基金名称 | 基金代码 | 日期 | 每万份收益(元) | 七日年化收益率 | 最低申购费率 | 交易 | 定投 |
---|---|---|---|---|---|---|---|
国寿货币A | 000505 | 11-27 | 0.3673 | 1.353% | 0% | ||
国寿货币B | 000506 | 11-27 | 0.4330 | 1.596% | 0% | ||
国寿添利货币A | 003422 | 11-27 | 0.3454 | 1.321% | 0% | ||
国寿添利货币B | 003423 | 11-27 | 0.4108 | 1.564% | 0% | ||
国寿聚宝盆货币A | 001096 | 11-27 | 0.4640 | 1.772% | 0% | ||
国寿聚宝盆货币B | 009485 | 11-27 | 0.4637 | 1.771% | 0% | ||
国寿增金宝货币A | 001826 | 11-27 | 0.3886 | 1.379% | 0% | ||
国寿增金宝货币B | 009790 | 11-27 | 0.4543 | 1.623% | 0% | ||
国寿鑫钱包货币A | 001931 | 11-27 | 0.4042 | 1.561% | 0% | ||
国寿鑫钱包货币B | 011063 | 11-27 | 0.4562 | 1.755% | 0% | ||
国寿鑫钱包货币C | 018667 | 11-27 | 0.3918 | 1.512% | 0% | ||
国寿薪金宝货币A | 000895 | 11-27 | 0.3673 | 1.422% | 0% | ||
国寿薪金宝货币B | 017880 | 11-27 | 0.4219 | 1.625% | 0% | ||
基金名称 | 基金代码 | 日期 | 每百万份收益(元) | 七日年化收益率 | 最低申购费率 | 交易 | 定投 |
国保A [申购赎回限制清单] | 519878 | 11-27 | 0.2234 | 0.824% | -- | 暂停交易 | |
国保B [申购赎回限制清单] | 519879 | 11-27 | 0.3594 | 1.328% | -- | 暂停交易 | |
基金名称 | 基金代码 | 日期 | 每百份收益(元) | 七日年化收益率 | 最低申购费率 | 交易 | 定投 |
国寿货币E [申购赎回限制清单] | 511970 | 11-27 | 0.3672 | 1.353% | -- | 暂停交易 |
基金名称 | 基金代码 | 日期 | 单位净值 | 累计净值 | 日涨跌 | 最低申购费率 | 交易 | 定投 |
---|---|---|---|---|---|---|---|---|
国寿智慧生活股票 | 001672 | 11-27 | 1.317 | 2.124 | 2.73% | |||
国寿成长优选股票A | 001521 | 11-27 | 1.170 | 1.576 | 2.72% | |||
国寿成长优选股票C | 017916 | 11-27 | 0.780 | 0.780 | 2.63% | 0% | ||
国寿优选国企股票发起式A | 019765 | 11-27 | 1.1902 | 1.1902 | 2.23% | |||
国寿优选国企股票发起式C | 019766 | 11-27 | 1.1843 | 1.1843 | 2.24% | 0% | ||
国寿新材料股票发起式A | 019824 | 11-27 | 1.1609 | 1.1609 | 3.66% | |||
国寿新材料股票发起式C | 019825 | 11-27 | 1.1585 | 1.1585 | 3.65% | 0% | ||
国寿先进制造股票发起式A | 019902 | 11-27 | 1.0784 | 1.0784 | 3.11% | |||
国寿先进制造股票发起式C | 019903 | 11-27 | 1.0723 | 1.0723 | 3.11% | 0% | ||
国寿品质消费股票发起式A | 020140 | 11-27 | 0.8905 | 0.8905 | 2.72% | |||
国寿品质消费股票发起式C | 020141 | 11-27 | 0.8882 | 0.8882 | 2.72% | 0% | ||
国寿高端装备股票发起式A | 020720 | 11-27 | 0.9181 | 0.9181 | 3.20% | |||
国寿高端装备股票发起式C | 020721 | 11-27 | 0.9171 | 0.9171 | 3.20% | 0% | ||
国寿数字经济股票发起式A | 020722 | 11-27 | 1.2389 | 1.2389 | 3.30% | |||
国寿数字经济股票发起式C | 020723 | 11-27 | 1.2352 | 1.2352 | 3.30% | 0% | ||
国寿产业升级股票发起式A | 020775 | 11-27 | 0.9994 | 0.9994 | 2.03% | |||
国寿产业升级股票发起式C | 020774 | 11-27 | 0.9964 | 0.9964 | 2.04% | 0% | ||
国寿农业产业股票发起式A | 021830 | 11-27 | 1.1144 | 1.1144 | 2.10% | |||
国寿农业产业股票发起式C | 021831 | 11-27 | 1.1124 | 1.1124 | 2.09% | 0% | ||
国寿中证500ETF联接 | 001241 | 11-27 | 0.6129 | 0.6129 | 1.86% | |||
国寿1-3年国开债C | 007011 | 11-27 | 1.0557 | 1.1767 | 0.00% | 0% | ||
国寿1-3年国开债A | 007010 | 11-27 | 1.0576 | 1.1786 | 0.00% | |||
国寿中证500ETF [申购赎回清单] | 510560 | 11-27 | 1.3517 | 0.6259 | 1.98% | -- | 暂停交易 | |
国寿沪深300ETF [申购赎回清单] | 510380 | 11-27 | 1.1202 | 1.1202 | 1.73% | -- | 暂停交易 | |
国寿沪深300ETF联接A | 000613 | 11-27 | 1.0779 | 1.8349 | 1.62% | |||
国寿沪深300ETF联接C | 021103 | 11-27 | 1.1263 | 1.1263 | 1.62% | 0% | ||
国寿创精选88ETF [申购赎回清单] | 159804 | 11-27 | 1.2117 | 1.2117 | 3.35% | -- | ||
国寿创精选88ETF联接A | 008898 | 11-27 | 1.1109 | 1.1109 | 3.17% | |||
国寿创精选88ETF联接C | 008899 | 11-27 | 1.0959 | 1.0959 | 3.17% | 0% | ||
国寿中债3-5年政金债指数A | 009581 | 11-27 | 1.0891 | 1.1601 | 0.02% | |||
国寿中债3-5年政金债指数C | 009582 | 11-27 | 1.1245 | 1.1955 | 0.02% | 0% | ||
国寿沪港深300ETF [申购赎回清单] | 517300 | 11-27 | 0.7544 | 0.7544 | 1.82% | -- | 暂停交易 | |
国寿沪港深300ETF联接A | 012663 | 11-27 | 1.0254 | 1.0254 | 1.69% | |||
国寿沪港深300ETF联接C | 012664 | 11-27 | 1.0213 | 1.0213 | 1.68% | 0% | ||
国寿中证同业存单AAA指数7天持有期 | 019121 | 11-27 | 1.0191 | 1.0191 | 0.00% | 0% | ||
* 国寿瑞和纯债66个月定开 | 009587 | 11-22 | 1.0367 | 1.1645 | 0.07% | 封闭期 | ||
国寿安瑞纯债 | 004629 | 11-27 | 1.0690 | 1.2334 | 0.01% | |||
* 国寿安吉纯债半年 | 004821 | 11-22 | 1.0457 | 1.3574 | 0.03% | -- | 封闭期 | |
* 国寿安裕纯债半年 | 005208 | 11-27 | 1.0228 | 1.3197 | 0.03% | 封闭期 | ||
国寿安康纯债 | 003285 | 11-27 | 1.0609 | 1.3392 | 0.01% | |||
* 国寿安盛纯债3个月 | 004797 | 11-27 | 1.0383 | 1.2976 | 0.04% | -- | 封闭期 | |
国寿尊益信用纯债 | 000931 | 11-27 | 1.2925 | 1.5025 | 0.05% | |||
国寿尊裕优化回报A | 004318 | 11-27 | 1.110 | 1.221 | 0.63% | |||
国寿尊裕优化回报C | 004319 | 11-27 | 1.092 | 1.187 | 0.74% | 0% | ||
国寿尊利增强回报A | 002720 | 11-27 | 1.118 | 1.205 | 0.18% | |||
国寿尊利增强回报C | 002721 | 11-27 | 1.097 | 1.173 | 0.18% | 0% | ||
国寿安丰纯债 | 006599 | 11-27 | 1.1241 | 1.2251 | -0.01% | |||
国寿尊荣中短债A | 006773 | 11-27 | 1.1603 | 1.2003 | 0.03% | |||
国寿尊荣中短债C | 006774 | 11-27 | 1.1394 | 1.1794 | 0.04% | 0% | ||
国寿尊享A | 000668 | 11-27 | 1.2427 | 1.6419 | 0.17% | |||
国寿尊享C | 000669 | 11-27 | 1.2215 | 1.6208 | 0.16% | 0% | ||
* 国寿安泽纯债39个月 | 007970 | 11-22 | 1.0079 | 1.1469 | 0.05% | 封闭期 | ||
国寿泰和纯债 | 006919 | 11-27 | 1.0492 | 1.2012 | 0.04% | |||
国寿泰荣纯债 | 007215 | 11-27 | 1.1373 | 1.1713 | 0.00% | |||
国寿泰恒纯债 | 006980 | 11-27 | 1.1269 | 1.2234 | 0.03% | |||
国寿泰弘纯债 | 007419 | 11-27 | 1.1027 | 1.1828 | 0.05% | |||
国寿尊耀纯债A | 007837 | 11-27 | 1.1701 | 1.2001 | 0.18% | |||
国寿尊耀纯债C | 007838 | 11-27 | 1.1461 | 1.1761 | 0.17% | 0% | ||
* 国寿泰瑞纯债一年 | 008503 | 11-22 | 1.0138 | 1.2196 | 0.17% | 封闭期 | ||
* 国寿泰吉纯债一年定开 | 008902 | 11-22 | 1.0992 | 1.1192 | 0.03% | -- | 封闭期 | |
国寿尊诚纯债A | 008873 | 11-27 | 1.1565 | 1.1598 | 0.01% | |||
国寿尊诚纯债C | 008874 | 11-27 | 1.1367 | 1.1399 | 0.00% | 0% | ||
* 国寿泰祥纯债一年定开 | 008289 | 11-22 | 1.0134 | 1.1134 | 0.12% | -- | 封闭期 | |
国寿尊恒利率债A | 008875 | 11-27 | 1.0766 | 1.1646 | 0.00% | |||
国寿尊恒利率债C | 008876 | 11-27 | 1.0579 | 1.1459 | -0.01% | 0% | ||
国寿泰安纯债债券 | 010232 | 11-27 | 1.0737 | 1.1537 | 0.01% | |||
国寿尊庆6个月持有债券A | 009309 | 11-27 | 1.0665 | 1.1115 | 0.02% | |||
国寿尊庆6个月持有债券C | 009310 | 11-27 | 1.0548 | 1.0998 | 0.02% | 0% | ||
国寿尊弘短债A | 011008 | 11-27 | 1.1114 | 1.1114 | 0.01% | |||
国寿尊弘短债C | 011009 | 11-27 | 1.1001 | 1.1001 | 0.01% | 0% | ||
国寿尊弘短债E | 011010 | 11-27 | 1.0795 | 1.0795 | 0.01% | 0% | ||
国寿安恒金融债债券 | 012451 | 11-27 | 1.0585 | 1.1275 | -0.03% | |||
国寿安悦纯债一年定开 | 011634 | 11-27 | 1.0246 | 1.1016 | 0.01% | |||
* 国寿安弘纯债一年定开 | 011951 | 11-22 | 1.0138 | 1.1074 | 0.09% | 封闭期 | ||
* 国寿安锦纯债一年定开 | 014231 | 11-22 | 1.0210 | 1.1100 | 0.13% | 封闭期 | ||
* 国寿安诚纯债一年定开 | 013062 | 11-22 | 1.0667 | 1.0867 | 0.08% | 封闭期 | ||
国寿安和纯债债券 | 014778 | 11-27 | 1.0603 | 1.0703 | -0.01% | |||
国寿泰然纯债债券 | 015581 | 11-27 | 1.0758 | 1.0758 | 0.03% | |||
国寿超短债A | 017305 | 11-27 | 1.0546 | 1.0546 | 0.01% | |||
国寿超短债C | 017306 | 11-27 | 1.0515 | 1.0515 | 0.01% | 0% | ||
国寿超短债E | 022250 | 11-27 | 1.0031 | 1.0031 | 0.01% | 0% | ||
* 国寿安泰三个月定开债券 | 018256 | 11-22 | 1.0296 | 1.0436 | 0.05% | 封闭期 | ||
国寿泰悦3个月滚动持有A | 019908 | 11-27 | 1.0435 | 1.0435 | 0.01% | |||
国寿泰悦3个月滚动持有C | 019909 | 11-27 | 1.0412 | 1.0412 | 0.01% | |||
* 国寿利率债三个月定开 | 020528 | 11-22 | 1.0202 | 1.0342 | 0.05% | 封闭期 | ||
* 国寿安保泰裕债券A | 020787 | 11-27 | 1.0973 | 1.0973 | 0.31% | |||
* 国寿安保泰裕债券C | 020788 | 11-27 | 1.0948 | 1.0948 | 0.30% | |||
国寿安保泰宁利率债债券 | 021695 | 11-27 | 1.0146 | 1.0146 | 0.00% | |||
国寿稳健养老一年持有(FOF)A | 008617 | 11-26 | 1.0321 | 1.0321 | -0.11% | |||
国寿稳健养老一年持有(FOF)Y | 017909 | 11-26 | 1.0367 | 1.0367 | -0.10% | 暂停交易 | ||
国寿策略优选3个月持有(FOF) | 009151 | 11-26 | 1.0898 | 1.0898 | 0.03% | |||
国寿养老目标日期2030三年持有(FOF)A | 013510 | 11-25 | 0.8977 | 0.8977 | -0.10% | |||
国寿养老目标日期2030三年持有(FOF)Y | 017901 | 11-25 | 0.9052 | 0.9052 | -0.10% | 暂停交易 | ||
国寿稳泰一年A | 004772 | 11-22 | 1.3419 | 1.5339 | -0.27% | 0.6% | 暂停交易 | |
国寿稳泰一年C | 004773 | 11-22 | 1.2831 | 1.4711 | -0.28% | 0.6% | 暂停交易 | |
国寿强国智造混合 | 003131 | 11-27 | 1.0179 | 1.2079 | 2.21% | |||
国寿科技创新混合(LOF) | 501097 | 11-27 | 1.0252 | 1.0252 | 2.38% | |||
国寿稳诚混合A | 004225 | 11-27 | 1.0732 | 1.4193 | 0.46% | |||
国寿稳诚混合C | 004226 | 11-27 | 1.0673 | 1.4106 | 0.46% | 0% | ||
国寿稳惠混合 | 002148 | 11-27 | 0.9701 | 1.3517 | 3.20% | |||
国寿稳嘉混合A | 004258 | 11-27 | 1.1234 | 1.4454 | 0.17% | |||
国寿稳嘉混合C | 004259 | 11-27 | 1.1187 | 1.4377 | 0.18% | 0% | ||
国寿稳荣混合A | 004279 | 11-27 | 1.1708 | 1.5372 | 0.10% | |||
国寿稳荣混合C | 004280 | 11-27 | 1.1639 | 1.5275 | 0.10% | 0% | ||
国寿稳信混合A | 004301 | 11-27 | 1.1476 | 1.3834 | 0.92% | |||
国寿稳信混合C | 004302 | 11-27 | 1.1469 | 1.3801 | 0.92% | 0% | ||
国寿稳信混合E | 015406 | 11-27 | 1.0091 | 1.0091 | 0.92% | 0% | ||
国寿稳寿混合A | 004405 | 11-27 | 1.0884 | 1.4411 | 0.34% | |||
国寿稳寿混合C | 004406 | 11-27 | 1.0842 | 1.4327 | 0.34% | 0% | ||
国寿策略精选混合(LOF)A | 168002 | 11-27 | 1.6460 | 1.6960 | 2.88% | |||
国寿策略精选混合(LOF)C | 022124 | 11-27 | 1.1866 | 1.1866 | 2.89% | |||
国寿核心产业混合 | 002376 | 11-27 | 0.715 | 1.116 | 2.14% | |||
国寿健康科学混合A | 005043 | 11-27 | 1.0609 | 1.0609 | 1.45% | |||
国寿健康科学混合C | 005044 | 11-27 | 1.0366 | 1.0366 | 1.46% | 0% | ||
国寿目标策略混合A | 004818 | 11-27 | 1.1885 | 1.1885 | 2.16% | |||
国寿目标策略混合C | 004819 | 11-27 | 1.1776 | 1.1776 | 2.15% | 0% | ||
国寿稳吉混合A | 004756 | 11-27 | 1.2022 | 1.4410 | 0.22% | |||
国寿稳吉混合C | 004757 | 11-27 | 1.1983 | 1.4354 | 0.23% | 0% | ||
国寿稳瑞混合A | 004760 | 11-27 | 1.2252 | 1.4062 | 1.19% | |||
国寿稳瑞混合C | 004761 | 11-27 | 1.2186 | 1.3976 | 1.19% | 0% | ||
国寿华兴混合 | 005683 | 11-27 | 1.2649 | 1.2949 | 2.33% | |||
国寿新蓝筹混合 | 007074 | 11-27 | 1.0072 | 1.0072 | 1.73% | |||
国寿研究精选混合A | 008082 | 11-27 | 1.1465 | 1.1465 | 1.87% | |||
国寿研究精选混合C | 008083 | 11-27 | 1.1299 | 1.1299 | 1.88% | 0% | ||
国寿稳丰6个月A | 009244 | 11-27 | 1.1391 | 1.1391 | 0.34% | |||
国寿稳丰6个月C | 009245 | 11-27 | 1.1243 | 1.1243 | 0.33% | 0% | ||
国寿高股息混合A | 009500 | 11-27 | 0.7841 | 0.7841 | 2.32% | |||
国寿高股息混合C | 009501 | 11-27 | 0.7744 | 0.7744 | 2.33% | 0% | ||
国寿裕安混合A | 010205 | 11-27 | 1.0146 | 1.0346 | 1.71% | |||
国寿裕安混合C | 010206 | 11-27 | 1.0083 | 1.0283 | 1.71% | 0% | ||
国寿稳和6个月混合A | 010541 | 11-27 | 1.1075 | 1.1075 | 0.08% | |||
国寿稳和6个月混合C | 010542 | 11-27 | 1.0876 | 1.0876 | 0.07% | 0% | ||
国寿稳弘混合A | 011027 | 11-27 | 1.1422 | 1.1422 | 0.30% | |||
国寿稳弘混合C | 011028 | 11-27 | 1.1427 | 1.1427 | 0.31% | 0% | ||
国寿稳弘混合E | 015407 | 11-27 | 0.9431 | 0.9431 | 0.30% | 0% | ||
国寿稳悦混合A | 010828 | 09-06 | 0.9006 | 0.9006 | 0.00% | 暂停交易 | ||
国寿稳悦混合C | 010829 | 09-06 | 0.8993 | 0.8993 | 0.00% | 0% | 暂停交易 | |
国寿稳鑫一年A | 011510 | 11-27 | 0.9705 | 0.9905 | 0.12% | |||
国寿稳鑫一年C | 011511 | 11-27 | 0.9561 | 0.9761 | 0.13% | 0% | ||
国寿稳安混合A | 010984 | 11-27 | 1.0326 | 1.0326 | 0.61% | |||
国寿稳安混合C | 010985 | 11-27 | 1.0144 | 1.0144 | 0.61% | 0% | ||
国寿稳福6个月持有混合A | 010934 | 11-27 | 1.0269 | 1.0269 | 0.48% | |||
国寿稳福6个月持有混合C | 010935 | 11-27 | 1.0128 | 1.0128 | 0.49% | 0% | ||
国寿璟珹6个月持有期混合A | 011773 | 11-27 | 1.0274 | 1.0274 | 0.26% | |||
国寿璟珹6个月持有期混合C | 011774 | 11-27 | 1.0134 | 1.0134 | 0.27% | 0% | ||
国寿裕丰混合A | 011734 | 11-27 | 0.9295 | 0.9295 | 0.77% | |||
国寿裕丰混合C | 011735 | 11-27 | 0.9262 | 0.9262 | 0.76% | 0% | ||
国寿稳盛6个月持有混合A | 012955 | 11-27 | 1.1003 | 1.1003 | 0.19% | |||
国寿稳盛6个月持有混合C | 012956 | 11-27 | 1.0877 | 1.0877 | 0.19% | 0% | ||
国寿稳隆混合A | 011771 | 09-08 | 1.0161 | 1.0161 | 0.00% | |||
国寿稳隆混合C | 011772 | 09-08 | 1.0036 | 1.0036 | 0.00% | 0% | ||
国寿盛泽三年持有期混合A | 013323 | 11-27 | 0.7003 | 0.7003 | 2.38% | 暂停赎回 | ||
国寿盛泽三年持有期混合C | 013324 | 11-27 | 0.6923 | 0.6923 | 2.37% | 0% | 暂停赎回 | |
国寿低碳经济混合A | 012102 | 11-27 | 0.5751 | 0.5751 | 2.17% | |||
国寿低碳经济混合C | 012103 | 11-27 | 0.5708 | 0.5708 | 2.15% | 0% | ||
国寿稳泽两年持有期混合A | 015235 | 11-27 | 1.1177 | 1.1177 | 0.20% | |||
国寿稳泽两年持有期混合C | 015236 | 11-27 | 1.1062 | 1.1062 | 0.18% | 0% | ||
国寿景气优选混合发起式A | 020600 | 11-27 | 1.2337 | 1.2337 | 0.92% | |||
国寿景气优选混合发起式C | 020601 | 11-27 | 1.2298 | 1.2298 | 0.92% | 0% |
基金名称 | 基金代码 | 日期 | 单位净值 | 累计净值 | 日涨跌 | 最低申购费率 | 交易 | 定投 |
---|---|---|---|---|---|---|---|---|
国寿智慧生活股票 | 001672 | 11-27 | 1.317 | 2.124 | 2.73% | |||
国寿成长优选股票A | 001521 | 11-27 | 1.170 | 1.576 | 2.72% | |||
国寿成长优选股票C | 017916 | 11-27 | 0.780 | 0.780 | 2.63% | 0% | ||
国寿优选国企股票发起式A | 019765 | 11-27 | 1.1902 | 1.1902 | 2.23% | |||
国寿优选国企股票发起式C | 019766 | 11-27 | 1.1843 | 1.1843 | 2.24% | 0% | ||
国寿新材料股票发起式A | 019824 | 11-27 | 1.1609 | 1.1609 | 3.66% | |||
国寿新材料股票发起式C | 019825 | 11-27 | 1.1585 | 1.1585 | 3.65% | 0% | ||
国寿先进制造股票发起式A | 019902 | 11-27 | 1.0784 | 1.0784 | 3.11% | |||
国寿先进制造股票发起式C | 019903 | 11-27 | 1.0723 | 1.0723 | 3.11% | 0% | ||
国寿品质消费股票发起式A | 020140 | 11-27 | 0.8905 | 0.8905 | 2.72% | |||
国寿品质消费股票发起式C | 020141 | 11-27 | 0.8882 | 0.8882 | 2.72% | 0% | ||
国寿高端装备股票发起式A | 020720 | 11-27 | 0.9181 | 0.9181 | 3.20% | |||
国寿高端装备股票发起式C | 020721 | 11-27 | 0.9171 | 0.9171 | 3.20% | 0% | ||
国寿数字经济股票发起式A | 020722 | 11-27 | 1.2389 | 1.2389 | 3.30% | |||
国寿数字经济股票发起式C | 020723 | 11-27 | 1.2352 | 1.2352 | 3.30% | 0% | ||
国寿产业升级股票发起式A | 020775 | 11-27 | 0.9994 | 0.9994 | 2.03% | |||
国寿产业升级股票发起式C | 020774 | 11-27 | 0.9964 | 0.9964 | 2.04% | 0% | ||
国寿农业产业股票发起式A | 021830 | 11-27 | 1.1144 | 1.1144 | 2.10% | |||
国寿农业产业股票发起式C | 021831 | 11-27 | 1.1124 | 1.1124 | 2.09% | 0% |
基金名称 | 基金代码 | 日期 | 单位净值 | 累计净值 | 日涨跌 | 最低申购费率 | 交易 | 定投 |
---|---|---|---|---|---|---|---|---|
国寿中证500ETF联接 | 001241 | 11-27 | 0.6129 | 0.6129 | 1.86% | |||
国寿1-3年国开债C | 007011 | 11-27 | 1.0557 | 1.1767 | 0.00% | 0% | ||
国寿1-3年国开债A | 007010 | 11-27 | 1.0576 | 1.1786 | 0.00% | |||
国寿中证500ETF [申购赎回清单] | 510560 | 11-27 | 1.3517 | 0.6259 | 1.98% | -- | 暂停交易 | |
国寿沪深300ETF [申购赎回清单] | 510380 | 11-27 | 1.1202 | 1.1202 | 1.73% | -- | 暂停交易 | |
国寿沪深300ETF联接A | 000613 | 11-27 | 1.0779 | 1.8349 | 1.62% | |||
国寿沪深300ETF联接C | 021103 | 11-27 | 1.1263 | 1.1263 | 1.62% | 0% | ||
国寿创精选88ETF [申购赎回清单] | 159804 | 11-27 | 1.2117 | 1.2117 | 3.35% | -- | ||
国寿创精选88ETF联接A | 008898 | 11-27 | 1.1109 | 1.1109 | 3.17% | |||
国寿创精选88ETF联接C | 008899 | 11-27 | 1.0959 | 1.0959 | 3.17% | 0% | ||
国寿中债3-5年政金债指数A | 009581 | 11-27 | 1.0891 | 1.1601 | 0.02% | |||
国寿中债3-5年政金债指数C | 009582 | 11-27 | 1.1245 | 1.1955 | 0.02% | 0% | ||
国寿沪港深300ETF [申购赎回清单] | 517300 | 11-27 | 0.7544 | 0.7544 | 1.82% | -- | 暂停交易 | |
国寿沪港深300ETF联接A | 012663 | 11-27 | 1.0254 | 1.0254 | 1.69% | |||
国寿沪港深300ETF联接C | 012664 | 11-27 | 1.0213 | 1.0213 | 1.68% | 0% | ||
国寿中证同业存单AAA指数7天持有期 | 019121 | 11-27 | 1.0191 | 1.0191 | 0.00% | 0% |
基金名称 | 基金代码 | 日期 | 单位净值 | 累计净值 | 日涨跌 | 最低申购费率 | 交易 | 定投 |
---|---|---|---|---|---|---|---|---|
国寿瑞和纯债66个月定开 | 009587 | 11-22 | 1.0367 | 1.1645 | 0.07% | 封闭期 | ||
国寿安瑞纯债 | 004629 | 11-27 | 1.0690 | 1.2334 | 0.01% | |||
国寿安吉纯债半年 | 004821 | 11-22 | 1.0457 | 1.3574 | 0.03% | -- | 封闭期 | |
国寿安裕纯债半年 | 005208 | 11-27 | 1.0228 | 1.3197 | 0.03% | 封闭期 | ||
国寿安康纯债 | 003285 | 11-27 | 1.0609 | 1.3392 | 0.01% | |||
国寿安盛纯债3个月 | 004797 | 11-27 | 1.0383 | 1.2976 | 0.04% | -- | 封闭期 | |
国寿尊益信用纯债 | 000931 | 11-27 | 1.2925 | 1.5025 | 0.05% | |||
国寿尊裕优化回报A | 004318 | 11-27 | 1.110 | 1.221 | 0.63% | |||
国寿尊裕优化回报C | 004319 | 11-27 | 1.092 | 1.187 | 0.74% | 0% | ||
国寿尊利增强回报A | 002720 | 11-27 | 1.118 | 1.205 | 0.18% | |||
国寿尊利增强回报C | 002721 | 11-27 | 1.097 | 1.173 | 0.18% | 0% | ||
国寿安丰纯债 | 006599 | 11-27 | 1.1241 | 1.2251 | -0.01% | |||
国寿尊荣中短债A | 006773 | 11-27 | 1.1603 | 1.2003 | 0.03% | |||
国寿尊荣中短债C | 006774 | 11-27 | 1.1394 | 1.1794 | 0.04% | 0% | ||
国寿尊享A | 000668 | 11-27 | 1.2427 | 1.6419 | 0.17% | |||
国寿尊享C | 000669 | 11-27 | 1.2215 | 1.6208 | 0.16% | 0% | ||
国寿安泽纯债39个月 | 007970 | 11-22 | 1.0079 | 1.1469 | 0.05% | 封闭期 | ||
国寿泰和纯债 | 006919 | 11-27 | 1.0492 | 1.2012 | 0.04% | |||
国寿泰荣纯债 | 007215 | 11-27 | 1.1373 | 1.1713 | 0.00% | |||
国寿泰恒纯债 | 006980 | 11-27 | 1.1269 | 1.2234 | 0.03% | |||
国寿泰弘纯债 | 007419 | 11-27 | 1.1027 | 1.1828 | 0.05% | |||
国寿尊耀纯债A | 007837 | 11-27 | 1.1701 | 1.2001 | 0.18% | |||
国寿尊耀纯债C | 007838 | 11-27 | 1.1461 | 1.1761 | 0.17% | 0% | ||
国寿泰瑞纯债一年 | 008503 | 11-22 | 1.0138 | 1.2196 | 0.17% | 封闭期 | ||
国寿泰吉纯债一年定开 | 008902 | 11-22 | 1.0992 | 1.1192 | 0.03% | -- | 封闭期 | |
国寿尊诚纯债A | 008873 | 11-27 | 1.1565 | 1.1598 | 0.01% | |||
国寿尊诚纯债C | 008874 | 11-27 | 1.1367 | 1.1399 | 0.00% | 0% | ||
国寿泰祥纯债一年定开 | 008289 | 11-22 | 1.0134 | 1.1134 | 0.12% | -- | 封闭期 | |
国寿尊恒利率债A | 008875 | 11-27 | 1.0766 | 1.1646 | 0.00% | |||
国寿尊恒利率债C | 008876 | 11-27 | 1.0579 | 1.1459 | -0.01% | 0% | ||
国寿泰安纯债债券 | 010232 | 11-27 | 1.0737 | 1.1537 | 0.01% | |||
国寿尊庆6个月持有债券A | 009309 | 11-27 | 1.0665 | 1.1115 | 0.02% | |||
国寿尊庆6个月持有债券C | 009310 | 11-27 | 1.0548 | 1.0998 | 0.02% | 0% | ||
国寿尊弘短债A | 011008 | 11-27 | 1.1114 | 1.1114 | 0.01% | |||
国寿尊弘短债C | 011009 | 11-27 | 1.1001 | 1.1001 | 0.01% | 0% | ||
国寿尊弘短债E | 011010 | 11-27 | 1.0795 | 1.0795 | 0.01% | 0% | ||
国寿安恒金融债债券 | 012451 | 11-27 | 1.0585 | 1.1275 | -0.03% | |||
国寿安悦纯债一年定开 | 011634 | 11-27 | 1.0246 | 1.1016 | 0.01% | |||
国寿安弘纯债一年定开 | 011951 | 11-22 | 1.0138 | 1.1074 | 0.09% | 封闭期 | ||
国寿安锦纯债一年定开 | 014231 | 11-22 | 1.0210 | 1.1100 | 0.13% | 封闭期 | ||
国寿安诚纯债一年定开 | 013062 | 11-22 | 1.0667 | 1.0867 | 0.08% | 封闭期 | ||
国寿安和纯债债券 | 014778 | 11-27 | 1.0603 | 1.0703 | -0.01% | |||
国寿泰然纯债债券 | 015581 | 11-27 | 1.0758 | 1.0758 | 0.03% | |||
国寿超短债A | 017305 | 11-27 | 1.0546 | 1.0546 | 0.01% | |||
国寿超短债C | 017306 | 11-27 | 1.0515 | 1.0515 | 0.01% | 0% | ||
国寿超短债E | 022250 | 11-27 | 1.0031 | 1.0031 | 0.01% | 0% | ||
国寿安泰三个月定开债券 | 018256 | 11-22 | 1.0296 | 1.0436 | 0.05% | 封闭期 | ||
国寿泰悦3个月滚动持有A | 019908 | 11-27 | 1.0435 | 1.0435 | 0.01% | |||
国寿泰悦3个月滚动持有C | 019909 | 11-27 | 1.0412 | 1.0412 | 0.01% | |||
国寿利率债三个月定开 | 020528 | 11-22 | 1.0202 | 1.0342 | 0.05% | 封闭期 | ||
国寿安保泰裕债券A | 020787 | 11-27 | 1.0973 | 1.0973 | 0.31% | |||
国寿安保泰裕债券C | 020788 | 11-27 | 1.0948 | 1.0948 | 0.30% | |||
国寿安保泰宁利率债债券 | 021695 | 11-27 | 1.0146 | 1.0146 | 0.00% |
基金名称 | 基金代码 | 日期 | 单位净值 | 累计净值 | 日涨跌 | 最低申购费率 | 交易 | 定投 |
---|---|---|---|---|---|---|---|---|
国寿稳健养老一年持有(FOF)A | 008617 | 11-26 | 1.0321 | 1.0321 | -0.11% | |||
国寿稳健养老一年持有(FOF)Y | 017909 | 11-26 | 1.0367 | 1.0367 | -0.10% | 暂停交易 | ||
国寿策略优选3个月持有(FOF) | 009151 | 11-26 | 1.0898 | 1.0898 | 0.03% | |||
国寿养老目标日期2030三年持有(FOF)A | 013510 | 11-25 | 0.8977 | 0.8977 | -0.10% | |||
国寿养老目标日期2030三年持有(FOF)Y | 017901 | 11-25 | 0.9052 | 0.9052 | -0.10% | 暂停交易 |
基金名称 | 基金代码 | 日期 | 每万份收益(元) | 七日年化收益率 | 最低申购费率 | 交易 | 定投 |
---|---|---|---|---|---|---|---|
国寿货币A | 000505 | 11-27 | 0.3673 | 1.353% | 0% | ||
国寿货币B | 000506 | 11-27 | 0.4330 | 1.596% | 0% | ||
国寿添利货币A | 003422 | 11-27 | 0.3454 | 1.321% | 0% | ||
国寿添利货币B | 003423 | 11-27 | 0.4108 | 1.564% | 0% | ||
国寿聚宝盆货币A | 001096 | 11-27 | 0.4640 | 1.772% | 0% | ||
国寿聚宝盆货币B | 009485 | 11-27 | 0.4637 | 1.771% | 0% | ||
国寿增金宝货币A | 001826 | 11-27 | 0.3886 | 1.379% | 0% | ||
国寿增金宝货币B | 009790 | 11-27 | 0.4543 | 1.623% | 0% | ||
国寿鑫钱包货币A | 001931 | 11-27 | 0.4042 | 1.561% | 0% | ||
国寿鑫钱包货币B | 011063 | 11-27 | 0.4562 | 1.755% | 0% | ||
国寿鑫钱包货币C | 018667 | 11-27 | 0.3918 | 1.512% | 0% | ||
国寿薪金宝货币A | 000895 | 11-27 | 0.3673 | 1.422% | 0% | ||
国寿薪金宝货币B | 017880 | 11-27 | 0.4219 | 1.625% | 0% | ||
基金名称 | 基金代码 | 日期 | 每百万份收益(元) | 七日年化收益率 | 最低申购费率 | 交易 | 定投 |
国保A [申购赎回限制清单] | 519878 | 11-27 | 0.2234 | 0.824% | -- | 暂停交易 | |
国保B [申购赎回限制清单] | 519879 | 11-27 | 0.3594 | 1.328% | -- | 暂停交易 | |
基金名称 | 基金代码 | 日期 | 每百份收益(元) | 七日年化收益率 | 最低申购费率 | 交易 | 定投 |
国寿货币E [申购赎回限制清单] | 511970 | 11-27 | 0.3672 | 1.353% | -- | 暂停交易 |
基金名称 | 基金代码 | 日期 | 单位净值 | 累计净值 | 日涨跌 | 最低申购费率 | 交易 | 定投 |
---|---|---|---|---|---|---|---|---|
国寿稳泰一年A | 004772 | 11-22 | 1.3419 | 1.5339 | -0.27% | 0.6% | 暂停交易 | |
国寿稳泰一年C | 004773 | 11-22 | 1.2831 | 1.4711 | -0.28% | 0.6% | 暂停交易 | |
国寿强国智造混合 | 003131 | 11-27 | 1.0179 | 1.2079 | 2.21% | |||
国寿科技创新混合(LOF) | 501097 | 11-27 | 1.0252 | 1.0252 | 2.38% | |||
国寿稳诚混合A | 004225 | 11-27 | 1.0732 | 1.4193 | 0.46% | |||
国寿稳诚混合C | 004226 | 11-27 | 1.0673 | 1.4106 | 0.46% | 0% | ||
国寿稳惠混合 | 002148 | 11-27 | 0.9701 | 1.3517 | 3.20% | |||
国寿稳嘉混合A | 004258 | 11-27 | 1.1234 | 1.4454 | 0.17% | |||
国寿稳嘉混合C | 004259 | 11-27 | 1.1187 | 1.4377 | 0.18% | 0% | ||
国寿稳荣混合A | 004279 | 11-27 | 1.1708 | 1.5372 | 0.10% | |||
国寿稳荣混合C | 004280 | 11-27 | 1.1639 | 1.5275 | 0.10% | 0% | ||
国寿稳信混合A | 004301 | 11-27 | 1.1476 | 1.3834 | 0.92% | |||
国寿稳信混合C | 004302 | 11-27 | 1.1469 | 1.3801 | 0.92% | 0% | ||
国寿稳信混合E | 015406 | 11-27 | 1.0091 | 1.0091 | 0.92% | 0% | ||
国寿稳寿混合A | 004405 | 11-27 | 1.0884 | 1.4411 | 0.34% | |||
国寿稳寿混合C | 004406 | 11-27 | 1.0842 | 1.4327 | 0.34% | 0% | ||
国寿策略精选混合(LOF)A | 168002 | 11-27 | 1.6460 | 1.6960 | 2.88% | |||
国寿策略精选混合(LOF)C | 022124 | 11-27 | 1.1866 | 1.1866 | 2.89% | |||
国寿核心产业混合 | 002376 | 11-27 | 0.715 | 1.116 | 2.14% | |||
国寿健康科学混合A | 005043 | 11-27 | 1.0609 | 1.0609 | 1.45% | |||
国寿健康科学混合C | 005044 | 11-27 | 1.0366 | 1.0366 | 1.46% | 0% | ||
国寿目标策略混合A | 004818 | 11-27 | 1.1885 | 1.1885 | 2.16% | |||
国寿目标策略混合C | 004819 | 11-27 | 1.1776 | 1.1776 | 2.15% | 0% | ||
国寿稳吉混合A | 004756 | 11-27 | 1.2022 | 1.4410 | 0.22% | |||
国寿稳吉混合C | 004757 | 11-27 | 1.1983 | 1.4354 | 0.23% | 0% | ||
国寿稳瑞混合A | 004760 | 11-27 | 1.2252 | 1.4062 | 1.19% | |||
国寿稳瑞混合C | 004761 | 11-27 | 1.2186 | 1.3976 | 1.19% | 0% | ||
国寿华兴混合 | 005683 | 11-27 | 1.2649 | 1.2949 | 2.33% | |||
国寿新蓝筹混合 | 007074 | 11-27 | 1.0072 | 1.0072 | 1.73% | |||
国寿研究精选混合A | 008082 | 11-27 | 1.1465 | 1.1465 | 1.87% | |||
国寿研究精选混合C | 008083 | 11-27 | 1.1299 | 1.1299 | 1.88% | 0% | ||
国寿稳丰6个月A | 009244 | 11-27 | 1.1391 | 1.1391 | 0.34% | |||
国寿稳丰6个月C | 009245 | 11-27 | 1.1243 | 1.1243 | 0.33% | 0% | ||
国寿高股息混合A | 009500 | 11-27 | 0.7841 | 0.7841 | 2.32% | |||
国寿高股息混合C | 009501 | 11-27 | 0.7744 | 0.7744 | 2.33% | 0% | ||
国寿裕安混合A | 010205 | 11-27 | 1.0146 | 1.0346 | 1.71% | |||
国寿裕安混合C | 010206 | 11-27 | 1.0083 | 1.0283 | 1.71% | 0% | ||
国寿稳和6个月混合A | 010541 | 11-27 | 1.1075 | 1.1075 | 0.08% | |||
国寿稳和6个月混合C | 010542 | 11-27 | 1.0876 | 1.0876 | 0.07% | 0% | ||
国寿稳弘混合A | 011027 | 11-27 | 1.1422 | 1.1422 | 0.30% | |||
国寿稳弘混合C | 011028 | 11-27 | 1.1427 | 1.1427 | 0.31% | 0% | ||
国寿稳弘混合E | 015407 | 11-27 | 0.9431 | 0.9431 | 0.30% | 0% | ||
国寿稳悦混合A | 010828 | 09-06 | 0.9006 | 0.9006 | 0.00% | 暂停交易 | ||
国寿稳悦混合C | 010829 | 09-06 | 0.8993 | 0.8993 | 0.00% | 0% | 暂停交易 | |
国寿稳鑫一年A | 011510 | 11-27 | 0.9705 | 0.9905 | 0.12% | |||
国寿稳鑫一年C | 011511 | 11-27 | 0.9561 | 0.9761 | 0.13% | 0% | ||
国寿稳安混合A | 010984 | 11-27 | 1.0326 | 1.0326 | 0.61% | |||
国寿稳安混合C | 010985 | 11-27 | 1.0144 | 1.0144 | 0.61% | 0% | ||
国寿稳福6个月持有混合A | 010934 | 11-27 | 1.0269 | 1.0269 | 0.48% | |||
国寿稳福6个月持有混合C | 010935 | 11-27 | 1.0128 | 1.0128 | 0.49% | 0% | ||
国寿璟珹6个月持有期混合A | 011773 | 11-27 | 1.0274 | 1.0274 | 0.26% | |||
国寿璟珹6个月持有期混合C | 011774 | 11-27 | 1.0134 | 1.0134 | 0.27% | 0% | ||
国寿裕丰混合A | 011734 | 11-27 | 0.9295 | 0.9295 | 0.77% | |||
国寿裕丰混合C | 011735 | 11-27 | 0.9262 | 0.9262 | 0.76% | 0% | ||
国寿稳盛6个月持有混合A | 012955 | 11-27 | 1.1003 | 1.1003 | 0.19% | |||
国寿稳盛6个月持有混合C | 012956 | 11-27 | 1.0877 | 1.0877 | 0.19% | 0% | ||
国寿稳隆混合A | 011771 | 09-08 | 1.0161 | 1.0161 | 0.00% | |||
国寿稳隆混合C | 011772 | 09-08 | 1.0036 | 1.0036 | 0.00% | 0% | ||
国寿盛泽三年持有期混合A | 013323 | 11-27 | 0.7003 | 0.7003 | 2.38% | 暂停赎回 | ||
国寿盛泽三年持有期混合C | 013324 | 11-27 | 0.6923 | 0.6923 | 2.37% | 0% | 暂停赎回 | |
国寿低碳经济混合A | 012102 | 11-27 | 0.5751 | 0.5751 | 2.17% | |||
国寿低碳经济混合C | 012103 | 11-27 | 0.5708 | 0.5708 | 2.15% | 0% | ||
国寿稳泽两年持有期混合A | 015235 | 11-27 | 1.1177 | 1.1177 | 0.20% | |||
国寿稳泽两年持有期混合C | 015236 | 11-27 | 1.1062 | 1.1062 | 0.18% | 0% | ||
国寿景气优选混合发起式A | 020600 | 11-27 | 1.2337 | 1.2337 | 0.92% | |||
国寿景气优选混合发起式C | 020601 | 11-27 | 1.2298 | 1.2298 | 0.92% | 0% |
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