基金详情 (000179)

历史净值

日期单位净值日增长率累计净值
2025-05-221.1720-0.26%1.7770
2025-05-211.1750-2.57%1.7800
2025-05-201.2060-0.58%1.8110
2025-05-191.2130+0.08%1.8180
2025-05-161.2120+1.08%1.8170
2025-05-151.1990+1.61%1.8040
2025-05-141.1800-1.01%1.7850
2025-05-131.1920-1.24%1.7970
2025-05-121.2070+0.84%1.8120
2025-05-091.1970+0.67%1.8020
2025-05-081.1890-0.34%1.7940
2025-05-071.1930+0.25%1.7980

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-2.25%-0.24%-0.18%320/345
近一月+0.86%+8.07%+2.52%326/344
近三月-4.64%-2.31%-2.42%221/337
近六月-8.63%+8.37%+0.43%292/326
近一年+7.52%+15.50%+6.60%233/306
近两年+16.86%+28.51%-0.79%153/218
近三年+10.41%+38.68%-4.24%126/157
近五年+44.04%+46.64%+1.52%45/86
今年来-3.09%+7.51%-1.34%286/330
成立以来+96.28%------

自选基金

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持仓金额

¥ 0.00