基金详情 (001626)

历史净值

日期单位净值日增长率累计净值
2025-05-231.6388-0.94%1.6388
2025-05-221.6544-0.59%1.6544
2025-05-211.6643+0.20%1.6643
2025-05-201.6609+0.39%1.6609
2025-05-191.6544-0.05%1.6544
2025-05-161.6553-0.18%1.6553
2025-05-151.6583-0.45%1.6583
2025-05-141.6658+0.42%1.6658
2025-05-131.6589+0.18%1.6589
2025-05-121.6559+0.41%1.6559
2025-05-091.6492-0.06%1.6492
2025-05-081.6502+0.10%1.6502

自选基金

投资策略

持仓金额

¥ 0.00

Hedge Funds

CodeNameCorrelationScore
007361易方达中短期美元债(Q-0.005586.25
007360易方达中短期美元债(Q-0.006387.92
003385工银全球美元债A人民币-0.012283.59
014938同泰产业升级混合A-0.016595.39
015451兴华安丰纯债A-0.042681.85
004998长信全球债券人民币-0.047181.04
019709富国亚洲收益债券(QD-0.048380.20
008367富国亚洲收益债券(QD-0.053280.36
017970摩根海外稳健配置混合-0.085889.05
020512摩根海外稳健配置混合-0.092981.27
164701汇添富黄金及贵金属(Q0.168392.84
021985财通资管先进制造混合发起式A0.171186.84
002681金鹰元和灵活配置混合A0.172490.74
009504富国上海金ETF联接A0.175486.02
016581嘉实上海金ETF发起联接A0.177682.29