基金详情 (001278)

历史净值

日期单位净值日增长率累计净值
2025-04-031.3080-1.58%1.6680
2025-04-021.3290-0.15%1.6890
2025-04-011.3310+0.23%1.6910
2025-03-311.3280-2.14%1.6880
2025-03-281.3570-0.95%1.7170
2025-03-271.3700-0.36%1.7300
2025-03-261.3750+0.29%1.7350
2025-03-251.3710+1.11%1.7310
2025-03-241.3560-0.37%1.7160
2025-03-211.3610-2.23%1.7210
2025-03-201.3920-0.50%1.7520
2025-03-191.3990+0.21%1.7590

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-4.53%-1.50%-1.80%2248/2329
近一月-6.90%-0.55%-0.69%2243/2337
近三月+5.06%+4.92%+2.29%889/2326一般
近六月-4.53%+1.61%-3.89%1799/2295
近一年+4.64%+7.48%+8.23%1182/2257
近两年-18.35%-7.25%-5.60%1625/2146
近三年-27.73%-7.62%-9.70%1743/2025
近五年-1.73%+25.66%+3.99%1436/1723
今年来+0.15%+1.97%-1.87%1381/2324
成立以来+74.87%------

自选基金

投资策略

持仓金额

¥ 0.00