基金详情 (001632)

历史净值

日期单位净值日增长率累计净值
2025-05-232.2021-0.63%2.2797
2025-05-222.2161-0.39%2.2937
2025-05-212.2248+0.04%2.3024
2025-05-202.2240+0.80%2.3016
2025-05-192.2063-0.29%2.2839
2025-05-162.2127-0.85%2.2903
2025-05-152.2316-0.26%2.3092
2025-05-142.2375+1.08%2.3151
2025-05-132.2136-0.20%2.2912
2025-05-122.2180+0.19%2.2956
2025-05-092.2139+0.09%2.2915
2025-05-082.2119+0.30%2.2895

历史涨幅信息

时间段涨幅同类平均沪深300排名
近一周-0.48%-0.42%-0.18%2112/3906
近一月-0.78%+1.77%+2.52%3301/3795
近三月+3.82%-4.23%-2.42%334/3551优秀
近六月+0.40%+1.73%+0.43%1824/3215
近一年-5.39%+12.77%+6.60%2595/2807
近两年-17.87%+1.55%-0.79%1908/2180
近三年-17.70%+1.12%-4.24%1466/1763
近五年+7.62%+19.18%+1.52%748/976
今年来-1.08%+1.21%-1.34%2219/3435
成立以来+131.77%------

自选基金

投资策略

持仓金额

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