中小盘股票 | 2.5233 | 5.73% |
汇丰晋信时代先锋混合… | 0.6928 | 2.02% |
汇丰晋信时代先锋混合… | 0.6846 | 2.01% |
汇丰晋信沪港深股票C | 1.1123 | 1.62% |
汇丰晋信沪港深股票A | 1.1597 | 1.62% |
名称 | 万份收益 | 7日年化 |
汇丰晋信货币B | 0.5084 | 1.55% |
汇丰晋信货币C | 0.5083 | 1.55% |
汇丰晋信货币A | 0.4428 | 1.31% |
名称 | 日增长率 | 操作 |
易方达新兴成长混合 | 0.63% | |
鹏华中证国防指数(LOF)A | 1.27% | |
兴全有机增长混合 | 0.27% | |
名称 | 万份收益 | 操作 |
诺安聚鑫宝货币A | 0.487 |
名称 | 成立以来收益 | 操作 |
汇丰晋信平稳增利中短债债券C分红拆分 |
基金分红 |
分红年度 | 权益登记日 | 除息日 | 红利发放日 | 每份收益单位派息(元) |
2024 | 2024-04-01 | 2024-04-01 | 2024-04-03 | 0.007 |
2024 | 2024-01-02 | 2024-01-02 | 2024-01-04 | 0.0065 |
2023 | 2023-10-09 | 2023-10-09 | 2023-10-11 | 0.0055 |
2023 | 2023-07-03 | 2023-07-03 | 2023-07-05 | 0.0063 |
2023 | 2023-04-03 | 2023-04-03 | 2023-04-06 | 0.0063 |
2023 | 2023-01-03 | 2023-01-03 | 2023-01-05 | 0.0075 |
2022 | 2022-10-10 | 2022-10-10 | 2022-10-12 | 0.01 |
2022 | 2022-07-01 | 2022-07-01 | 2022-07-05 | 0.0067 |
2022 | 2022-04-01 | 2022-04-01 | 2022-04-07 | 0.0073 |
2022 | 2022-01-04 | 2022-01-04 | 2022-01-06 | 0.008 |
2021 | 2021-10-08 | 2021-10-08 | 2021-10-12 | 0.0057 |
2021 | 2021-07-01 | 2021-07-01 | 2021-07-05 | 0.007 |
2021 | 2021-04-01 | 2021-04-01 | 2021-04-06 | 0.009 |
2021 | 2021-01-04 | 2021-01-04 | 2021-01-06 | |
2020 | 2020-10-09 | 2020-10-09 | 2020-10-13 | 0.0074 |
2020 | 2020-07-01 | 2020-07-01 | 2020-07-03 | 0.0105 |
2020 | 2020-04-01 | 2020-04-01 | 2020-04-03 | 0.006 |
2020 | 2020-01-02 | 2020-01-02 | 2020-01-06 | |
2017 | 2017-01-03 | 2017-01-03 | 2017-01-05 | 0.0012 |
2016 | 2016-10-10 | 2016-10-10 | 2016-10-12 | 0.0085 |
2016 | 2016-07-01 | 2016-07-01 | 2016-07-05 | 0.008 |
2016 | 2016-04-01 | 2016-04-01 | 2016-04-06 | 0.0075 |
2016 | 2016-01-04 | 2016-01-04 | 2016-01-06 | 0.0092 |
2015 | 2015-10-08 | 2015-10-08 | 2015-10-12 | 0.009 |
2015 | 2015-07-01 | 2015-07-01 | 2015-07-03 | 0.02 |
2015 | 2015-04-01 | 2015-04-01 | 2015-04-03 | 0.0133 |
2015 | 2015-01-05 | 2015-01-05 | 2015-01-07 | 0.018 |
2014 | 2014-10-08 | 2014-10-08 | 2014-10-10 | 0.0135 |
2014 | 2014-07-01 | 2014-07-01 | 2014-07-03 | |
2013 | 2013-10-08 | 2013-10-08 | 2013-10-10 | |
2013 | 2013-07-01 | 2013-07-01 | 2013-07-03 | 0.0023 |
2013 | 2013-04-01 | 2013-04-01 | 2013-04-03 | 0.026 |
2013 | 2013-01-04 | 2013-01-04 | 2013-01-08 | 0.0145 |
2012 | 2012-10-08 | 2012-10-08 | 2012-10-10 | 0.0054 |
2012 | 2012-07-02 | 2012-07-02 | 2012-07-04 | 0.011 |
2012 | 2012-04-05 | 2012-04-05 | 2012-04-09 | 0.004 |
2012 | 2012-01-04 | 2012-01-04 | 2012-01-06 | 0.016 |
拆分日期 | 拆分前净值 | 拆分后净值 | 拆分比例 |