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收益走势图

历史净值表

净值日期 单位净值 累计净值 日涨跌幅
2018-04-18 2.1580 2.1580 0.37%
2018-04-17 2.1500 2.1500 -1.19%
2018-04-16 2.1760 2.1760 -0.64%
2018-04-13 2.1900 2.1900 0.05%
2018-04-12 2.1890 2.1890 -0.77%
2018-04-11 2.2060 2.2060 0.32%
2018-04-10 2.1990 2.1990 0.69%
2018-04-09 2.1840 2.1840 0.46%
2018-04-04 2.1740 2.1740 -1.00%
2018-04-03 2.1960 2.1960 -1.66%
2018-04-02 2.2330 2.2330 0.50%
2018-03-30 2.2220 2.2220 1.37%
2018-03-29 2.1920 2.1920 0.14%
2018-03-28 2.1890 2.1890 0.18%
2018-03-26 2.1850 2.1850 -0.27%
2018-03-22 2.1910 2.1910 0.00%
2018-03-21 2.1910 2.1910 0.00%
2018-03-20 2.1910 2.1910 0.09%
2018-03-19 2.1890 2.1890 0.78%
2018-03-16 2.1720 2.1720 -0.09%
2018-03-15 2.1740 2.1740 -0.05%
2018-03-14 2.1750 2.1750 -1.63%
2018-03-12 2.2110 2.2110 1.89%
2018-03-09 2.1700 2.1700 1.54%
2018-03-08 2.1370 2.1370 0.19%
2018-03-07 2.1330 2.1330 -0.61%
2018-03-06 2.1460 2.1460 -0.05%
2018-03-05 2.1470 2.1470 0.37%
2018-03-02 2.1390 2.1390 -0.74%
2018-03-01 2.1550 2.1550 0.42%
2018-02-28 2.1460 2.1460 -0.14%
2018-02-27 2.1490 2.1490 -0.42%
2018-02-26 2.1580 2.1580 0.09%
2018-02-23 2.1560 2.1560 -0.05%
2018-02-22 2.1570 2.1570 0.05%
2018-02-14 2.1560 2.1560 0.09%
2018-02-13 2.1540 2.1540 0.00%
2018-02-12 2.1540 2.1540 0.05%
2018-02-09 2.1530 2.1530 -0.09%
2018-02-08 2.1550 2.1550 -0.19%
2018-02-07 2.1590 2.1590 -1.01%
2018-02-06 2.1810 2.1810 -0.37%
2018-02-05 2.1890 2.1890 0.23%
2018-02-02 2.1840 2.1840 0.05%
2018-02-01 2.1830 2.1830 -0.05%
2018-01-31 2.1840 2.1840 -0.23%
2018-01-30 2.1890 2.1890 0.51%
2018-01-29 2.1780 2.1780 -0.68%
2018-01-26 2.1930 2.1930 -0.41%
2018-01-25 2.2020 2.2020 -0.59%
2018-01-24 2.2150 2.2150 -0.40%
2018-01-23 2.2240 2.2240 0.23%
2018-01-19 2.2190 2.2190 0.09%
2018-01-18 2.2170 2.2170 0.18%
2018-01-17 2.2130 2.2130 -0.23%
2018-01-16 2.2180 2.2180 0.54%
2018-01-15 2.2060 2.2060 0.27%
2018-01-12 2.2000 2.2000 0.05%
2018-01-11 2.1990 2.1990 -0.14%
2018-01-10 2.2020 2.2020 -0.81%
2018-01-09 2.2200 2.2200 -0.80%
2018-01-08 2.2380 2.2380 0.31%
2018-01-05 2.2310 2.2310 0.41%
2018-01-04 2.2220 2.2220 0.36%
2018-01-03 2.2140 2.2140 0.32%
2018-01-02 2.2070 2.2070 0.78%
2017-12-29 2.1900 2.1900 -0.14%
2017-12-28 2.1930 2.1930 0.50%
2017-12-27 2.1820 2.1820 -0.37%
2017-12-26 2.1900 2.1900 -0.09%
2017-12-25 2.1920 2.1920 -0.14%
2017-12-22 2.1950 2.1950 -0.05%
2017-12-21 2.1960 2.1960 0.18%
2017-12-20 2.1920 2.1920 -0.18%
2017-12-19 2.1960 2.1960 0.09%
2017-12-18 2.1940 2.1940 0.00%
2017-12-15 2.1940 2.1940 -0.45%
2017-12-14 2.2040 2.2040 -0.32%
2017-12-13 2.2110 2.2110 0.27%
2017-12-12 2.2050 2.2050 -0.36%
2017-12-11 2.2130 2.2130 0.55%
2017-12-08 2.2010 2.2010 -0.05%
2017-12-07 2.2020 2.2020 -0.09%
2017-12-06 2.2040 2.2040 0.14%
2017-12-05 2.2010 2.2010 -0.36%
2017-12-04 2.2090 2.2090 0.32%
2017-12-01 2.2020 2.2020 -0.18%
2017-11-30 2.2060 2.2060 -0.50%
2017-11-29 2.2170 2.2170 0.64%
2017-11-28 2.2030 2.2030 0.41%
2017-11-27 2.1940 2.1940 -0.27%
2017-11-24 2.2000 2.2000 0.18%
2017-11-23 2.1960 2.1960 -2.57%
2017-11-22 2.2540 2.2540 -0.57%
2017-11-21 2.2670 2.2670 0.44%
2017-11-20 2.2570 2.2570 0.76%
2017-11-17 2.2400 2.2400 -2.35%
2017-11-16 2.2940 2.2940 -0.30%
2017-11-15 2.3010 2.3010 -0.90%
2017-11-14 2.3220 2.3220 -2.64%
2017-11-13 2.3850 2.3850 1.37%
2017-11-10 2.3527 2.3527 1.24%
2017-11-09 2.3238 2.3238 2.46%
2017-11-08 2.2680 2.2680 -0.22%
2017-11-07 2.2730 2.2730 2.57%
2017-11-06 2.2160 2.2160 1.19%
2017-11-03 2.1900 2.1900 -0.68%
2017-11-02 2.2050 2.2050 -1.03%
2017-11-01 2.2280 2.2280 -0.18%
2017-10-31 2.2320 2.2320 1.13%
2017-10-30 2.2070 2.2070 -0.09%
2017-10-27 2.2090 2.2090 -0.54%
2017-10-26 2.2210 2.2210 0.68%
2017-10-25 2.2060 2.2060 0.46%
2017-10-24 2.1960 2.1960 0.09%
2017-10-23 2.1940 2.1940 0.50%
2017-10-20 2.1830 2.1830 0.69%
2017-10-19 2.1680 2.1680 -0.91%
2017-10-18 2.1880 2.1880 -0.18%
2017-10-17 2.1920 2.1920 -0.05%
2017-10-16 2.1930 2.1930 -1.08%
2017-10-13 2.2170 2.2170 0.68%
2017-10-12 2.2020 2.2020 -0.32%
2017-10-11 2.2090 2.2090 -0.18%
2017-10-10 2.2130 2.2130 0.32%
2017-10-09 2.2060 2.2060 2.65%
2017-09-29 2.1490 2.1490 0.09%
2017-09-28 2.1470 2.1470 1.23%
2017-09-27 2.1210 2.1210 1.48%
2017-09-26 2.0900 2.0900 0.38%
2017-09-25 2.0820 2.0820 -1.23%
2017-09-22 2.1080 2.1080 0.29%
2017-09-21 2.1020 2.1020 -1.73%
2017-09-20 2.1390 2.1390 -0.05%
2017-09-19 2.1400 2.1400 0.42%
2017-09-18 2.1310 2.1310 1.82%
2017-09-15 2.0930 2.0930 -0.99%
2017-09-14 2.1140 2.1140 0.71%
2017-09-13 2.0990 2.0990 0.96%
2017-09-12 2.0790 2.0790 0.24%
2017-09-11 2.0740 2.0740 2.88%
2017-09-08 2.0160 2.0160 0.35%
2017-09-07 2.0090 2.0090 -1.23%
2017-09-06 2.0340 2.0340 1.19%
2017-09-05 2.0100 2.0100 -0.99%
2017-09-04 2.0300 2.0300 0.69%
2017-09-01 2.0160 2.0160 0.55%
2017-08-31 2.0050 2.0050 0.60%
2017-08-30 1.9930 1.9930 1.63%
2017-08-29 1.9610 1.9610 0.20%
2017-08-28 1.9570 1.9570 -0.51%
2017-08-17 1.9670 1.9670 0.72%
2017-08-15 1.9530 1.9530 -0.20%
2017-08-14 1.9570 1.9570 0.67%
2017-08-11 1.9440 1.9440 -2.56%
2017-08-09 1.9950 1.9950 0.91%
2017-08-08 1.9770 1.9770 0.25%
2017-08-07 1.9720 1.9720 0.42%
2017-08-04 1.9638 1.9638 -1.71%
2017-08-02 1.9980 1.9980 -1.38%
2017-08-01 2.0260 2.0260 1.05%
2017-07-31 2.0050 2.0050 0.99%
2017-07-28 1.9854 1.9854 0.12%
2017-07-27 1.9830 1.9830 -0.40%
2017-07-26 1.9910 1.9910 -0.75%
2017-07-25 2.0060 2.0060 -0.79%
2017-07-24 2.0220 2.0220 0.12%
2017-07-21 2.0196 2.0196 -0.56%
2017-07-19 2.0310 2.0310 1.10%
2017-07-18 2.0090 2.0090 -0.05%
2017-07-17 2.0100 2.0100 -1.53%
2017-07-14 2.0412 2.0412 -0.77%
2017-07-12 2.0570 2.0570 0.83%
2017-07-10 2.0400 2.0400 -0.67%
2017-07-07 2.0538 2.0538 -0.01%
2017-07-05 2.0540 2.0540 0.05%
2017-07-04 2.0530 2.0530 -0.34%
2017-07-03 2.0600 2.0600 1.19%
2017-06-30 2.0358 2.0358 -0.06%
2017-06-28 2.0370 2.0370 0.64%
2017-06-27 2.0240 2.0240 0.35%
2017-06-26 2.0170 2.0170 -0.15%
2017-06-23 2.0200 2.0200 0.30%
2017-06-21 2.0140 2.0140 0.15%
2017-06-20 2.0110 2.0110 0.05%
2017-06-19 2.0100 2.0100 -0.12%
2017-06-16 2.0124 2.0124 0.07%
2017-06-14 2.0110 2.0110 -0.25%
2017-06-13 2.0160 2.0160 -0.84%
2017-06-09 2.0331 2.0331 0.40%
2017-06-08 2.0250 2.0250 -0.25%
2017-06-07 2.0300 2.0300 0.35%
2017-06-06 2.0230 2.0230 0.20%
2017-06-05 2.0190 2.0190 -0.12%
2017-06-02 2.0214 2.0214 0.22%
2017-06-01 2.0170 2.0170 -0.20%
2017-05-31 2.0210 2.0210 -0.20%
2017-05-26 2.0250 2.0250 0.30%
2017-05-24 2.0190 2.0190 0.00%
2017-05-23 2.0190 2.0190 -0.05%
2017-05-22 2.0200 2.0200 -0.16%
2017-05-19 2.0232 2.0232 0.11%
2017-05-16 2.0210 2.0210 0.75%
2017-05-15 2.0060 2.0060 -0.14%
2017-05-12 2.0088 2.0088 0.34%
2017-05-10 2.0020 2.0020 0.00%
2017-05-09 2.0020 2.0020 0.00%
2017-05-08 2.0020 2.0020 -0.02%
2017-05-05 2.0025 2.0025 0.07%
2017-05-03 2.0010 2.0010 0.00%
2017-05-02 2.0010 2.0010 -0.07%
2017-04-28 2.0025 2.0025 -0.62%
2017-04-26 2.0150 2.0150 -1.13%
2017-04-25 2.0380 2.0380 -0.24%
2017-04-21 2.0429 2.0429 0.04%
2017-04-20 2.0420 2.0420 0.00%
2017-04-19 2.0420 2.0420 -1.07%
2017-04-18 2.0640 2.0640 -0.34%
2017-04-17 2.0710 2.0710 -0.02%
2017-04-14 2.0715 2.0715 -0.70%
2017-04-13 2.0860 2.0860 0.14%
2017-04-12 2.0830 2.0830 1.21%
2017-04-07 2.0581 2.0581 0.41%
2017-03-31 2.0496 2.0496 0.41%
2017-03-24 2.0412 2.0412 4.84%
2017-03-17 1.9469 1.9469 0.26%
2017-03-10 1.9419 1.9419 -0.94%
2017-03-03 1.9604 1.9604 -0.51%
2017-02-24 1.9705 1.9705 0.60%
2017-02-17 1.9587 1.9587 -0.68%
2017-02-10 1.9722 1.9722 0.60%
2017-02-03 1.9604 1.9604 0.00%
2017-01-20 1.9604 1.9604 0.09%
2017-01-13 1.9587 1.9587 -0.34%
2017-01-06 1.9654 1.9654 -0.34%
2016-12-30 1.9722 1.9722 -1.10%
2016-12-23 1.9941 1.9941 -0.08%
2016-12-16 1.9957 1.9957 0.25%
2016-12-09 1.9907 1.9907 -0.67%
2016-12-02 2.0042 2.0042 -1.16%
2016-11-25 2.0277 2.0277 0.08%
2016-11-18 2.0261 2.0261 1.18%
2016-11-11 2.0025 2.0025 2.68%
2016-11-04 1.9503 1.9503 -1.45%
2016-10-28 1.9789 1.9789 1.55%
2016-10-21 1.9486 1.9486 -1.45%
2016-10-14 1.9772 1.9772 2.55%
2016-09-30 1.9280 1.9280 2.62%
2016-09-23 1.8787 1.8787 0.47%
2016-09-14 1.8700 1.8700 -2.45%
2016-09-09 1.9170 1.9170 0.26%
2016-09-02 1.9120 1.9120 -0.05%
2016-08-26 1.9130 1.9130 -0.57%
2016-08-19 1.9240 1.9240 1.32%
2016-08-12 1.8990 1.8990 0.00%
2016-07-29 1.8990 1.8990 -1.11%
2016-07-22 1.9203 1.9203 1.10%
2016-07-15 1.8995 1.8995 -1.41%
2016-07-08 1.9266 1.9266 2.37%
2016-07-01 1.8820 1.8820 0.68%
2016-06-24 1.8692 1.8692 -0.10%
2016-06-17 1.8710 1.8710 -2.40%
2016-06-08 1.9170 1.9170 1.43%
2016-06-03 1.8900 1.8900 5.18%
2016-05-27 1.7970 1.7970 0.28%
2016-05-20 1.7920 1.7920 -0.72%
2016-05-13 1.8050 1.8050 -0.66%
2016-05-06 1.8170 1.8170 -0.66%
2016-04-29 1.8290 1.8290 -0.71%
2016-04-22 1.8420 1.8420 -3.41%
2016-04-15 1.9070 1.9070 1.76%
2016-04-08 1.8740 1.8740 1.13%
2016-04-01 1.8530 1.8530 0.87%
2016-03-25 1.8370 1.8370 -0.33%
2016-03-18 1.8430 1.8430 3.31%
2016-03-11 1.7840 1.7840 -1.55%
2016-03-04 1.8120 1.8120 -1.04%
2016-02-26 1.8311 1.8311 -0.81%
2016-02-19 1.8460 1.8460 4.55%
2016-02-05 1.7657 1.7657 3.02%
2016-01-29 1.7139 1.7139 4.23%
2016-01-22 1.6443 1.6443 0.57%
2016-01-15 1.6350 1.6350 -4.07%
2016-01-08 1.7043 1.7043 -2.61%
2015-12-31 1.7500 1.7500 0.67%
2015-12-25 1.7383 1.7383 0.48%
2015-12-18 1.7300 1.7300 3.03%
2015-12-11 1.6791 1.6791 0.73%
2015-12-04 1.6670 1.6670 -0.26%
2015-11-27 1.6713 1.6713 -3.06%
2015-11-20 1.7240 1.7240 -0.46%
2015-11-13 1.7320 1.7320 9.21%
2015-08-21 1.5860 1.5860 -0.25%
2015-08-14 1.5900 1.5900 7.22%
2015-08-07 1.4830 1.4830 -0.07%
2015-07-31 1.4840 1.4840 -1.92%
2015-07-24 1.5130 1.5130 4.56%
2015-07-17 1.4470 1.4470 2.92%
2015-07-10 1.4060 1.4060 40.60%
2015-03-26 1.0000 1.0000 0.00%
历史平均业绩 年度业绩表
今年以来 近一月 近三月 近六月 近一年 近三年 近五年 成立以来

基金业绩

-2.22% -1.42% -2.66% -1.37% 4.55% 115.80% -- 115.80%

沪深300

-7.86% -3.55% -14.06% -4.19% 9.76% -20.56% 53.76% -4.65%

同类平均

-7.62% -12.21% -9.96% -2.30% 5.84% 5.65% 14.88% 6.43%

同类排名

5993/40900 7063/40900 5884/40900 5069/40900 4406/40900 52/40900 --/40900 1192/40900

四分位排名

--
--
--
--
--
--

--

风险评估指标

近一年 近二年 近三年 近五年 成立以来

年化收益率

4.55% 6.58% 38.60% -- 37.77%

年化波动率

9.48% 5.82% 5.54% -- 5.77%

最大回撤

10.57% 10.57% 10.57% -- 10.57%

夏普比率

0.21 0.91 6.81 -- 6.40

CALMAR比率

0.43 0.62 3.65 -- 3.57

索提诺比率

0.18 0.38 3.41 -- 3.33

名词解释

夏普比率

反映每单位风险的超 额收益,
该比率越大越好。

Calmar比率

描述年化收益和历史最大回撤之间的关系,该比率越大越好。

索提诺比率

反应每单位下行风险的超额收益,
该比率越大越好。

月度回报

历史月度回报表

净值日期 单位净值 累计净值 月涨跌幅
2018-03-01 2.2220 2.2220 3.06%
2018-02-01 2.1460 2.1460 -3.03%
2018-01-01 2.1840 2.1840 -0.46%
2017-12-01 2.1900 2.1900 -4.53%
2017-11-01 2.2060 2.2060 0.64%
2017-10-01 2.2320 2.2320 4.74%
2017-09-01 2.1490 2.1490 0.00%
2017-08-01 2.0050 2.0050 -0.25%
2017-07-01 2.0050 2.0050 -2.67%
2017-06-01 2.0358 2.0358 0.93%
2017-05-01 2.0210 2.0210 1.00%
2017-04-01 2.0025 2.0025 -2.70%
2017-03-01 2.0496 2.0496 0.00%
2017-02-01 1.9705 1.9705 0.52%
2017-01-01 1.9604 1.9604 -0.25%
2016-12-01 1.9722 1.9722 -1.60%
2016-11-01 2.0277 2.0277 2.47%
2016-10-01 1.9789 1.9789 2.64%
2016-09-01 1.9280 1.9280 0.00%
2016-08-01 1.9130 1.9130 0.74%
2016-07-01 1.8990 1.8990 1.59%
2016-06-01 1.8692 1.8692 4.02%
2016-05-01 1.7970 1.7970 -1.75%
2016-04-01 1.8290 1.8290 -0.44%
2016-03-01 1.8370 1.8370 0.32%
2016-02-01 1.8311 1.8311 6.84%
2016-01-01 1.7139 1.7139 -2.06%
2015-12-01 1.7500 1.7500 4.71%
2015-11-01 1.6713 1.6713 5.38%
2015-10-01 1.5860 1.5860 0.00%
2015-09-01 1.5860 1.5860 0.00%
2015-08-01 1.5860 1.5860 6.87%
2015-07-01 1.4840 1.4840 48.40%
2015-06-01 1.0000 1.0000 0.00%
2015-05-01 1.0000 1.0000 0.00%
2015-04-01 1.0000 1.0000 0.00%
2015-03-01 1.0000 1.0000 0.00%

回撤走势

历史回撤表

净值日期 单位净值 累计净值 月回撤
2018-03-01 2.2330 2.2330 0.00%
2018-02-01 2.1550 2.1550 -1.28%
2018-01-01 2.1830 2.1830 -1.09%
2017-12-01 2.2070 2.2070 0.00%
2017-11-01 2.2020 2.2020 -1.17%
2017-10-01 2.2280 2.2280 0.00%
2017-09-01 2.1490 2.1490 0.00%
2017-08-01 2.0160 2.0160 -0.49%
2017-07-01 2.0260 2.0260 -0.48%
2017-06-01 2.0358 2.0358 0.00%
2017-05-01 2.0170 2.0170 0.00%
2017-04-01 2.0010 2.0010 -2.37%
2017-03-01 2.0496 2.0496 0.00%
2017-02-01 1.9604 1.9604 0.00%
2017-01-01 1.9604 1.9604 -0.60%
2016-12-01 1.9722 1.9722 -1.62%
2016-11-01 2.0042 2.0042 0.00%
2016-10-01 1.9503 1.9503 0.00%
2016-09-01 1.9280 1.9280 0.00%
2016-06-01 1.8692 1.8692 1.75%
2016-03-01 1.8370 1.8370 4.97%
2015-12-01 1.7500 1.7500 10.34%
2015-09-01 1.5860 1.5860 58.60%
2015-06-01 1.0000 1.0000 0.00%
2015-03-01 1.0000 1.0000 0.00%

基金全称

景富二期私募证券投资基金

封闭期限

--

基金状态

正在运行

托管银行

中国农业银行股份有限公司上海市分行

基金公司

景富投资

成立日期

2015-03-26

基金经理

祝巍

组织形式

私募通道

投资策略

股票策略

结构形式

非结构化

存续期限

--

基金托管人

--

历史分红

序号 分红日期 每份分红
-- -- --

历史拆分

序号 拆分日期 拆分比例(1:x)
-- -- --

基金经理

祝巍

基金管理数:14

基金公司:景富投资

从业年限:18年

学历:硕士

履历背景:券商

基金公司

景富投资

核心人物: 祝巍

公司简介:上海景富投资管理有限公司成立于2009年5月,注册资本为人民币1000万元。公司主营为投资管理、投资咨询等资产运作业务。

投资理念:公司形成了以宏观研究导向行业分析,以行业分析为切入点,至下而上选择有价值标的公司的研究体系。公司建立了以行业研究员为第一责任人的信息反馈制度和以净值波动量化指标为目标的风控体系。

旗下产品

序号 产品名称 成立日期 基金类型 单位净值 净值日期 近六月 近一年 操作
01 景富六期基金 2015-03-30 股票策略 0.8180 2015-08-21 0.00% 0.00% 查看详情
02 景富2号B份额 2016-05-09 股票策略 0.9520 2017-05-05 -5.74% 0.00% 查看详情
03 景富2号A份额 2016-05-09 股票策略 1.0000 2017-05-05 -0.20% 0.00% 查看详情
04 景富优选成长 2015-08-21 其他 1.0000 2015-08-21 0.00% 0.00% 查看详情
05 景富5号证券投资基金A份额 2016-06-16 股票策略 1.0170 2017-05-12 2.11% 0.00% 查看详情
06 景富5号证券投资基金B份额 2016-06-16 股票策略 1.0170 2017-05-12 2.11% 0.00% 查看详情
07 景富趋势成长三期 2016-05-05 股票策略 1.0264 2018-04-13 -6.25% -1.08% 查看详情
08 景富趋势成长二期 2015-12-28 股票策略 1.0343 2018-04-13 -4.86% 3.62% 查看详情
09 景富1号 2015-09-18 股票策略 1.1083 2016-12-16 1.49% -0.74% 查看详情
10 景富优选成长2号 2015-09-25 其他 1.3040 2015-11-19 0.00% 0.00% 查看详情
11 景富3号 2015-04-20 其他 1.6500 2016-04-29 65.00% 65.00% 查看详情
12 景富二期基金 2015-03-26 股票策略 2.1580 2018-04-18 -1.37% 4.55% 查看详情
13 景富趋势成长一期 2010-12-01 股票策略 3.1975 2018-04-13 -5.04% -0.17% 查看详情
14 景富趋势成长九期 -- 股票策略 3.3199 2016-12-16 4.34% 4.26% 查看详情

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