周期开始日
|
周期结束日
|
净值估值日
|
业绩比较基准
|
产品净值
|
累计净值
|
2018/5/23
|
2018/8/29
|
2018/5/23
|
5.25%
|
1.0000
|
1.0000
|
2018/5/23
|
2018/8/29
|
2018/6/25
|
5.25%
|
1.0052
|
1.0052
|
2018/5/23
|
2018/8/29
|
2018/7/25
|
5.25%
|
1.0098
|
1.0098
|
2018/5/23
|
2018/8/29
|
2018/8/28
|
5.25%
|
1.0141
|
1.0141
|
2018/8/29
|
2018/12/5
|
2018/10/31
|
4.90%
|
1.0280
|
1.0280
|
2018/8/29
|
2018/12/5
|
2018/11/30
|
4.90%
|
1.0341
|
1.0341
|
2018/12/5
|
2019/3/13
|
2019/2/19
|
4.75%
|
1.0464
|
1.0464
|
2019/3/13
|
2019/6/19
|
2019/3/12
|
4.40%
|
1.0458
|
1.0458
|
2019/3/13
|
2019/6/19
|
2019/4/2
|
4.40%
|
1.0483
|
1.0483
|
2019/3/13
|
2019/6/19
|
2019/5/31
|
4.40%
|
1.0554
|
1.0554
|
2019/3/13
|
2019/6/19
|
2019/6/18
|
4.40%
|
1.0582
|
1.0582
|
2019/6/19
|
2019/9/25
|
2019/6/25
|
4.45%
|
1.0590
|
1.0590
|
2019/6/19
|
2019/9/25
|
2019/7/30
|
4.45%
|
1.0630
|
1.0630
|
2019/6/19
|
2019/9/25
|
2019/8/27
|
4.45%
|
1.0669
|
1.0669
|
2019/9/25
|
2020/1/8
|
2019/9/29
|
4.2%
|
1.0715
|
1.0715
|
2019/9/25
|
2020/1/8
|
2019/12/31
|
4.2%
|
1.0838
|
1.0838
|
2020/1/8
|
2020/4/8
|
2020/2/11
|
4.2%
|
1.0884
|
1.0884
|
2020/1/8
|
2020/4/8
|
2020/2/29
|
4.2%
|
1.0907
|
1.0907
|
2020/1/8
|
2020/4/8
|
2020/3/10
|
4.2%
|
1.0919
|
1.0919
|
2020/1/8
|
2020/4/8
|
2020/3/17
|
4.2%
|
1.0928
|
1.0928
|
2020/1/8
|
2020/4/8
|
2020/3/24
|
4.2%
|
1.0937
|
1.0937
|
2020/1/8
|
2020/4/8
|
2020/3/31
|
4.2%
|
1.0946
|
1.0946
|
2020/1/8
|
2020/4/8
|
2020/4/7
|
4.2%
|
1.0953
|
1.0953
|
2020/4/8
|
2020/7/15
|
2020/4/14
|
4.1%
|
1.0962
|
1.0962
|
2020/4/8
|
2020/7/15
|
2020/4/21
|
4.1%
|
1.0971
|
1.0971
|
2020/4/8
|
2020/7/15
|
2020/4/30
|
4.1%
|
1.0982
|
1.0982
|
2020/4/8
|
2020/7/15
|
2020/5/5
|
4.1%
|
1.0988
|
1.0988
|
2020/4/8
|
2020/7/15
|
2020/5/19
|
4.1%
|
1.1006
|
1.1006
|
2020/4/8
|
2020/7/15
|
2020/5/26
|
4.1%
|
1.1015
|
1.1015
|
2020/4/8
|
2020/7/15
|
2020/6/16
|
4.1%
|
1.1043
|
1.1043
|
2020/4/8
|
2020/7/15
|
2020/6/30
|
4.1%
|
1.1062
|
1.1062
|
2020/4/8
|
2020/7/15
|
2020/7/7
|
4.1%
|
1.1071
|
1.1071
|
2020/4/8
|
2020/7/15
|
2020/7/14
|
4.1%
|
1.1079
|
1.1079
|
说明:周期年化收益率=(此次开放日的单位净值-上个开放日产品单位净值)/上个开放日产品单位净值/本周期天数*365。