基金详情 (000048)

历史净值

日期单位净值日增长率累计净值
2025-05-231.8045-0.18%2.0962
2025-05-221.8077-0.28%2.0994
2025-05-211.8127-0.04%2.1044
2025-05-201.8134+0.17%2.1051
2025-05-191.8103-0.03%2.1020
2025-05-161.8108+0.32%2.1025
2025-05-151.8050-0.47%2.0967
2025-05-141.8135-0.17%2.1052
2025-05-131.8166-0.08%2.1083
2025-05-121.8181+0.56%2.1098
2025-05-091.8080-0.60%2.0997
2025-05-081.8190+0.58%2.1107

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.15%-0.01%+1.12%44/839优秀
近一月+3.00%+0.46%+3.08%9/832优秀
近三月+1.50%+0.31%-1.27%11/800优秀
近六月+6.93%+2.38%-2.01%17/790优秀
近一年+12.60%+3.57%+6.83%9/729优秀
近两年+15.26%+7.01%-2.24%8/644优秀
近三年+15.19%+9.91%-1.70%34/578优秀
近五年+36.69%+19.68%-0.61%10/449优秀
今年来+4.05%+0.88%-1.16%16/797优秀
成立以来+127.81%------

自选基金

投资策略

持仓金额

¥ 0.00