基金详情 (001562)

历史净值

日期单位净值日增长率累计净值
2025-05-231.7907-0.13%1.8537
2025-05-221.7930+0.06%1.8560
2025-05-211.7919+0.07%1.8549
2025-05-201.7906+0.16%1.8536
2025-05-191.7877-0.03%1.8507
2025-05-161.7882-0.13%1.8512
2025-05-151.7905-0.02%1.8535
2025-05-141.7908+0.24%1.8538
2025-05-131.7866+0.10%1.8496
2025-05-121.7848-0.07%1.8478
2025-05-091.7861+0.11%1.8491
2025-05-081.7842+0.16%1.8472

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周+0.12%+0.17%+1.12%1206/2345
近一月+0.55%+2.68%+3.08%1726/2340
近三月+0.46%-0.97%-1.27%756/2329一般
近六月+1.66%+1.31%-2.01%917/2301一般
近一年+3.66%+5.62%+6.83%1063/2256一般
近两年+8.90%-3.01%-2.24%328/2151良好
近三年+11.07%-3.06%-1.70%346/2032良好
近五年+25.56%+17.57%-0.61%643/1735一般
今年来-0.38%+1.85%-1.16%1517/2318
成立以来+85.83%------

自选基金

投资策略

持仓金额

¥ 0.00