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# 字段解释 | 参数名| 描述| | --- | --- | |lastWeek|近一周涨跌幅(需要乘以100%)| |lastHalfYear|近半年涨跌幅(需要乘以100%)| |lastYear|近一年涨跌幅需要乘以100%)| |serverTime|毫秒时间戳| |fundType|基金类型:BLEND混合型,STOCK股票型,INDEX指数型,BOND债券型,CURRENCY货币型| |fundAndIndexYieldVoPair|基金净值走势与同类均值和沪深300对比数据组| |——trendType|走势图序号| |——name|基金名称| |——fundTrends|基金净值走势| |————name|基金名称| |————value|基金净值| |————reportDate|数据毫秒时间戳| |————codeType|代码序号| |————code|代码| # 在线测试 > 请点击```调试按钮```旁的```钥匙图片```,输入```APPCODE```,例如您的APPCODE是 123,那么请输入:APPCODE 123 > 错误说明: > 400错误:APPCODE不正确 > 401错误:没有购买或次数用尽 ~~~[api] get:https://fund.market.alicloudapi.com/queryFundYield *string:fundcode=001227#基金代码 <<< success { "lastHalfYear": "0.1611", "lastYear": "0.2379", "serverTime": 1567577406399, "fundType": "BLEND", "lastWeek": "0.0485", "fundAndIndexYieldVoPair": [{ "trendType": "PRODUCT_ID-20150718000230030000000000001472", "name": "中邮信息产业灵活配置混合型证券投资基金", "fundTrends": [{ "name": "中邮信息产业灵活配置混合型证券投资基金", "value": "0.580000", "reportDate": 1559577600000, "codeType": "PRODUCT_ID", "code": "20150718000230030000000000001472" }, { "name": "中邮信息产业灵活配置混合型证券投资基金", "value": "0.582000", "growRate": "0.003448", "reportDate": 1559664000000, "codeType": "PRODUCT_ID", "code": "20150718000230030000000000001472" },{ "name": "中邮信息产业灵活配置混合型证券投资基金", "value": "0.692000", "growRate": "0.014663", "reportDate": 1567440000000, "codeType": "PRODUCT_ID", "code": "20150718000230030000000000001472" }], "codeType": "PRODUCT_ID", "code": "20150718000230030000000000001472" }, { "trendType": "FUND_TYPE-BLEND", "name": "同类均值", "fundTrends": [{ "name": "同类均值", "value": "1.766699575312644451", "reportDate": 1559577600000, "codeType": "FUND_TYPE", "code": "BLEND" }, { "name": "同类均值", "value": "1.764983386120446806", "growRate": "-0.000971409749670619", "reportDate": 1559664000000, "codeType": "FUND_TYPE", "code": "BLEND" }, { "name": "同类均值", "value": "1.975813726385620906", "growRate": "0.003092777601018136", "reportDate": 1567440000000, "codeType": "FUND_TYPE", "code": "BLEND" }], "codeType": "FUND_TYPE", "code": "BLEND" }, { "trendType": "INDEX_CODE-sz399300", "name": "沪深300", "fundTrends": [{ "name": "沪深300", "value": "3598.4666", "reportDate": 1559577600000, "codeType": "INDEX_CODE", "code": "sz399300" }, { "name": "沪深300", "value": "3597.1050", "growRate": "-0.0004", "reportDate": 1559664000000, "codeType": "INDEX_CODE", "code": "sz399300" }, { "name": "沪深300", "value": "3564.6778", "growRate": "-0.0090", "reportDate": 1559750400000, "codeType": "INDEX_CODE", "code": "sz399300" }, { "name": "沪深300", "value": "3610.7435", "growRate": "0.0129", "reportDate": 1560096000000, "codeType": "INDEX_CODE", "code": "sz399300" }, { "name": "沪深300", "value": "3853.6106", "growRate": "0.0014", "reportDate": 1567440000000, "codeType": "INDEX_CODE", "code": "sz399300" }], "codeType": "INDEX_CODE", "code": "sz399300" }], "lastMonth": "0.1108", "fundIndexYieldDesc": [], "success": true } <<< error ~~~